ASSET SECURITIZATION CORP COM MOR PASS THR CER SER 1997 MD
8-K, 1997-08-25
ASSET-BACKED SECURITIES
Previous: CONTIMORTGAGE HOME EQUITY LOAN TRUST 1997-1, 8-K, 1997-08-25
Next: FINANCIAL ASSET SEC CORP MEGO MORT FHA TITLE I LN TR 1996-3, 8-K, 1997-08-25



                     SECURITIES AND EXCHANGE COMMISSION
                            WASHINGTON, D.C. 20549

                                FORM 8-K

                              CURRENT REPORT
                  Pursuant to Section 13 or 15(d) of the 
                      Securities Exchange Act of 1934

Date of Report:     August 13, 1997
(Date of earliest event reported)


                     Asset Securitization Corporation
     Commercial Mortgage Pass-Through Certificates, Series 1997-MDVII
          (Exact Name of registrant as specified in its charter)


 Delaware                     33-49370-03     13-3672337          
(State or Other Juris-        (Commission    (I.R.S. Employer
diction of Incorporation)     File Number)   Identification Number)


Two World Financial Center, Building B, New York, New York  10281
(Address of Principal Executive Office)                (Zip Code)


Registrant's telephone number, including area code: 212-667-9300        



<PAGE>
                                                                           
                                     
                  This Document contains exactly 4 Pages.
                      The Exhibit Index is on Page 4.
ITEM 5.   OTHER EVENTS

           This Current Report on Form 8-K relates to the Trust
Fund formed, and the Commercial Mortgage Pass-Through Certificates
Series 1997-MDVII issued pursuant to a Pooling and Servicing
Agreement, dated as of March 27, 1997 (the "Pooling and Servicing
Agreement"), by and among Asset Securitization Corporation (the
"Company"), as depositor, Pacific Mutual Life Insurance Company, as
servicer and special servicer, LaSalle National Bank, as trustee
and ABN AMRO Bank N.V., as fiscal agent.

          Capitalized terms used herein and not defined herein have
the same meanings ascribed to such terms in the Pooling and
Servicing Agreement.

          Pursuant to Section 3.22 of the Pooling and Servicing
Agreement, Servicer is filing this Current Report containing the
August 13, 1997 monthly distribution report prepared by the
Trustee pursuant to Section 4.02(a) thereof.

          The Servicer has received and will make available, upon 
receipt of a written request, the financial information required           
pursuant to the Mortgage Loans. The following financial information
is available for the period ending March 31, 1997:
          
          M&H II                        Insurance Company of the West
          Innskeepers                   101 Hudson
          G&L                           Fairfield Inns
          Design Center of the Americas

          This Current Report is being filed by the Servicer, in
its capacity as such under the Pooling and Servicing Agreement, on
behalf of the Registrant.  The information reported and contained
herein has been supplied to the Servicer by one or more of the
Borrowers or other third parties without independent review or
investigation by the Servicer.  Pursuant to the Pooling and
Servicing Agreement, the Servicer is not responsible for the
accuracy or completeness of such information.

ITEM 7.   FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION
AND EXHIBITS.

          (c)  Exhibits
                         Item 601(a) of
                         Regulation S-K
          Exhibit No.    Exhibit No.         Description

          5.1            99                  Monthly distribution
                                             report pursuant to
                                             Section 4.02(a) dated
                                             August 13, 1997.

<PAGE>

     Pursuant to the requirements of the Securities Exchange Act of
1934, the Registrant has duly caused this report to be signed on
behalf of the Registrant by the undersigned thereunto duly
authorized.

Date: August 13, 1997              PACIFIC MUTUAL LIFE INSURANCE      
                                   COMPANY, IN ITS CAPACITY AS
                                   SERVICER UNDER THE POOLING AND
                                   SERVICING AGREEMENT ON BEHALF OF
                                   ASSET SECURITIZATION
                                   CORPORATION, REGISTRANT


                                   By:  /s/ M. A. Curran
                                        Vice President

                                   By:  /s/ J. C. Stallings
                                        Assistant Secretary

<PAGE>

                               EXHIBIT INDEX
          
                    Item 601(a) of
                    Regulation S-K
Exhibit No.         Exhibit No.         Description

5.1                 99                  Monthly distribution
                                        report pursuant to
                                        Section 4.02(a) dated
                                        August 13, 1997.



