OMI TRUST 1997 A
8-K, 1997-05-28
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                       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 (Date of earliest event reported) May 15, 1997.

                                OMI Trust 1997-A
               (Exact name of registrant as specified in charter)


        Pennsylvania               33-99320              Applied for
(State or other jurisdiction      (Commission           (IRS Employer
     of incorporation)            File Number)       Identification No.)

                 c/o PNC Bank, National Association
                 Corporate Trust Department
                 Attention:  Constantine Hromych
                 1700 Market Street
                 Philadelphia, Pennsylvania                  19103
                 (Address of principal executive offices) (Zip Code)


        Registrant's telephone number, including area code (215) 585-8738

 -------------------------------------------------------------------------------
         (Former name or former address, if changed since last report.)



<PAGE>




                       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 (Date of earliest event reported) May 15, 1997.

                                OMI Trust 1997-A
               (Exact name of registrant as specified in charter)


        Pennsylvania               33-99320                Applied for
(State or other jurisdiction      (Commission             (IRS Employer
       of incorporation)          File Number)         Identification No.)

           c/o PNC Bank, National Association
           Corporate Trust Department
           Attention:  Constantine Hromych
           1700 Market Street
           Philadelphia, Pennsylvania                          19103
          (Address of principal executive offices)           (Zip Code)


        Registrant's telephone number, including area code (215) 585-8738

 -------------------------------------------------------------------------------
         (Former name or former address, if changed since last report.)



<PAGE>



                                OMI TRUST 1997-A

                                    FORM 8-K


ITEM 1.  CHANGES IN CONTROL OF REGISTRANT.

                  Not Applicable.

ITEM 2.  ACQUISITION OR DISPOSITION OF ASSETS.

                  Not Applicable.

ITEM 3.  BANKRUPTCY OR RECEIVERSHIP.

                  Not Applicable.

ITEM 4.  CHANGES IN REGISTRANT'S CERTIFYING ACCOUNTANT.

                  Not Applicable.

ITEM 5.  OTHER EVENTS.

         OMI Trust 1997-A (the "Trust"), the issuer of the Oakwood Mortgage
Investors, Inc. Manufactured Housing Contract Senior/Subordinated Pass-Through
Certificates, Series 1997- A (the "Certificates"), makes monthly distributions
to holders of the Certificates. The latest distribution was made on May 15,
1997. Oakwood Acceptance Corporation, as Servicer for the Trust, has prepared a
monthly Remittance Report and delivered it to the Trustee.

Remittance Report. . . . . . . . . . . . .Exhibit 20.1

ITEM 6.  RESIGNATIONS OF REGISTRANT'S DIRECTORS.

                  Not Applicable.

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

                  Exhibits

                  20.1     Monthly Remittance Report relating to the 
                           Distribution Date occurring on May 15, 1997.

ITEM 8.  CHANGE IN FISCAL YEAR.

                  Not Applicable.



<PAGE>

                                   Signatures


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

                                            OMI TRUST 1997-A, Registrant

                                            By:  Oakwood Acceptance Corporation,
                                                     as servicer


May 23, 1997                                       ----------------------------
                                                     Douglas R. Muir
                                                     Vice President




<PAGE>

                                   Signatures


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

                                            OMI TRUST 1997-A, Registrant

                                            By:  Oakwood Acceptance Corporation,
                                                     as servicer


May 23, 1997                                /s/ DOUGLAS R. MUIR
                                            -------------------
                                                Douglas R. Muir
                                                 Vice President



<PAGE>

                                INDEX OF EXHIBITS

                                                           Page of Sequentially
                                                               Numbered Pages

20.1     Monthly Remittance Report relating to Distribution
         Date occurring on May 15, 1997................................... 5-10



<PAGE>

                                INDEX OF EXHIBITS

                                                            Page of Sequentially
                                                                Numbered Pages

20.1     Monthly Remittance Report relating to Distribution
         Date occurring on May 15, 1997...................................


