IMPERIAL CREDIT COMMERCIAL MORTGAGE ACCEPTANCE CORP
8-K, 1999-05-19
ASSET-BACKED SECURITIES
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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: February 23,1999
(Date of earliest event reported)

Imperial Credit Commercial Mortgage Acceptance Corp.

 (Exact name of registrant as specified in charter) 
 
California              333-61305-01  95-4649530
(State or other juris-  (Commission  (I.R.S. Employer 
diction of organization) File No.)   Identification No.)

11601 Wilshire Blvd., No. 2080, Los Angeles, CA   10004
(Address of principal executive offices)      (Zip Code)

Registrant's Telephone Number, including area code 
(310) 231-1280

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

ITEM 5.	OTHER EVENTS
		
		This Current Report on Form 8-K relates to the 
Trust Fund formed, and the Collateralized Mortgage Bonds, 
Series 1999-1 issued pursuant to, an Indenture document, 
dated as of February 1, 1999 (the "Indenture"), by and among
Imperial Credit Commercial Mortgage Acceptance Corp., 
as sponsor, Banc One Mortgage Capital Markets, as master 
servicer and special servicer, LaSalle National Bank, as trustee 
and REMIC administrator, and ABN AMRO Bank, N.V., as fiscal 
agent.  The Class A-1, Class A-2, Class A-3, Class S, Class X, 
Class B, Class C, Class D, and class E Certificates have been 
registered pursuant to the Act under a Registration Statement 
on Form S-3 File No.333-27083) the "Registration Statement").

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

		Pursuant to Section 7.06 of the Indenture 
Agreement, the Trustee is filing this Current Report containing 
the March 25, 1999 monthly distribution report.


		
This Current Report is being filed by the Trustee,
in its capacity as such under the Indenture, on behalf of the 
Registrant.  The information reported and contained herein has 
been supplied to the Trustee by one or more of the Master Servicer, 
the Special Servicer or other third parties without independent 
review or investigation by the Trustee.  

Pursuant to the Indenture, the Trustee 
is not responsible for the accuracy or completeness of such 
information.

ITEM 7.  FINANCIAL STATEMENTS, PRO FORMA FINANCIAL  
   INFORMATION AND 

EXHIBITS
	  
Exhibit No.	Description
		
99.1         Monthly distribution report pursuant to 
Section 7.06 of the Indenture 
for the distribution on 
March 25, 1999.


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.

LASALLE NATIONAL BANK, IN ITS CAPACITY AS TRUSTEE
UNDER THE INDENTURE ON 
BEHALF OF GS MORTGAGE SECURITIES CORPORATION II, 
REGISTRANT

		By: /s/ Russell Goldenberg	
			Russell Goldenberg, 
			Senior Vice President


Date: May  7, 1999















ABN AMRO
LaSalle National Bank

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1
                                          Statement Date:       03/25/99
ABN AMRO Acct: 67-8112-70-7               Payment Date:         03/25/99
                                          Prior Payment: NA
Administrator:                            Record Date:          03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625      WAC:               9.14305781%
  Chicago, IL   60674-4107                WAMM:                      250

                                          Number Of Pages
Table Of Contents                                       1
Indenture Mortgage Bond Report                          1
Other Related Information                               3
Asset Backed Facts Sheets                               1
Delinquency Loan Detail                                 1
Mortgage Loan Characteristics                           8



Total Pages Included  In This Package                  15


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

Information is available for this issue from the following sources
LaSalle Web Site                          www.lnbabs.com
Servicer Website                          www.bomcm.com

LaSalle Bulletin Board                    (714) 282-3990
LaSalle ASAP Fax System                   (714) 282-5518

ASAP #:                                               370
Monthly Data File Name:                   0370MMYY.EXE
                                                         Page 1 of 15

              Original       Opening      Principal      Principal
Class         Face Value (1) Balance      Payment (4)    Adj. or Loss
CUSIP         Per $1,000     Per $1,000   Per $1,000     Per $1,000

A-1                 100000000    100000000     3367109.71              0
449235AA8                1000         1000     33.6710971              0
A-2                  94831000     94831000              0              0
449235AB6                1000         1000              0              0
S                    12150000     12150000         400000              0
449235AC4                1000         1000     32.9218107              0
A-3                  17447000     17447000              0              0
449235AD2                1000         1000              0              0
B                    11631000     11631000              0              0
449235AE0                1000         1000              0              0
C                    14539000     14539000              0              0
449235AF7                1000         1000              0              0
D                    13085000     13085000              0              0
449235AG5                1000         1000              0              0
E                     4361000      4361000              0              0
449235AH3                1000         1000              0              0
X                     2700000      2700000          50000              0
9ABSC192                 1000         1000    18.51851852              0
F                     8723000      8723000              0              0
9ABSC193                 1000         1000              0              0
G                     5815000      5815000              0              0
9ABSC194                 1000         1000              0              0
H                     7269000      7269000              0              0
9ABSC195                 1000         1000              0              0
                    292551000    292551000     3817109.71              0

              Negative       Closing      Interest       Interest
Class         Amortization   Balance      Payment        Adjustment
CUSIP         Per $1,000     Per $1,000   Per $1,000     Per $1,000