ABN AMRO
LaSalle National Bank

Administrator:
  Juliana Man  (800) 246-5761
  135 S. LaSalle Street   Suite 1740
  Chicago, IL   60603

Pacific Mutual Life Insurance Company, as Servicer
Commercial Mortgage Pass-Through Certificates
Series 1997-MD VII

ABN AMRO Acct: 67-7723-60-3

Payment Date:                       08/13/97
Prior Payment:                      07/15/97
Record Date:                        08/08/97

WAC:                               8.298104%
WAMM:                                   274


                                   Number Of Pages

Table Of Contents                              1

REMIC Certificate Report                       3

Other Related Information                      4

Asset Backed Facts Sheets                      1

Total Pages Included  In This Package          9


Specially Serviced Loan Detail          Appendix A
Modified Loan Detail                    Appendix B
Realized Loss Detail                    Appendix C


Remic II

           Original                  Opening
Class      Face Value (1)            Balance
CUSIP      Per $1,000                Per $1,000

A-1A         115,435,756.00            112,956,744.14
045424EG9     1000.000000000             978.524748779
A-1B         214,279,224.00            214,279,224.00
045424EH7     1000.000000000            1000.000000000
PS-1         499,568,151.79 N          497,089,139.93
045424EJ3     1000.000000000             995.037690351
CS-1         115,435,756.00 N          112,956,744.14
045424EK0     1000.000000000             978.524748779
A-2           42,463,292.00             42,463,292.00
045424EL8     1000.000000000            1000.000000000
A-3           39,965,452.00             39,965,452.00
045424EM6     1000.000000000            1000.000000000
A-4           37,467,611.00             37,467,611.00
045424EN4     1000.000000000            1000.000000000
A-5           27,476,248.00             27,476,248.00
045424EP9     1000.000000000            1000.000000000
A-6            9,991,363.00              9,991,363.00
045424EQ7     1000.000000000            1000.000000000
B-1           12,488,205.00             12,488,205.00
045424FB9,    1000.000000000            1000.000000000
B-1H               1,000.79                  1,000.79
9ABSA339      1000.000000000            1000.000000000
R                      0.00                      0.00
045424FC7     1000.000000000               0.000000000


             499,568,151.79            497,089,139.93

Notes:  (1) N denotes notional balance not included in total

           Principal        Principal       Negative
Class      Payment          Adj. or Loss    Amortization
CUSIP      Per $1,000       Per $1,000      Per $1,000

A-1A         579,895.58            0.00             0.00
045424EG9    5.023535169     0.000000000      0.000000000
A-1B               0.00            0.00             0.00
045424EH7    0.000000000     0.000000000      0.000000000
PS-1               0.00            0.00             0.00
045424EJ3    0.000000000     0.000000000      0.000000000
CS-1               0.00            0.00             0.00
045424EK0    0.000000000     0.000000000      0.000000000
A-2                0.00            0.00             0.00
045424EL8    0.000000000     0.000000000      0.000000000
A-3                0.00            0.00             0.00
045424EM6    0.000000000     0.000000000      0.000000000
A-4                0.00            0.00             0.00
045424EN4    0.000000000     0.000000000      0.000000000
A-5                0.00            0.00             0.00
045424EP9    0.000000000     0.000000000      0.000000000
A-6                0.00            0.00             0.00
045424EQ7    0.000000000     0.000000000      0.000000000
B-1                0.00            0.00             0.00
045424FB9,   0.000000000     0.000000000      0.000000000
B-1H               0.00            0.00             0.00
9ABSA339     0.000000000     0.000000000      0.000000000
R                  0.00            0.00             0.00
045424FC7    0.000000000     0.000000000      0.000000000

             579,895.58            0.00             0.00

           Closing          Interest        Interest         Pass-
Through
Class      Balance          Payment         Adjustment       Rate (2)
CUSIP      Per $1,000       Per $1,000      Per $1,000       Next Rate 
(3)