<PAGE>



OAKWOOD MORTGAGE INVESTORS, INC. 1997-A               REPORT DATE:  MAY 6, 1997
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  POOL REPORT # 3
REMITTANCE REPORT                                                    Page 1 of 6
REPORTING MONTH:  Apr-97

<TABLE>
<CAPTION>

                      Scheduled Principal Balance of Contracts
- --------------------------------------------------------------------------------------------------------------------------------

Beginning                                                                         Ending             Scheduled
Principal        Scheduled      Prepaid          Liquidated      Contracts        Principal          Gross            Servicing
Balance          Principal      Principal        Principal       Repurchased      Balance            Interest         Fee
- ----------------------------------------------------------------------------------------------------------------------------------

<S>              <C>            <C>              <C>             <C>              <C>                <C>              <C>
182,152,883.46   (271,308.27)   (750,611.08)     (21,729.21)     0.00             181,109,234.90     1,602,924.35     151,794.07
==================================================================================================================================
</TABLE>



<TABLE>
<CAPTION>


                      Scheduled Principal Balance of Contracts
- -----------------------------------------------------------------------------------------------------

Scheduled                                         Amount
Pass Thru        Liquidation      Reserve         Available for     Limited       Total
Interest         Proceeds         Fund Draw       Distribution      Guarantee     Distribution
- -----------------------------------------------------------------------------------------------------

<C>              <C>              <C>             <C>               <C>           <C>
1,451,130.28     19,166.27        0.00            2,644,009.97      0.00          2,644,009.97
=====================================================================================================

</TABLE>


<TABLE>
<CAPTION>

Class A-6 Liquidity Account                                                                                     
Beginning                         Investment    Balance Before          Reserve     Reserve         Balance After
 Balance    Deposits   Distrib.   Interest      Current Distribution    Fund Draw   Fund Deposit    Current Distribution    Excess
- ------------------------------------------------------------------------------------------------------------------------------------
<C>         <C>         <C>       <C>           <C>                     <C>         <C>             <C>                     <C>
302,220.51  0.00       -551.38    1,201.23      302,870.36              0.00        0.00            302,870.36              1,201.23
====================================================================================================================================

Class B-1 Liquidity Account

Beginning                         Investment    Balance Before          Reserve     Reserve         Balance After
 Balance    Deposits   Distrib.   Interest      Current Distribution    Fund Draw   Fund Deposit    Current Distribution    Excess
- ------------------------------------------------------------------------------------------------------------------------------------

328,137.91  0.00       -598.66    1,304.24      328,843.49              0.00        0.00            328,843.49              1,304.24
====================================================================================================================================

</TABLE>

Reserve Fund Required Balance
- -----------------------------
Before Current    After Current
Distribution      Distribution
- -----------------------------------
301,669.13        301,669.13
===================================


Reserve Fund Required Balance
- ------------------------------
Before Current    After Current
Distribution      Distribution
- ---------------------------------

327,539.25         327,539.25
=================================


<TABLE>
<CAPTION>

                             Certificate Account                           
- ----------------------------------------------------------------------------
Beginning               Deposits                                 Investment     Ending     
Balance         Principal       Interest        Distributions     Interest       Balance
- --------------------------------------------------------------------------------------------
<C>             <C>             <C>             <C>               <C>            <C>        
1,450,928.36    1,016,720.65    1,519,119.56    (3,093,346.32)    4,114.73       897,536.98 
============================================================================================
</TABLE>


               P&I Advances at Distribution Date
- -----------------------------------------------------------------------
Beginning            Recovered          Current            Ending
Balance              Advances           Advances           Balance
- -----------------------------------------------------------------------
450,850.86           422,684.81         426,520.70         454,686.75
========================================================================

<PAGE>


OAKWOOD MORTGAGE INVESTORS, INC. 1997-A                REPORT DATE:  MAY 6, 1997
OAKWOOD ACCEPTANCE CORP. -  SERVICER                   POOL REPORT # 3
REMITTANCE REPORT 
REPORTING MONTH:    Apr-97                                           Page 2 of 6


Class B Crossover Test                                                Test Met?
- ------------------------------------------------------------         -----------

(a) Remittance date on or after September 2001                            N


(b) Average 60 day Delinquency rate <=        5%                        #DIV/0!

