CHASE MANHATTAN HOME EQUITY LOAN TRUST 1995-1
8-K, 1997-08-19
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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: August 19, 1997
                       -----------------------------------


                            THE CHASE MANHATTAN BANK
              (formerly known as "The Chase Manhattan Bank, N.A.")
             ------------------------------------------------------
                  (Originator of the Trust referred to herein)
             (Exact name of registrant as specified in its charter)


                  CHASE MANHATTAN HOME EQUITY LOAN TRUST 1995-1
                  --------------------------------------------
                      (Issuer with respect to Certificates)


       New York              33-93570                13-2633612
      ---------------     -----------------       ------------------
      (State or other      (Commission            (IRS Employer
      jurisdiction of      File Number)         Identification No.)
      incorporation)


        270 Park Avenue, New York, New York               10017
      -------------------------------------------       ----------
      (Address of principal executive offices)          (Zip code)


                                (212) 270-6000
                ---------------------------------------------------
                (Registrant's telephone number, including area code)

<PAGE>


Item 5. Other Events

    On 7/15/1997,  Chase Manhattan Home Equity Loan Trust 1995-1 (the "Trust")
made the  distribution to  Certificateholders  contemplated  by the Pooling and
Servicing Agreement, dated as of September 1, 1995, between The Chase Manhattan
Bank, as Seller and Servicer, and Norwest Bank Minnesota,  National Association,
as Trustee.

A copy of the  Certificateholder  Report for such  Distribution  Date  delivered
pursuant to section 5.03 of the Pooling and  Servicing  Agreement is being filed
as an exhibit to this Current Report on Form 8-K.


Item 7 (c).     Exhibits
                --------

Exhibit         Description
- -------         -----------

20.1            Monthly Certificateholders statement with respect to the
                July 15, 1997 distribution.


<PAGE>


                             SIGNATURES
                             ----------


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


                                    THE CHASE MANHATTAN BANK 


                                    /s/ William J. Murray
                                    ---------------------
                                    By: William J. Murray
                                    Title: Vice President

Date:  August 19, 1997



<PAGE>

                                        INDEX TO EXHIBITS
                                        -----------------

                                                   
  Exhibit                   Description                                
  -------                   -----------                            

     20.1           Certificateholder Report dated                 
                    7/15/1997 delivered pursuant to 
                    Section 5.03 of the  Pooling  and  
                    Servicing   Agreement dated as  of
                    September 1, 1995.




                                                               Exhibit 20.1
                                                               ------------     

                       MONTHLY CERTIFICATE HOLDERS REPORT
                       ----------------------------------

Due Period :  22Beginning Date     :  06/01/1997  End Date         : 06/30/1997
                Determination Date :  07/10/1997  Remittance Date  : 07/15/1997


                       CHASE HOME EQUITY LOAN TRUST, Series 1995-1

     I. Floating Allocation Percentage

Beginning %   97.368185728267%
Ending %      97.326801796322%

    II. Cash Received

SERVICER        The Chase Manhattan Bank
Interest Collected                2,493,714.14
Principal Collected              11,771,899.05
Additional Draw                   6,999,425.26

   III. Pool Balance

Beginning Balance      308,287,356.26     308,287,356.26
Principal Payments      13,681,589.95      13,681,589.95
Prin Pay Rev             1,909,690.90       1,909,690.90
Advances                 8,337,903.87       8,337,903.87
Advance Rev              1,338,478.61       1,338,478.61
Liquidation Loss             9,060.91           9,060.91
Ending Balance         303,505,821.56     303,505,821.56

    IV. Interest to Certificateholders
<TABLE>
<CAPTION>

              TRANCH       Beg. Balance          Rate       Schduled Int    Int Shrtfall   Disbrsed Int
            <S>        <C>                 <C>             <C>             <C>           <C>                         
                 A-1     268,160,317.36        5.92750000%  $ 1,280,446.89       $ 0.00     $ 1,280,446.89
                 A-2      29,984,227.26        5.89000000%    $ 142,266.83       $ 0.00       $ 142,266.83
               TOTAL     298,144,544.62                     $ 1,422,713.72       $ 0.00     $ 1,422,713.72