A-1                         0  96632890.29      218541.67              0
449235AA8                   0  966.3289029      2.1854167              0
A-2                         0     94831000      212777.06              0
449235AB6                   0         1000     2.24375004              0
S                           0     11750000              0              0
449235AC4                   0  967.0781893              0              0
A-3                         0     17447000       40455.23              0
449235AD2                   0         1000    2.318749928              0
B                           0     11631000       28326.33              0
449235AE0                   0         1000    2.435416559              0
C                           0     14539000       39467.33              0
449235AF7                   0         1000    2.714583534              0
D                           0     13085000       37973.76              0
449235AG5                   0         1000    2.902083301              0
E                           0      4361000       13291.96              0
449235AH3                   0         1000    3.047915616              0
X                           0      2650000              0              0
9ABSC192                    0  981.4814815              0              0
F                           0      8723000          43615              0
9ABSC193                    0         1000              5              0
G                           0      5815000          29075              0
9ABSC194                    0         1000              5              0
H                           0      7269000              0              0
9ABSC195                    0         1000              0              0
                            0  288733890.3      663523.34              0
              Total P&I Payment                4480633.05
                                                         Page 2 of 15

              Pass-Through
Class         Rate (2)
CUSIP         Next Rate (3)

A-1                5.2450000%
449235AA8          5.2187500%
A-2                5.3850000%
449235AB6          5.3587500%
S
449235AC4
A-3                5.5650000%
449235AD2          5.5387500%
B                  5.8450000%
449235AE0          5.8187500%
C                  6.5150000%
449235AF7          6.4887500%
D                  6.9650000%
449235AG5          6.9387500%
E                  7.3150000%
449235AH3          7.2887500%
X
9ABSC192
F                  6.0000000%
9ABSC193      Fixed
G                  6.0000000%
9ABSC194      Fixed
H
9ABSC195

Notes:  (1) N denotes notional balance not included in total 
(2)  Interest Adjustment minus Deferred Interest equals 
Accrual
(4)  Amounts in this column for Class S and Class X 
represent Class Scheduled Payment Amount, pursuant to
Annex B & An final Prospectus Supplement. Such Amounts 
are paid out o interest excess, and NOT out of the pool 
principal remit

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
Other Related Information

Beginning Loan Count:                                795
Ending Loan Count:                                   785

Beginning Scheduled Balance of the Mortgage 290,793,268.
Ending Scheduled Balance of the Mortgage Loa287,426,158.

Unscheduled Principal Collections, Current P 158,837.39
Cumulative Unscheduled Principal Collections       0.00

Servicer Compensation, Current Period         72,698.32
Special Servicer Compensation, Current Perio       0.00




Advances

          Prior Outstanding    Current Period
          Principal Interest   Principal    Interest

Servicer:          0          0            0           0
Trustee:           0          0            0           0
Fiscal Age         0          0            0           0

TOTALS             0          0            0           0

          Recovered            Outstanding
          Principal Interest   Principal    Interest

Servicer:          0          0            0           0
Trustee:           0          0            0           0
Fiscal Age         0          0            0           0

TOTALS             0          0            0           0

Notes : (1) compromised of the aggregate of curtailments
                 principal adjustments, full payoffs and

                                            Page 3 of  1


ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
Other Related Information

Summary of Appraisal Reductions

                               Principal
#           PropertyLoan NumberBalance

1                  0          0            0
2                  0          0            0
3                             0            0
4                  0          0            0
5                  0          0            0
6                  0          0            0
7                  0          0            0
8                  0          0            0

          Appraisal Appraisal  Date of
          Reduction Date       Reduction

1                  0          0            0
2                  0          0            0
3                  0          0            0
4                  0          0            0
5                  0          0            0
6                  0          0            0
7                  0          0            0
8                  0          0            0

Summary of Repurchased Loans

                               Principal
#           PropertyLoan NumberBalance

1                  0          0            0
2                  0          0            0
3                             0            0
4                  0          0            0
5                  0          0            0
6                  0          0            0
7                  0          0            0
8                  0          0            0

          RepurchaseExpenses
          Date      Incurred   Proceeds

1                  0          0            0
2                  0          0            0
3                  0          0            0
4                  0          0            0
5                  0          0            0
6                  0          0            0
7                  0          0            0
8                  0          0            0

                                            Page 4 of  1

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
Other Related Information

Summary of REO Properties

                               Principal
#                  0Date of REOBalance

         1         0          0            0
         2         0          0            0
         3                    0            0
         4         0          0            0
         5         0          0            0
         6         0          0            0
         7         0          0            0
         8         0          0            0
         9         0          0            0
        10         0          0            0
        11         0          0            0
        12         0          0            0
        13         0          0            0
        14         0          0            0
        15         0          0            0
        16         0          0            0
        17         0          0            0
        18         0          0            0
        19         0          0            0
        20         0          0            0
        21         0          0            0
        22         0          0            0
        23         0          0            0
        24         0          0            0
        25         0          0            0
        26         0          0            0
        27         0          0            0
        28         0          0            0
        29         0          0            0

                    Date of FinAmount       Aggregate Ot
          Book ValueRecovery   of Proceeds  Revenues

         1         0          0            0           0
         2         0          0            0           0
         3         0          0            0           0
         4         0          0            0           0
         5         0          0            0           0
         6         0          0            0           0
         7         0          0            0           0
         8         0          0            0           0
         9         0          0            0           0
        10         0          0            0           0
        11         0          0            0           0
        12         0          0            0           0
        13         0          0            0           0
        14         0          0            0           0
        15         0          0            0           0
        16         0          0            0           0
        17         0          0            0           0
        18         0          0            0           0
        19         0          0            0           0
        20         0          0            0           0
        21         0          0            0           0
        22         0          0            0           0
        23         0          0            0           0
        24         0          0            0           0
        25         0          0            0           0
        26         0          0            0           0
        27         0          0            0           0
        28         0          0            0           0
        29         0          0            0           0

                                            Page 5 of  1

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

DistributiDelinq 1 Month       Delinq 2 Months
Date      #         Balance    #            Balance
  03/25/99         0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%