(c) Average 30 day Delinquency rate <=        7%                        #DIV/0!


(d) Cumulative losses do not exceed the following
percent of the intitial principal balance of all Certificates

Average 30 day delinquency ratio:
                Sep 2001- Feb 2003            7%                         N
                March 2003-Feb 2004           8%                         N
                March 2004 and thereafter     9%                         N




(e) Current realized loss ratio <=            2.75%                      Y


(f) Does Class B Percentage equal or
     exceed                                   25.376%
     of stated scheduled pool balance

                Beginning B-1 balance              17,586,000.00

                Beginning B-2 balance               9,255,770.00
                                                  ----------------

                                                   26,841,770.00
                Divided by beginning pool
                balance                           182,152,883.46
                                                  ----------------
                                                           14.736%       N
                                                  ================




Average 60 day delinquency ratio:

                           Over 60s           Pool Balance            %
                      --------------------------------------------------------
Current Mo                     1,055,661.92   181,109,234.90        0.58%
1st Preceding Mo                       0.00       713,625.07        0.00%
2nd Preceding Mo                       0.00             0.00        #DIV/0!
                                                      Divided by      3
                                                                 -------------
                                                                   #DIV/0!
                                                                 =============

Average 30 day delinquency ratio:

                           Over 30s           Pool Balance            %
                      --------------------------------------------------------
Current Mo                     2,778,287.60    181,109,234.90        1.53%
1st Preceding Mo                       0.00      1,687,179.66        0.00%
2nd Preceding Mo                       0.00              0.00        #DIV/0!
                                                      Divided by      3
                                                                 -------------
                                                                   #DIV/0!
                                                                 =============

Cumulative loss ratio:

                       Cumulative losses                 2,562.94
                                         ------------------------
Divided by Initial Certificate Principal           185,107,770.00    0.001%
                                                                 =============


Current realized loss ratio:

                    Liquidation                 Pool
                       Losses                Balance
                    -----------         --------------
Current Mo            2,562.94          181,109,234.90
1st Preceding Mo          0.00                    0.00
2nd Preceding Mo          0.00                    0.00

                                                                     0.017%
                                                                =============
<PAGE>


OAKWOOD MORTGAGE INVESTORS, INC. 1997-A
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  REPORT DATE:  MAY 6, 1997
REMITTANCE REPORT                                               POOL REPORT # 3
REPORTING MONTH:                                Apr-97              Page 3 of 6

<TABLE>
<CAPTION>

                                         Delinquency Analysis

                                              31 to 59 days         60 to 89 days       90 days and Over      Total Delinq.
                  No. of    Principal              Principal            Principal            Principal             Principal
                  Loans     Balance           #    Balance          #   Balance          #   Balance          #    Balance
              ----------------------------------------------------------------------------------------------------------------------
<S>               <C>      <C>                <C>   <C>             <C>  <C>            <C>  <C>              <C>  <C>
Excluding Repos   5,255    180,677,659.35     52    1,659,437.21    10   371,012.48     9    345,402.80       71   2,375,852.49
          Repos   18           431,575.55      3       63,188.47     6   107,495.66     8    231,750.98       17     402,435.11
              ----------------------------------------------------------------------------------------------------------------------

          Total   5,273    181,109,234.90     55    1,722,625.68    16   478,508.14    17    577,153.78       88   2,778,287.60
              ======================================================================================================================
                                                                                                             1.7%          1.53%
                                                                                                             =======================
                                      Repossession Analysis
Active Repos            Reversal          Current Month
Outstanding           (Redemption)             Repos           Cumulative Repos
     Principal           Principal             Principal            Principal
#    Balance        #    Balance          #    Balance         #    Balance
- --------------------------------------------------------------------------------

Excluding Repos 18  431,575.55     0      0.00           13   317,797.85      19   453,476.67