                  SI       8,116,349.95        0.00000000%     $ 62,270.76       $ 0.00        $ 62,270.76
               TOTAL       8,116,349.95                        $ 62,270.76       $ 0.00        $ 62,270.76

     V. Principal to Certificateholders

              TRANCH       Beg. Balance    Schduled Principal     Recovered Loss   Ending Principal       Cert. Factor
              <S>      <C>               <C>                    <C>             <C>                   <C>                          
              
                A-1     268,160,317.36       4,300,443.99               0.00     263,859,873.37          0.7375844
                A-2      29,984,227.26         480,852.24               0.00      29,503,375.02          0.7375844
               TOTAL    298,144,544.62       4,781,296.23               0.00     293,363,248.39

                  SI     8,116,349.95                0.00               0.00       8,116,349.95          0.9999144
               TOTAL     8,116,349.95                0.00               0.00       8,116,349.95
</TABLE>

    VI. Overdue Interest

               GROUP   Overdue Interest    Int. On Overdue  Remaining Overdue
  MORTGAGE GROUP ONE               0.00               0.00               0.00

   VII. Invested Amount

               GROUP    Invested Amount
  MORTGAGE GROUP ONE     295,392,509.39



<PAGE>
                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  22Beginning Date     :  06/01/1997  End Date         : 06/30/1997
                Determination Date :  07/10/1997  Remittance Date  : 07/15/1997


  VIII. Liquidation Loss

Liquidation Loss Amount           9,060.91
Loss Investor Cert.               8,822.44
Reimbursed Amount                     0.00
Unreimbursed Amount                   0.00

    IX. Loss Recovery

Total Amount               0.00

     X. Servicing Fee

SERVICER      The Chase Manhattan Bank
Beginning Balance             308,287,356.26
Rate                                 0.5000%
Servicing Fee                     128,453.07

<TABLE>
<CAPTION>

    XI. Single Certificate Principal Distribution

              TRANCH      Orig. Balance   Sched. Principal   Certificate Value    Pr.Dist / Cert.
              <S>      <C>               <C>                 <C>               <C>                                     
                 A-1     357,735,172.00       4,300,443.99           1,000.00    $ 12.0213060571
                 A-2      40,000,000.00         480,852.24           1,000.00    $ 12.0213060000
               TOTAL     397,735,172.00       4,781,296.23

                  SI       8,117,044.57               0.00           1,000.00     $ 0.0000000000
               TOTAL       8,117,044.57               0.00


   XII. Single Certificate Interest Distribution

              TRANCH      Orig. Balance    Sched. Interest   Certificate Value   Int.Dist / Cert.
             <S>       <C>                <C>               <C>                 <C>                       
                 A-1     357,735,172.00       1,280,446.89           1,000.00     $ 3.5793150638
                 A-2      40,000,000.00         142,266.83           1,000.00     $ 3.5566707500
               TOTAL     397,735,172.00       1,422,713.72

                  SI       8,117,044.57          62,270.76           1,000.00     $ 7.6716050359
               TOTAL       8,117,044.57          62,270.76
</TABLE>

  XIII. Insured Payment

               GROUP             Amount
  MORTGAGE GROUP ONE               0.00

   XIV. Transfer Deposit Amount

               GROUP             Amount
  MORTGAGE GROUP ONE               0.00

    XV. Delinquency Information for Due Period

              PERIOD Number of   Principal Balance
             30 DAYS        127       4,466,234.96
             60 DAYS          8         216,168.69
             90 DAYS          3          87,633.49
           120+ DAYS         30       1,252,516.48
               TOTAL        168       6,022,553.62

           FORECLOSR          0               0.00
               TOTAL          0               0.00

                 REO          0               0.00
               TOTAL          0               0.00

   XVI. Book Value REO Property

               GROUP              Value
  MORTGAGE GROUP ONE               0.00

  XVII. Servicer Advance

SERVICER            The Chase Manhattan Bank
Required Advances                             0.00
Nonrecoverable Advances                       0.00



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