DistributiDelinq 3+  Months    Foreclosure/Bankruptcy
Date      #         Balance    #            Balance
  03/25/99         0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%

DistributiREO                  Modifications
Date      #         Balance    #            Balance
  03/25/99         0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%
        -          0          0            0           0
             0.0000%    0.0000%      0.0000%     0.0000%

DistributiPrepayments          Curr Weighted Avg.
Date      #         Balance    Coupon       Remit
  03/25/99        10 2969653.09   9.1430578%  8.8350578%
             1.2579%    1.0212%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%
        -          0          0   0.0000000%  0.0000000%
             0.0000%    0.0000%

Note:  Foreclosure and REO Totals are Included in the
          Appropriate Delinquency Aging Category

                                            Page 6 of  1

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Delinquent Loan Detail

          Paid                 Outstanding  Out. Propert
DisclosureThru      Current P&IP&I          Protection
Control # Date      Advance    Advances**   Advances


Total                         0            0           0

                    Special
DisclosureAdvance   Servicer   Foreclosure  Bankruptcy
Control # DescriptioTransfer DaDate         Date



DisclosureREO
Control # Date



A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current period

                                            Page 7 of  1

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Delinquent Loan Detail

          Paid                 Outstanding  Out. Propert
DisclosureThru      Current P&IP&I          Protection
Control # Date      Advance    Advances**   Advances



                    Special
DisclosureAdvance   Servicer   Foreclosure  Bankruptcy
Control # DescriptioTransfer DaDate         Date





DisclosureREO
Control # Date




A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current period

                                            Page 8 of  1

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Delinquent Loan Detail

          Paid                 Outstanding  Out. Propert
DisclosureThru      Current P&IP&I          Protection
Control # Date      Advance    Advances**   Advances



                    Special
DisclosureAdvance   Servicer   Foreclosure  Bankruptcy
Control # DescriptioTransfer DaDate         Date




DisclosureREO
Control # Date





A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current period

                                            Page 9 of  1

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Delinquent Loan Detail

          Paid                 Outstanding  Out. Propert
DisclosureThru      Current P&IP&I          Protection
Control # Date      Advance    Advances**   Advances




                    Special
DisclosureAdvance   Servicer   Foreclosure  Bankruptcy
Control # DescriptioTransfer DaDate         Date





DisclosureREO
Control # Date






A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current period

                                            Page 10 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Delinquent Loan Detail

          Paid                 Outstanding  Out. Propert
DisclosureThru      Current P&IP&I          Protection
Control # Date      Advance    Advances**   Advances



                    Special
DisclosureAdvance   Servicer   Foreclosure  Bankruptcy
Control # DescriptioTransfer DaDate         Date




DisclosureREO
Control # Date





A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current period

                                            Page 11 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Delinquent Loan Detail

          Paid                 Outstanding  Out. Propert
DisclosureThru      Current P&IP&I          Protection
Control # Date      Advance    Advances**   Advances




                    Special
DisclosureAdvance   Servicer   Foreclosure  Bankruptcy
Control # DescriptioTransfer DaDate         Date






DisclosureREO
Control # Date




A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current period

                                            Page 12 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
Pool Total

Distribution of Principal Balances
Current  Scheduled  Number      Scheduled   Based on
Balances            of Loans   Balance      Balance

FROM      TO
         0    100000         42    3,103,772  1.0798504%
 100000.01    200000        281  42,647,478. 14.8377163%
 200000.01    300000        164  40,431,148. 14.0666210%
 300000.01    400000         86  30,192,216. 10.5043385%
 400000.01    500000         63  28,301,489.  9.8465252%
 500000.01    600000         32  17,755,936.  6.1775645%
 600000.01    700000         24  15,809,660.  5.5004252%
 700000.01    800000         14  10,575,364.  3.6793325%
 800000.01    900000         18  15,293,062.  5.3206927%
 900000.01   1000000         12  11,268,002.  3.9203122%
1000000.01   1100000          8    8,279,402  2.8805321%
1100000.01   1200000          9  10,384,710.  3.6130012%
1200000.01   1300000          5    6,213,588  2.1618035%
1300000.01   1400000          6    8,087,605  2.8138029%
1400000.01   1500000          6    8,652,696  3.0104066%
1500000.01   1600000          2    3,138,542  1.0919474%
1600000.01   1700000          1    1,652,122  0.5747989%
1700000.01   1800000          2    3,440,849  1.1971246%
1800000.01   1900000          1    1,801,192  0.6266629%
1900000.01Above               9  20,397,316.  7.0965413%
Total                       785  287,426,158        100%

Average Scheduled Balance is         361,542.34
Maximum  Scheduled Balance is      2,877,501.16
Minimum  Scheduled Balance is            6,541.35

Distribution of Property Types
          Number     Scheduled Based on
Property Tof Loans  Balance    Balance
Multifamil       551185285589.6   64.463718%
Commercial       234102140569.2   35.536282%










Total            785287426158.8         100%

Distribution of Mortgage Interest Rates
 Current Mortgage   Number      Scheduled   Based on
Interest Rate       of Loans   Balance      Balance

FROM      TO
      6.0%or less             1      174,820  0.0608227%
      6.0%      6.5%          0               0.0000000%
      6.5%      7.0%          0               0.0000000%
      7.0%      7.5%         13    6,680,421  2.3242219%
      7.5%      8.0%         27  14,205,046.  4.9421552%
      8.0%      8.5%         55  28,804,134. 10.0214033%
      8.5%      9.0%        260  88,104,865. 30.6530435%
      9.0%      9.5%        192  63,805,214. 22.1988195%
      9.5%     10.0%        143  57,409,385. 19.9736119%
     10.0%     11.0%         68  23,605,174.  8.2126046%
     11.0%     12.0%         22    4,389,271  1.5270954%
     12.0%     13.0%          1        79,81  0.0277687%
     13.0%     14.0%          2      157,929  0.0549461%
     14.0%     15.0%          0               0.0000000%
     15.0%& Above             1        10,08  0.0035072%
Total                       785  287,426,158        100%