</TABLE>

<PAGE>

OAKWOOD MORTGAGE INVESTORS, INC. 1997-A
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  REPORT DATE:  MAY 6, 1997
REMITTANCE REPORT                                               POOL REPORT # 3
REPORTING MONTH:                                Apr-97              Page 4 of 6

Repossession Liquidation Report

                          Liquidated
Account   Customer         Principal      Sales      Insur.      Total
Number      Name            Balance      Proceeds   Refunds     Proceeds
- --------------------------------------------------------------------------
104676-2  Johnson, T A    21,729.21      21,200.00  1,101.48    22,301.48
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                                                                     0.00
                          ------------------------------------------------
                           21,729.21     21,200.00   1,101.48   22,301.48
                          ================================================

                     Net                    Net         Current
Repossession     Liquidation   Unrecov.   Pass Thru    Period Net    Cumulative
  Expenses        Proceeds     Advances   Proceeds    Gain/(Loss)    Gain/(Loss)
- --------------------------------------------------------------------------------
2,594.31          19,707.17     540.90    19,166.27    (2,562.94)
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
                       0.00                    0.00         0.00
- --------------------------------------------------------------------------------
2,594.31          19,707.17     540.90    19,166.27    (2,562.94)     (2,562.94)
================================================================================

<PAGE>


OAKWOOD MORTGAGE INVESTORS, INC. 1997-A
OAKWOOD ACCEPTANCE CORP. -  SERVICER                  REPORT DATE:  MAY 6, 1997
REMITTANCE REPORT                                     POOL REPORT # 3
REPORTING MONTH:   Apr-97
                                                      Page 5 of 6
CERTIFICATE PRINCIPAL ANALYSIS

PRINCIPAL

<TABLE>
<CAPTION>

                                 Original        Beginning      Beginning       Current         Current
      Cert.                     Certificate     Certificate     Carryover       Principal       Principal
      Class                      Balances        Balances       Principal         Due            Paid
- -------------------------------------------------------------------------------------------------------------

<S>                           <C>              <C>                 <C>          <C>            <C>
A-1                           36,152,000.00    33,197,113.46       0.00         1,043,648.56   1,043,648.56
A-1 Outstanding Writedown                               0.00                            0.00

A-2                           32,798,000.00    32,798,000.00       0.00                 0.00           0.00
A-2 Outstanding Writedown                               0.00                            0.00

A-3                           23,683,000.00    23,683,000.00       0.00                 0.00           0.00
A-3 Outstanding Writedown                               0.00                            0.00

A-4                           11,771,000.00    11,771,000.00       0.00                 0.00           0.00
A-4 Outstanding Writedown                               0.00                            0.00

A-5                           37,665,000.00    37,665,000.00       0.00                 0.00           0.00
A-5 Outstanding Writedown                               0.00                            0.00

A-6                           16,197,000.00    16,197,000.00       0.00                 0.00           0.00
A-6 Outstanding Writedown                               0.00                            0.00

B-1                           17,586,000.00    17,586,000.00       0.00                 0.00           0.00
B-1 Outstanding Writedown                               0.00                            0.00

B-2                            9,255,770.00     9,255,770.00       0.00                 0.00           0.00
B-2 Outstanding Writedown                               0.00                            0.00

                            ---------------------------------------------------------------------------------

                             185,107,770.00   182,152,883.46       0.00         1,043,648.56   1,043,648.56
                            =================================================================================
</TABLE>

<TABLE>
<CAPTION>
                           Ending                       Ending                      Principal Paid
                          Carryover    Writedown       Certificate       Pool         Per $1,000
Cert. Class               Principal     Amounts          Balances        Factor      Denomination
- --------------------------------------------------------------------------

<S>                         <C>          <C>       <C>                 <C>           <C>
A-1                         0.00         0.00      32,153,464.90       88.93966%     28.87
A-1 Outstanding Writedown                0.00               0.00        0.00          0.00

A-2                         0.00         0.00      32,798,000.00      100.00000%      0.00
A-2 Outstanding Writedown                0.00               0.00        0.00          0.00

A-3                         0.00         0.00      23,683,000.00      100.00000%      0.00
A-3 Outstanding Writedown                0.00               0.00        0.00          0.00