A-1A         112,376,848.56      689,036.14          0.00   7.32000000%
045424EG9      973.501213610     5.969000974   0.000000000  Fixed
A-1B         214,279,224.00    1,323,174.21          0.00   7.41000000%
045424EH7     1000.000000000     6.175000008   0.000000000  Fixed
PS-1         496,509,244.35      185,669.72          0.00   0.44821672%
045424EJ3      993.876896618     0.371660442   0.000000000  0.44871935%
CS-1         112,376,848.56       86,892.38          0.00   0.92310431%
045424EK0      973.501213610     0.752733668   0.000000000  0.92305598%
A-2           42,463,292.00      274,351.94          0.00   7.75310431%
045424EL8     1000.000000000     6.460920175   0.000000000  7.75305598%
A-3           39,965,452.00      261,211.01          0.00   7.84310431%
045424EM6     1000.000000000     6.535920324   0.000000000  7.84305598%
A-4           37,467,611.00      251,129.92          0.00   8.04310431%
045424EN4     1000.000000000     6.702586936   0.000000000  8.04305598%
A-5           27,476,248.00      188,741.32          0.00   8.24310431%
045424EP9     1000.000000000     6.869253764   0.000000000  8.24305598%
A-6            9,991,363.00       68,633.21          0.00   8.24310431%
045424EQ7     1000.000000000     6.869253975   0.000000000  8.24305598%
B-1           12,488,205.00       85,784.65          0.00   8.24310431%
045424FB9,    1000.000000000     6.869253828   0.000000000  8.24305598%
B-1H               1,000.79            6.86          0.00   8.24310431%
9ABSA339      1000.000000000     6.854584878   0.000000000  8.24305598%
R                      0.00            0.00          0.00
045424FC7        0.000000000     0.000000000   0.000000000

             496,509,244.35    3,414,631.36          0.00
Total P&I Payment              3,994,526.94

(2)Interest Paid minus Interest Adjustment minus Deferred
Interest equals Accrual    (3) Estimated


Remic I

           Original              Opening
Class      Face Value (1)        Balance
CUSIP      Per $1,000            Per $1,000

A-1A-L       115,435,756.00        112,956,744.14
None          1000.000000000         978.524748779
A-1B-L       214,279,224.00        214,279,224.00
None          1000.000000000        1000.000000000
A-2-L         42,463,292.00         42,463,292.00
None          1000.000000000        1000.000000000
A-3-L         39,965,452.00         39,965,452.00
None          1000.000000000        1000.000000000
A-4-L         37,467,611.00         37,467,611.00
None          1000.000000000        1000.000000000
A-5-L         27,476,248.00         27,476,248.00
None          1000.000000000        1000.000000000
A-6-L          9,991,363.00          9,991,363.00
None          1000.000000000        1000.000000000
B-1-L         12,488,205.00         12,488,205.00
None          1000.000000000        1000.000000000
B-1H-L             1,000.79              1,000.79
None          1000.000000000        1000.000000000
LR                     0.00                  0.00
9ABSA343      1000.000000000           0.000000000

             499,568,151.79        497,089,139.93

           Principal        Principal       Negative
Class      Payment          Adj. or Loss    Amortization
CUSIP      Per $1,000       Per $1,000      Per $1,000

A-1A-L      579,895.58            0.00             0.00
None        5.023535169     0.000000000      0.000000000
A-1B-L            0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
A-2-L             0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
A-3-L             0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
A-4-L             0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
A-5-L             0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
A-6-L             0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
B-1-L             0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
B-1H-L            0.00            0.00             0.00
None        0.000000000     0.000000000      0.000000000
LR                0.00            0.00             0.00
9ABSA343    0.000000000     0.000000000      0.000000000

            579,895.58            0.00             0.00

Class      Closing          Interest        Interest     Pass-Through
CUSIP      Balance          Payment         Adjustment   Rate (2)
           Per $1,000       Per $1,000      Per $1,000   Next Rate (3)