W/Avg Mortgage Interest Rate is     9.14310%
Minimum Mortgage Interest Rate      6.00000%
Maximum Mortgage Interest Rate     15.50000%

Geographic Distribution
                    Number      Scheduled   Based on
Geographic Location of Loans   Balance      Balance
California                  470  160,728,531 55.9199386%
Oregon                       55  24,105,164.  8.3865590%
Arizona                      59  22,232,544.  7.7350455%
Washington                   36  21,048,358.  7.3230492%
Colorado                     54  17,042,477.  5.9293411%
Texas                        26  11,367,393.  3.9548918%
Florida                      21    5,924,326  2.0611647%
New York                      8    5,166,655  1.7975594%
New Jersey                   10    3,389,339  1.1792036%
Georgia                       5    2,200,690  0.7656541%
Nevada                        8    2,096,085  0.7292605%
New Mexico                    2    2,046,921  0.7121557%
Massachusetts                 4    1,585,949  0.5517762%
Utah                          4    1,530,596  0.5325182%
Connecticut                   3    1,463,404  0.5091411%
Maryland                      1      921,214  0.3205049%
Rhode Island                  2      543,916  0.1892369%
New Hampshire                 1      524,352  0.1824302%
Oklahoma                      1      502,854  0.1749510%
Maine                         3      482,821  0.1679812%
Illinois                      3      479,160  0.1667073%
Pennsylvania                  1      475,171  0.1653196%
Nebraska                      1      394,684  0.1373167%
Wisconsin                     2      285,557  0.0993498%
Wyoming                       1      274,481  0.0954964%
Ohio                          2      267,963  0.0932286%
Virginia                      1      207,684  0.0722567%
Idaho                         1      137,855  0.0479620%



Total                       785  287,426,158        100%

                                            Page 8 of  1

Distribution of Remaining Term
Fully Amortizing
Fully Amortizing    Number      Scheduled   Based on
Mortgage Loans      of Loans   Balance      Balance
60 months or less             9      522,350   0.181734%
61 to 120 months              7    1,770,859   0.616110%
121 to 180 months             6    2,803,692   0.975448%
181 to 240 months            15    8,176,741   2.844815%
241 to 360 months           502  173,045,410  60.205171%
              Total         539  186,319,054  64.823277%
                               Weighted Aver      329.63

Distribution of DSCR
Debt Service        Number      Scheduled   Based on
Coverage Ratio (1)  of Loans   Balance      Balance
FROM      TO
      0.75or less             0                    0.00%
    0.75011.00                0                    0.00%
    1.00011.25                0                    0.00%
    1.25011.50                0                    0.00%
    1.50011.75                0                    0.00%
    1.75012.00                0                    0.00%
    2.00012.25                0                    0.00%
    2.25012.50                0                    0.00%
    2.50012.75                0                    0.00%
    2.75013.00                0                    0.00%
    3.00013.50                0                    0.00%
    3.50014.00                0                    0.00%
    4.00015.00                0                    0.00%
    5.00016.50                0                    0.00%
    6.5001& above             0                    0.00%
Unknown                     785  287,426,158        100%
Total                       785  287,426,158        100%
                               Weighted Aver       0.00%

Loan Seasoning
                    Number      Scheduled   Based on
Number of Years     of Loans   Balance      Balance
1 year or less      264          102,981,400 35.8288197%
 1+ to 2 years      472          175,817,408 61.1695919%
2+ to 3 years       11             2,275,573  0.7917073%
3+ to 4 years       12             3,089,494  1.0748828%
4+ to 5 years       8              1,416,396  0.4927863%
5+ to 6 years       1                236,943  0.0824361%
6+ to 7 years       0                         0.0000000%
7+ to 8 years       3                350,469  0.1219339%
8+ to 9 years       1                103,958  0.0361688%
9+ to 10 years      0                         0.0000000%
10  years or more   13             1,154,513  0.4016732%
Total               785          287,426,158        100%
                               Weighted Aver 1.341516917

Distribution of Remaining Term
Balloon Loans
Balloon             Number      Scheduled   Based on
Mortgage Loans      of Loans   Balance      Balance
12 months or less             3      629,693    0.21908%
13 to 24 months               3      430,835    0.14989%
25 to 36 months               5    1,538,090    0.53513%
37 to 48 months              10    1,587,484    0.55231%
49 to 60 months               3      502,846    0.17495%
61 to 120 months            219  94,419,488.   32.85000%
121 to 180 months             3    1,998,665    0.69537%
181 to 240 months             0                 0.00000%
Total                       246  101,107,104   35.17672%
                               Weighted Aver      103.74

NOI Aging
                    Number      Scheduled   Based on
NOI Date            of Loans   Balance      Balance
1 year or less                0                        0
1 to 2 years                541  203,558,026   70.82098%
2 Years or More             145  42,629,933.   14.83161%
Unknown                      99  41,238,198.   14.34741%
Total                       785  287,426,158        100%

                                            Page 9 of  1

Distribution of Indices of Mortgage Loans
                    Number      Scheduled   Based on
Indices             of Loans   Balance      Balance
6 Month LIBOR               457  155,622,586   54.14350%
1 Year CMT                   55  32,005,019.   11.13504%
WSJ Prime Rate               26    4,937,996    1.71801%
Fixed Rate Mortgage         247  94,860,557.   33.00345%
          Total             785  287,426,158        100%