A-4                         0.00         0.00      11,771,000.00      100.00000%      0.00
A-4 Outstanding Writedown                0.00               0.00        0.00          0.00

A-5                         0.00         0.00      37,665,000.00      100.00000%      0.00
A-5 Outstanding Writedown                0.00               0.00        0.00          0.00

A-6                         0.00         0.00      16,197,000.00      100.00000%      0.00
A-6 Outstanding Writedown                0.00               0.00        0.00          0.00

B-1                         0.00         0.00      17,586,000.00      100.00000%      0.00
B-1 Outstanding Writedown                0.00               0.00        0.00          0.00

B-2                         0.00         0.00       9,255,770.00      100.00000%      0.00
B-2 Outstanding Writedown                0.00               0.00        0.00          0.00

                           ----------------------------------------
                            0.00         0.00     181,109,234.90
                           ========================================
</TABLE>

<PAGE>


OAKWOOD MORTGAGE INVESTORS, INC. 1997-A
OAKWOOD ACCEPTANCE CORP. -  SERVICER                   REPORT DATE:  MAY 6, 1997
REMITTANCE REPORT                                      POOL REPORT # 3
REPORTING MONTH:   Apr-97
                                                       Page 6 of 6

CERTIFICATE INTEREST ANALYSIS


<TABLE>
<CAPTION>
                                                                                                Interest Paid
     Certificate         Remittanc   Beginning     Current      Total      Interest     Ending  Per $1,000     Cert.      TOTAL
        Class               Rate      Balance      Accrual       Paid     Shortfall    Balance  Denomination   Class   DISTRIBUTION
                         ----------------------------------------------------------------------------------------------------------
<S>                       <C>          <C>      <C>          <C>              <C>        <C>         <C>          <C>   <C>
A-1                       5.76750%     0.00     159,553.63   159,553.63       0.00       0.00        4.81       A-1     1,203,202.19
A-1  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
A-1  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

A-2                       6.40000%     0.00     174,922.67   174,922.67       0.00       0.00        5.33       A-2       174,922.67
A-2  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
A-2  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

A-3                       6.65000%     0.00     131,243.29   131,243.29       0.00       0.00        5.54       A-3       131,243.29
A-3  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
A-3  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

A-4                       6.85000%     0.00      67,192.79    67,192.79       0.00       0.00        5.71       A-4        67,192.79
A-4  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
A-4  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

A-5                       7.12500%     0.00     223,635.94   223,635.94       0.00       0.00        5.94       A-5       223,635.94
A-5  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
A-5  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

A-6                       7.45000%     0.00     100,556.38   100,556.38       0.00       0.00        6.21       A-6       100,556.38
A-6  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
A-6  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

B-1                       7.45000%     0.00     109,179.75   109,179.75       0.00       0.00        6.21       B-1       109,179.75
B-1  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
B-1  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

B-2                       8.02500%     0.00      61,897.96    61,897.96       0.00       0.00        6.69       B-2        61,897.96
B-2  Carryover Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00
B-2  Writedown Interest      0.00      0.00           0.00         0.00       0.00       0.00        0.00

Limited Guarantee                      0.00           0.00         0.00       0.00       0.00              Limited Guarantee    0.00
                                       0.00     422,947.88   420,384.94   2,562.94   2,562.94                    X        420,384.94
                                       0.00           0.00         0.00       0.00       0.00                    R              0.00

Service Fee                            0.00     151,794.07   151,794.07       0.00       0.00                          151,794.07
                              ---------------------------------------------------------------                        ------------

                                       0.00   1,602,924.35 1,600,361.41   2,562.94   2,562.94                        2,644,009.97
                                                                                                                     ============
</TABLE>
                                                                               
Disbursed as follows:
- ----------------------------------
X Proceeds to Class A-6 Liquidity Account                          0.00
X Proceeds to Class B-1 Liquidity Account                          0.00
Service Fee to Class B-1 Liquidity Account                         0.00
                                                                --------
                                                            1,600,361.41
                                                            ============



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