A-1A-L    112,376,848.56      775,928.52          0.00   8.24310431%
None        973.501213610     6.721734642   0.000000000  8.24305598%
A-1B-L    214,279,224.00    1,471,938.33          0.00   8.24310431%
None       1000.000000000     6.869253596   0.000000000  8.24305598%
A-2-L      42,463,292.00      291,691.12          0.00   8.24310431%
None       1000.000000000     6.869253566   0.000000000  8.24305598%
A-3-L      39,965,452.00      274,532.82          0.00   8.24310431%
None       1000.000000000     6.869253474   0.000000000  8.24305598%
A-4-L      37,467,611.00      257,374.52          0.00   8.24310431%
None       1000.000000000     6.869253553   0.000000000  8.24305598%
A-5-L      27,476,248.00      188,741.32          0.00   8.24310431%
None       1000.000000000     6.869253764   0.000000000  8.24305598%
A-6-L       9,991,363.00       68,633.21          0.00   8.24310431%
None       1000.000000000     6.869253975   0.000000000  8.24305598%
B-1-L      12,488,205.00       85,784.65          0.00   8.24310431%
None       1000.000000000     6.869253828   0.000000000  8.24305598%
B-1H-L          1,000.79            6.87          0.00   8.24310431%
None       1000.000000000     6.864576984   0.000000000  8.24305598%
LR                  0.00            0.00          0.00
9ABSA343      0.000000000     0.000000000   0.000000000

          496,509,244.35    3,414,631.36          0.00
Total P&I Payment                      0.00

(2)Interest Paid minus Interest Adjustment minus Deferred
Interest equals Accrual    (3) Estimated


Grantor Trust

           Original                 Opening
Class      Face Value (1)           Balance
CUSIP      Per $1,000               Per $1,000

V-1                    0.00                     0.00
9ABSA340      1000.000000000              0.000000000
V-2                    0.00                     0.00
9ABSA341      1000.000000000              0.000000000

                       0.00                     0.00


           Principal      Principal      Negative
Class      Payment        Adj. or Loss   Amortization
CUSIP      Per $1,000     Per $1,000     Per $1,000

V-1              0.00          0.00            0.00
9ABSA340   0.000000000   0.000000000     0.000000000
V-2              0.00          0.00            0.00
9ABSA341   0.000000000   0.000000000     0.000000000

                 0.00          0.00            0.00


           Closing       Interest     Interest      Pass-Through
Class      Balance       Payment      Adjustment    Rate (2)
CUSIP      Per $1,000    Per $1,000   Per $1,000    Next Rate (3)

V-1               0.00         0.00          0.00
9ABSA340    0.000000000  0.000000000   0.000000000
V-2               0.00         0.00          0.00
9ABSA341    0.000000000  0.000000000   0.000000000

                  0.00         0.00          0.00
Total P&I Payment                   0.00

(2)Interest Paid minus Interest Adjustment minus Deferred
Interest equals Accrual    (3) Estimated


Distribution     Delinq 1 Month
Date               #    Balance
    8/13/97        0          0
                0.00%     0.000%
    7/15/97        0          0
                0.00%     0.000%
    6/13/97        0          0
                0.00%     0.000%
    5/14/97        0          0
                0.00%     0.000%
    4/15/97        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%
     1/0/00        0          0
                0.00%     0.000%

Distribution    Delinq 2 Months
Date               #    Balance
    8/13/97        0         0
                0.00%    0.000%
    7/15/97        0         0
                0.00%    0.000%
    6/13/97        0         0
                0.00%    0.000%
    5/14/97        0         0
                0.00%    0.000%
    4/15/97        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%
     1/0/00        0         0
                0.00%    0.000%

Distribution         Delinq 3+ Months
Date                 #    Balance
    8/13/97          0          0
                  0.00%     0.000%
    7/15/97          0          0
                  0.00%     0.000%
    6/13/97          0          0
                  0.00%     0.000%
    5/14/97          0          0
                  0.00%     0.000%
    4/15/97          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%
     1/0/00          0          0
                  0.00%     0.000%

Distribution     Foreclosure/Bankruptcy
Date               #          Balance
    8/13/97         0               0
                 0.00%          0.000%
    7/15/97         0               0
                 0.00%          0.000%
    6/13/97         0               0
                 0.00%          0.000%
    5/14/97         0               0
                 0.00%          0.000%
    4/15/97         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%

Distribution            REO
Date               #          Balance
    8/13/97         0               0
                 0.00%          0.000%
    7/15/97         0               0
                 0.00%          0.000%
    6/13/97         0               0
                 0.00%          0.000%
    5/14/97         0               0
                 0.00%          0.000%
    4/15/97         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%
     1/0/00         0               0
                 0.00%          0.000%