Distribution of Amortization Type
                    Number      Scheduled   Based on
Amortization Type   of Loans   Balance      Balance
Fully Amortizing            539  186,319,054   64.82328%
Amortizing Balloon          246  101,107,104   35.17672%
Total                       785  287,426,158        100%

Distribution of Minimum Rates
                    Number      Scheduled   Based on
Minimum Rates (1)   of Loans   Balance      Balance
No Minimum                    0            0           0
FROM      TO
     0.01%     6.50%          0            0           0
     6.51%     7.00%          4   2002424.45   0.696674%
     7.01%     7.25%         73  24288604.58   8.450381%
     7.26%     7.50%        128  40375833.47  14.047376%
     7.51%     7.75%        115  35498830.99  12.350592%
     7.76%     8.00%         99  41071048.94  14.289252%
     8.01%     8.25%         38  17831211.59   6.203754%
     8.26%     8.50%         34  16571217.02   5.765382%
     8.51%     9.00%         18   4417371.28   1.536872%
     9.01%    10.00%         21   8268118.36   2.876606%
    10.01%    11.00%          6   2057167.77   0.715720%
    11.01%    12.00%          2     183773.1   0.063937%
    12.01%& Above             0            0   0.000000%
Fixed Rate Mortgage         247  94860557.29  33.003453%
Total                       785  287426158.8        100%
                               Weighted Aver       16.5%

Distribution of Mortgage Loan Margins
                    Number      Scheduled   Based on
 Mortgage Loan MargiLoans      Balance      Balance
FROM      TO
          No Margin           0                 0.00000%
     0.00%     0.00%          0                 0.00000%
     0.01%     2.50%         25  13,490,022.    4.69339%
     2.51%     3.00%         30  15,379,056.    5.35061%
     3.01%     3.25%         87  32,060,299.   11.15427%
     3.26%     3.50%        238  72,181,791.   25.11316%
     3.51%     4.00%        107  40,987,991.   14.26036%
     4.01%     4.50%         38  15,228,814.    5.29834%
     4.51%     5.00%         13    3,237,624    1.12642%
     5.01%     5.50%          0                 0.00000%
     5.51%& Above             0                 0.00000%
Fixed Rate Mortgage         247  94,860,557.   33.00345%
Total                       785  287,426,158        100%
                               Weighted Aver    8.25000%
(1) For adjustable mortgage loans where a minimum rate
     does not exist the gross margin was used.

Distribution of Interest Adjustment
Interest Adjustment Number      Scheduled   Based on
Frequency           Loans      Balance      Balance
Six Month                   537  192,321,817  66.911731%
One Year                      1      243,783   0.084816%





Fixed Rate Mortgage         247  94,860,557.  33.003453%
Total                       785  287,426,158        100%

                                            Page 10 of

ABN AMRO                       Statement Date:
LaSalle National Bank          Payment Date:
                               Prior Payment:
Administrator:                 Record Date:
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
Fixed Loan Group

Distribution of Maximum Rates
                    Number      Scheduled   Based on
Maximum Rates       of Loans   Balance      Balance
FROM      TO
No Maximum               0                    0.0000000%
     0.01%     11.5%     0                    0.0000000%
    11.51%     12.0%     1           917,686  0.3192774%
    12.01%     12.5%     8         2,958,249  1.0292207%
    12.51%     13.0%     6         1,963,037  0.6829712%
    13.01%     13.5%    266      93,776,000. 32.6261191%
    13.51%     14.0%    196      72,994,438. 25.3958927%
    14.01%     14.5%    37       14,556,333.  5.0643732%
    14.51%     15.0%    12         1,859,195  0.6468429%
    15.01%     15.5%     4         1,140,998  0.3969710%
    15.51%     16.0%     2           927,624  0.3227350%
    16.01%     16.5%     3           846,343  0.2944561%
    16.51%     17.0%     0                    0.0000000%
    17.01%& above        3           625,691  0.2176876%
Fixed Rate Mortgage     247      94,860,557. 33.0034530%
Total                   785      287,426,158        100%

Distribution of Amortization Type
                    Number      Scheduled   Based on
Amortization Type   of Loans   Balance      Balance
Fully Amortizing             16    1,545,633  1.6293741%
Amortizing Balloon          231  93,314,923. 98.3706259%








Total                       247  94,860,557.        100%

Distribution of Payment Adjustment
Payment Adjustment  Number      Scheduled   Based on
Frequency           Loans      Balance      Balance
Six Month                   537  192,321,817 66.9117309%
One Year                      1      243,783  0.0848161%





Fixed Rate Mortgage         247  94,860,557. 33.0034530%
Total                       785  287,426,158        100%

Distribution of Mortgage Interest Rates
 Current Mortgage   Number      Scheduled   Based on
Interest Rate       of Loans   Balance      Balance
FROM      TO
      6.0%Or less             1      174,820  0.1842918%
      6.0%      7.0%          0               0.0000000%
      6.5%      7.0%          0               0.0000000%
      7.0%      7.5%          1      194,365  0.2048960%
      7.5%      8.0%          6      869,228  0.9163225%
      8.0%      8.5%         27  16,091,105. 16.9629040%
      8.5%      9.0%         92  36,600,405. 38.5833757%
      9.0%      9.5%         64  21,084,521. 22.2268578%
      9.5%     10.0%         39  14,805,531. 15.6076793%
     10.0%     11.0%         14    4,872,569  5.1365602%
     11.0%     12.0%          0               0.0000000%
     12.0%     13.0%          0               0.0000000%
     13.0%     14.0%          2      157,929  0.1664858%
     14.0%     15.0%          0               0.0000000%
     15.0%& Above             1        10,08  0.0106268%
Total                       247  94,860,557.        100%
Weighted Average Mortgage Interest Rate is    9.0375000%
Minimum Mortgage Interest Rate is                6.0000%
Maximum Mortgage Interest Rate is               15.5000%