Distribution        Modifications
Date                #         Balance
    8/13/97          0               0
                  0.00%          0.000%
    7/15/97          0               0
                  0.00%          0.000%
    6/13/97          0               0
                  0.00%          0.000%
    5/14/97          0               0
                  0.00%          0.000%
    4/15/97          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%
     1/0/00          0               0
                  0.00%          0.000%

Distribution         Prepayments
Date               #         Balance
    8/13/97        0               0
                0.00%          0.000%
    7/15/97        0               0
                0.00%          0.000%
    6/13/97        0               0
                0.00%          0.000%
    5/14/97        0               0
                0.00%          0.000%
    4/15/97        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%
     1/0/00        0               0
                0.00%          0.000%

Distribution           Curr Weighted Avg.
Date                 Coupon           Remit
    8/13/97          8.2981%         8.2431%

    7/15/97          8.0305%         7.9755%

    6/13/97          8.2982%         8.2432%

    5/14/97          8.0306%         7.9756%

    4/15/97          8.0306%         7.9756%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%

     1/0/00          0.0000%         0.0000%


Specially Serviced Loan Detail
           Beginning
Disclosure Scheduled     Interest     Maturity
Control #  Balance       Rate         Date









                         Specially
Disclosure Property      Serviced
Control #  Type          Status Code (1) Comments










(1)        Legend :
           1)  Request for waiver of Prepayment Penalty
           2)   Payment default
           3)   Request for Loan Modification or Workout
           4)  Loan with Borrower Bankruptcy
           5)  Loan in Process of Foreclosure
           6)  Loan now REO Property
           7)  Loans Paid Off
           8)  Loans Returned to Master Servicer

Modified Loan Detail

Disclosure Modification
Control #  Date








Realized Loss Detail

Dist.      Disclosure       Appraisal
Date       Control #        Date
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
Current Total                              0
Cumulative                                 0


Aggregate liquidation expenses also include outstanding
P&I advances and unpaid servicing fees, unpaid trustee fees, etc..

Disclosure Appraisal        Scheduled       Gross
Control #  Value            Balance         Proceeds
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
                           0               0                0

           Gross Proceeds   Aggregate       Net
Disclosure as a % of        Liquidation     Liquidation
Control #  Sched Principal  Expenses *      Proceeds
          0                                0
          0                                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0
          0                0               0                0

           Net Proceeds
Disclosure as a % of        Realized
Control #  Sched. Balance   Loss
          0
          0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
          0                0               0
Other Related Information

                 Accrued        Prepayment               Current
                 Certificate    Interest   Prepayment    Interest
Class            Interest       Shortfall  Premiums      Shortfall

A-1A             689,036.14       0.00          0.00        0.00
A-1B           1,323,174.21       0.00          0.00        0.00
PS-1             185,669.72       0.00          0.00        0.00
CS-1              86,892.38       0.00          0.00        0.00
A-2              274,351.94       0.00          0.00        0.00
A-3              261,211.01       0.00          0.00        0.00
A-4              251,129.92       0.00          0.00        0.00
A-5              188,741.32       0.00          0.00        0.00
A-6               68,633.21       0.00          0.00        0.00
B-1               85,784.65       0.00          0.00        0.00
B-1H                   6.87       0.00          0.00        0.00

  Totals:      3,414,631.37       0.00          0.00        0.00

                 Prior       Ending     Actual
                 Unpaid      Unpaid     Distribution
Class            Interest    Interest   of Interest

A-1A                0.00       0.00    689,036.14
A-1B                0.00       0.00  1,323,174.21
PS-1                0.00       0.00    185,669.72
CS-1                0.00       0.00     86,892.38
A-2                 0.00       0.00    274,351.94
A-3                 0.00       0.00    261,211.01
A-4                 0.00       0.00    251,129.92
A-5                 0.00       0.00    188,741.32
A-6                 0.00       0.00     68,633.21
B-1                 0.00       0.00     85,784.65
B-1H                0.00       0.00          6.86

  Totals:           0.00       0.00  3,414,631.36

Advances
                                    Prior Outstanding
                         Principal      Interest
                              0.00          0.00
 Made by Servicer:            0.00          0.00
 Made by Trustee:             0.00          0.00
 Made by Fiscal Agent:        0.00          0.00

                                    Current Month
                         Principal      Interest
 Made by Servicer:            0.00          0.00
 Made by Trustee:             0.00          0.00
 Made by Fiscal Agent:        0.00          0.00