Distribution of Remaining Term
Fully Amortizing
Fully Amortizing    Number      Scheduled   Based on
Mortgage Loans      of Loans   Balance      Balance
60 months or less             9      522,350   0.550651%
61 to 120 months              6      911,750   0.961149%
121 to 180 months             0                0.000000%
181 to 240 months             0                0.000000%
241 to 360 months             1      111,532   0.117575%
Total                        16    1,545,633   1.629374%
                               Weighted Aver       96.77

                                            Page 11 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
LIBOR Loan Group

Distribution of Amortization Type
                    Number     Scheduled    Based on
Amortization Type   of Loans   Balance      Balance
Fully Amortizing            447  149,450,649  96.034036%
Amortizing Balloon           10    6,171,936   3.965964%








Total                       457  155,622,586        100%

Distribution of Remaining Term
Fully Amortizing
Fully Amortizing    Number     Scheduled    Based on
Mortgage Loans      of Loans   Balance      Balance
60 months or less
61 to 120 months              1      859,108    0.55205%
121 to 180 months             6    2,803,692    1.80160%
181 to 240 months            14    7,688,597    4.94054%
241 to 360 months           426  138,099,250   88.73985%
Total                       447  149,450,649   96.03404%
                               Weighted Aver       329.6

Distribution of Remaining Term
Balloon Loans
Balloon             Number      Scheduled   Based on
Mortgage Loans      of Loans   Balance      Balance
12 months or less             2      367,487   0.387398%
13 to 24 months               2      326,876   0.344587%
25 to 36 months               3    1,290,802   1.360737%
37 to 48 months               9    1,454,304   1.533098%
49 to 60 months               3      502,846   0.530090%
61 to 120 months            211  89,215,141.  94.048721%
121 to 180 months             1      157,463   0.165995%
181 to 240 months             0                0.000000%
Total                       231  93,314,923.  98.370626%
                                Weighted Ave      104.06

Distribution of Mortgage Interest Rates
 Current Mortgage   Number     Scheduled    Based on
Interest Rate       of Loans   Balance      Balance
FROM
      0.06Or less             0            0  0.0000000%
      0.06     0.065          0            0  0.0000000%
     0.065      0.07          0            0  0.0000000%
      0.07     0.075          0            0  0.0000000%
     0.075      0.08          1    446889.59  0.2871624%
      0.08     0.085         13   4009781.47  2.5766064%
     0.085      0.09        161   47764297.5 30.6923942%
      0.09     0.095        127  42534069.07 27.3315527%
     0.095       0.1        104  42603853.94 27.3763951%
       0.1      0.11         50  18196291.72 11.6925777%
      0.11      0.12          1     67402.71  0.0433117%
      0.12      0.13          0            0  0.0000000%
      0.13      0.14          0            0  0.0000000%
      0.14      0.15          0            0  0.0000000%
      0.15& Above             0            0  0.0000000%
Total                       457    155622586        100%
Weighted Average Mortgage Interest Rate is    9.3707000%
Minimum Mortgage Interest Rate is                7.8750%
Maximum Mortgage Interest Rate is               11.2500%

                                            Page 12 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
LIBOR Loan Group

Distribution of Minimum Rates
                    Number     Scheduled    Based on
Minimum Rates (1)   of Loans   Balance      Balance
No Minimum Rate
FROM
     0.01%     6.50%          0                        0
     6.51%     7.00%          2    1,426,728  0.9167875%
     7.01%     7.25%         55  15,755,748. 10.1243330%
     7.26%     7.50%        111  31,807,611. 20.4389427%
     7.51%     7.75%        109  31,468,380. 20.2209598%
     7.76%     8.00%         88  33,915,246. 21.7932675%
     8.01%     8.25%         36  16,801,644. 10.7964049%
     8.26%     8.50%         28  12,915,820.  8.2994512%
     8.51%     9.00%          7    2,258,183  1.4510638%
     9.01%    10.00%         16    7,383,527  4.7445089%
    10.01%    11.00%          5    1,889,694  1.2142807%
    11.01%    12.00%          0               0.0000000%
    12.01%& Above             0               0.0000000%

Total                       457  155,622,586        100%
                               Weighted Aver    0.079169

Distribution of Remaining Term
Balloon Loans
Balloon             Number     Scheduled    Based on
Mortgage Loans      of Loans   Balance      Balance
12 months or less             1      262,205  0.1684883%
13 to 24 months               0               0.0000000%
25 to 36 months               0               0.0000000%
37 to 48 months               0               0.0000000%
49 to 60 months               0               0.0000000%
61 to 120 months              7    4,068,528  2.6143558%
121 to 180 months             2    1,841,202  1.1831201%
181 to 240 months             0               0.0000000%
Total                        10    6,171,936  3.9659642%
                               Weighted Aver      104.82

Distribution of Mortgage Loan Margins
                    Number     Scheduled    Based on
 Mortgage Loan MargiLoans      Balance      Balance
FROM      TO
     0.01%     2.50%          0                0.000000%
     2.51%     3.00%          3    1,021,842   0.656616%
     3.01%     3.25%          5    3,767,127   2.420682%
     3.26%     3.50%         73  24,204,639.  15.553423%
     3.51%     4.00%        222  68,061,513.  43.734984%
     4.01%     4.50%        103  40,101,023.  25.768126%
     4.51%     5.00%         38  15,228,814.   9.785736%
     5.01%     5.50%         13    3,237,624   2.080433%
     5.51%    99.00%          0                0.000000%


Total                       457  155,622,586        100%
                               Weighted Aver  4.0524000%

(1) For adjustable mortgage loans where a minimum rate
     does not exist the gross margin was used.

                                            Page 13 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
CMT Loan Group

Distribution of Mortgage Interest Rates
 Current Mortgage   Number     Scheduled    Based on
Interest Rate       of Loans   Balance      Balance
FROM      TO
      6.0%or less             0               0.0000000%
      6.0%      6.5%          0               0.0000000%
      6.5%      7.0%          0               0.0000000%
      7.0%      7.5%         12    6,486,056 20.2657470%
      7.5%      8.0%         20  12,888,928. 40.2715852%
      8.0%      8.5%         15    8,703,247 27.1933842%
      8.5%      9.0%          7    3,740,162 11.6861756%
      9.0%      9.5%          1      186,623  0.5831081%
      9.5%     10.0%          0               0.0000000%
     10.0%     11.0%          0               0.0000000%
     11.0%     12.0%          0               0.0000000%
     12.0%     13.0%          0               0.0000000%
     13.0%     14.0%          0               0.0000000%
     14.0%     15.0%          0               0.0000000%
     15.0%& Above             0               0.0000000%
Total                        55  32,005,019.        100%
          Weighted Average Mortgage Interest  7.9940000%

Distribution of Maximum Rates
                    Number     Scheduled    Based on
Maximum Rates       of Loans   Balance      Balance
No Maximum
FROM      TO
      0.0%     11.5%          0               0.0000000%
     11.5%     12.0%          0               0.0000000%
     12.0%     12.5%          7    2,655,693  1.7064963%
     12.5%     13.0%          3    1,144,562  0.7354730%
     13.0%     13.5%        220  67,224,777. 43.1973145%
     13.5%     14.0%        191  69,679,918. 44.7749395%
     14.0%     14.5%         31  12,841,326.  8.2515826%
     14.5%     15.0%          1      212,748  0.1367077%
     15.0%     15.5%          2      715,080  0.4594963%
     15.5%     16.0%          1      886,273  0.5695016%
     16.0%     16.5%          1      262,205  0.1684883%
     16.5%     17.0%          0               0.0000000%
     17.0%& Above             0               0.0000000%

Total                       457  155,622,586        100%
                                Weighted Ave 13.6847000%

Distribution of Minimum Rates
                    Number     Scheduled    Based on
Minimum Rates (1)   of Loans   Balance      Balance
FROM      TO
No Minimum Rate               0               0.0000000%
      0.0%      6.5%          0               0.0000000%
      6.5%      7.0%          1      408,592  1.2766503%
      7.0%      7.3%         18    8,532,855 26.6609923%
      7.3%      7.5%         17    8,568,222 26.7714957%
      7.5%      7.8%          6    4,030,450 12.5931825%
      7.8%      8.0%         10    6,918,859 21.6180451%
      8.0%      8.3%          1      917,686  2.8673216%
      8.3%      8.5%          2    2,628,352  8.2123125%
      8.5%      9.0%          0               0.0000000%
      9.0%     10.0%          0               0.0000000%
     10.0%     11.0%          0               0.0000000%
     11.0%     12.0%          0               0.0000000%
     12.0%& Above             0               0.0000000%

Total                        55  32,005,019.        100%
                               Weighted Aver  7.6427000%
                                Maximum Mort  9.1250000%

Distribution of Mortgage Loan Margins
                    Number     Scheduled    Based on
 Mortgage Loan MargiLoans      Balance      Balance
FROM      TO
No Margin                     0               0.0000000%
     0.01%     2.50%         21  12,356,300. 38.6073819%
     2.51%     3.00%         17  10,434,187. 32.6017229%
     3.01%     3.25%         12    7,100,974 22.1870637%
     3.26%     3.50%          4    1,732,322  5.4126585%
     3.51%     4.00%          1      381,235  1.1911729%
     4.01%     4.50%          0               0.0000000%
     4.51%     5.00%          0               0.0000000%
     5.01%     5.50%          0               0.0000000%
     5.51%& Above             0               0.0000000%

Total                        55  32,005,019.        100%
                               Weighted Aver  3.2154000%

(1) For adjustable mortgage loans where a minimum rate
     does not exist the gross margin was used.

                                            Page 14 of

ABN AMRO
LaSalle National Bank

Administrator:                 Statement Dat    03/25/99
  Harry Paik  (800) 246-5761   Payment Date:    03/25/99
  135 S. LaSalle Street   SuitePrior PaymentNA
  Chicago, IL   60674-4107     Record Date:     03/10/99

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7
Prime Loan Group

Distribution of Mortgage Interest Rates
 Current Mortgage   Number     Scheduled    Based on
Interest Rate       of Loans   Balance      Balance
FROM      TO
      0.0%or less             0               0.0000000%
      6.0%      6.5%          0               0.0000000%
      6.5%      7.0%          0               0.0000000%
      7.0%      7.5%          0               0.0000000%
      7.5%      8.0%          0               0.0000000%
      8.0%      8.5%          0               0.0000000%
      8.5%      9.0%          0               0.0000000%
      9.0%      9.5%          0               0.0000000%
      9.5%     10.0%          0               0.0000000%
     10.0%     11.0%          4      536,312 10.8609364%
     11.0%     12.0%         21    4,321,868 87.5227270%
     12.0%     13.0%          1        79,81  1.6163366%
     13.0%     14.0%          0               0.0000000%
     14.0%     15.0%          0               0.0000000%
     15.0%& Above             0               0.0000000%
Total                        26    4,937,996        100%
          Weighted Average Mortgage Interest 11.5904000%

Distribution of Maximum Rates
                    Number     Scheduled    Based on
Maximum Rates       of Loans   Balance      Balance
FROM      TO
No Maximum                    0                0.000000%
     0.01%    11.50%          0                0.000000%
    11.51%    12.00%          1      917,686   2.867322%
    12.01%    12.50%          1      302,555   0.945339%
    12.51%    13.00%          2      651,371   2.035218%
    13.01%    13.50%         46  26,551,223.  82.959559%
    13.51%    14.00%          4    3,077,577   9.615921%
    14.01%    14.50%          1      504,604   1.576642%
    14.51%    15.00%          0                0.000000%
    15.01%    15.50%          0                0.000000%
    15.51%    16.00%          0                0.000000%
    16.01%    16.50%          0                0.000000%
    16.51%    17.00%          0                0.000000%
    17.01%& Above             0                0.000000%
Total                        55  32,005,019.        100%
                               Weighted Aver  13.377300%
                               Minimum Mortg     7.2500%

Distribution of Minimum Rates
                    Number     Scheduled    Based on
Minimum Rates (1)   of Loans   Balance      Balance
FROM      TO
No Minimum                    0               0.0000000%
     0.01%     6.50%          0               0.0000000%
     6.51%     7.00%          1      167,103  3.3840409%
     7.01%     7.25%          0               0.0000000%
     7.26%     7.50%          0               0.0000000%
     7.51%     7.75%          0               0.0000000%
     7.76%     8.00%          1      236,943  4.7983633%
     8.01%     8.25%          1      111,880  2.2657008%
     8.26%     8.50%          4    1,027,044 20.7988059%
     8.51%     9.00%         11    2,159,188 43.7259996%
     9.01%    10.00%          5      884,590 17.9139639%
    10.01%    11.00%          1      167,472  3.3915129%
    11.01%    12.00%          2      183,773  3.7216128%
    12.01%& Above             0               0.0000000%

Total                        26    4,937,996        100%
                               Weighted Aver  7.6427000%
                               Minimum Mortg    10.5000%

Distribution of Mortgage Loan Margins
                    Number     Scheduled    Based on
 Mortgage Loan MargiLoans      Balance      Balance
FROM      TO
No Margin                     0                0.000000%
     0.01%     2.50%          1      111,880   2.265701%
     2.51%     3.00%          8    1,177,741  23.850601%
     3.01%     3.25%          2      754,685  15.283237%
     3.26%     3.50%         12    2,387,955  48.358799%
     3.51%     4.00%          3      505,732  10.241663%
     4.01%     4.50%          0                0.000000%
     4.51%     5.00%          0                0.000000%
     5.01%     5.50%          0                0.000000%
     5.51%& Above             0                0.000000%

Total                        26    4,937,996        100%
                               Weighted Aver   0.000000%

(1) For adjustable mortgage loans where a minimum rate
    does not exist the gross margin was used.

Distribution of Maximum Rates
FROM      TO        Number     Scheduled    Based on
Maximum Rates       of Loans   Balance      Balance

No Maximum                    0               0.0000000%
     0.01%    11.50%          0               0.0000000%
    11.51%    12.00%          0               0.0000000%
    12.01%    12.50%          0               0.0000000%
    12.51%    13.00%          1      167,103  3.3840409%
    13.01%    13.50%          0               0.0000000%
    13.51%    14.00%          1      236,943  4.7983633%
    14.01%    14.50%          5    1,210,402 24.5120215%
    14.51%    15.00%         11    1,646,447 33.3424258%
    15.01%    15.50%          2      425,918  8.6253259%
    15.51%    16.00%          1        41,35  0.8374174%
    16.01%    16.50%          2      584,137 11.8294523%
    16.51%    17.00%          0               0.0000000%
    17.01%& Above             3      625,691 12.6709528%

Total                        26    4,937,996        100%
                               Weighted Aver 15.2582000%
                               Maximum Mortg    12.5000%

                                            Page 15 of

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Specially Serviced Loan Detail

          Beginning
DisclosureScheduled Interest   Maturity     Property
Control # Balance   Rate       Date         Type



          Specially
DisclosureServiced
Control # Status CodComments
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0

(A) 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
                                            Appendix A

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Modified Loan Detail

DisclosureModificatiModification
Control # Date      Description
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
                                            Appendix B

ABN AMRO                       Statement Dat    03/25/99
LaSalle National Bank          Payment Date:    03/25/99
                               Prior PaymentNA
Administrator:                 Record Date:     03/10/99
  Harry Paik  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

ICCMAC Multifamily and Commercial Trust 1999-1, Issuer,
Banc One Mortgage Capital Markets, Servicer,
Collateralized Mortgage Bonds
Series 1999-1

ABN AMRO Acct: 67-8112-70-7

Realized Loss Detail

                                            Beginning
DisclosureDist.     Appraisal  Appraisal    Scheduled
Control # Date      Date       Value        Balance
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         0    -               0            0           0
         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

                    Gross ProceAggregate
DisclosureGross     as a % of  Liquidation
Control # Proceeds  Sched PrincExpenses *
         0         0                       0
         0         0                       0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         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 To         0                       0
Cumulative         0                       0

          Net       Net Proceeds
DisclosureLiquidatioas a % of  Realized
Control # Proceeds  Sched. BalaLoss
         0
         0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         0         0          0            0
         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 To         0                       0
Cumulative         0                       0

  *     Aggregate liquidation expenses also include outs
        P&I advances and unpaid servicing fees, unpaid t

                                            Appendix C



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