                                 Recovered
                         Principal      Interest
 Made by Servicer:            0.00          0.00
 Made by Trustee:             0.00          0.00
 Made by Fiscal Agent:        0.00          0.00

                                  Advances Outstanding
                         Principal      Interest
 Made by Servicer:            0.00          0.00
 Made by Trustee:             0.00          0.00
 Made by Fiscal Agent:        0.00          0.00

                                                      Servicing 
Compensat
Compensation                  Servicer       Trustee    Servicer
Current Accrued Fees:        20,712.05      2,071.20        0.00
Addl. Servicing Compensation      0.00          0.00        0.00
Interest on Advances              0.00          0.00        0.00

Totals:                      20,712.05      2,071.20        0.00


REO Property Information
                                     Principal   Appraisal
 #      Collateral Id Date of REO      Balance       Value
1.
2.         No REO Information to Report as of the
3.

REO Property Information
                  Other Reven     Date of   Amount of
 #  Collateral Id  Collected Final Recovery   Proceeds
1.
2.
3.


Repurchased Loans
                         Outstanding   Repurchase
 #      Collateral Id       Balance         Price
1.                             0.00          0.00
2.                             0.00          0.00
3.                             0.00          0.00

Totals:                        0.00          0.00


Realized Principal Losses
                          Current     Cumulative
 Mortgage Pool                0.00          0.00
 Certificates                 0.00          0.00

                              0.00          0.00

Totals:                       0.00          0.00


Fairfield Inns by Marriott

Ground Rent Reserve Account:                   160,999.98
Tax & Insurance  Reserve:                    2,200,140.53
Debt Service Reserve Account:                3,562,321.09
Capital Expenditure and FF&E Reserve Account 4,828,697.76
Subordinated Rental Obligations:                     0.00
Incentive Management Fees:                           0.00
ADA Compliance Reserve:                        235,406.00
Environmental Reserve:                         111,750.00
Deferred Maintenance Reserve:                3,552,260.00
Earthquake Restoration Reserve Account:        300,000.00


101 Hudson Street

Tax & Insurance Account:                       0.00
Debt Service Reserve Account:                  0.00
Capital Expenditure Reserve Account:     131,803.00
Lease Rollover Reserve Account:          237,500.00
ADA Compliance Reserve:                    5,000.00
Deferred Maintenance Reserve:             75,000.00
Additional Amortization Reserve Account:       0.00
UDC Reserve Account:                           0.00


M&H Retail

Basic Carrying Costs Sub-Account:           635,000.00
Debt Service Payment Sub-Account:           408,341.27
Extraordinary Operating Expense Sub-Account 118,344.74
Tenant Improvement Sub-Account:             400,000.00
Operating Expense Sub-Account:                    0.00


Innkeepers

Tax and Insurance Escrow Fund:        567,290.56
Monthly Debt Service Payment:         294,758.33
Capital Reserve Fund:                 565,294.70
Additional Capital Reserve Fund:      700,000.00
Approved Operating Expenses:                0.00
Required Repair Account:            2,916,219.00


Design Center of the Americas

Tax & Insurance  Reserve:            823,582.56
Debt Service Reserve:                294,816.36
Alternative Tax & Insurance Fund:          0.00
Capital Reserve Fund:                      0.00
Special Escrow Fund:                       0.00
Alternative Capital Reserve Fund:    589,632.72
Casualty/Condemnation:               171,335.00


G&L Medical Office

Basic Carrying Costs:                356,259.01
Security Deposit:                    411,215.06
Debt Service Reserve:                281,640.81
Capital Reserve :                     72,363.74
Leasing Reserve:                     525,000.00
Cigna Replacement Lease Reserve:           0.00


Insurance Company of the West

Debt Service Payment:                190,677.97


Balance of the Mortgage Loans at the Beginning 
of the Interest Accrual Period:  497,089,139.93

Balance of the Mortgage Loans at the End of the 
Interest Accrual Period:         496,509,244.35

Prepayment Interest Shortfalls:                     0.00
Servicer Prepayment Interest Shortfalls:            0.00

Prepayment Premiums:                                0.00
Default Interest:                                   0.00
Net Default Interest:                               0.00
Excess Interest:                                    0.00



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission