SALOMON BROS MORT SEC VII INC MOR PA THR CERT SE 1997 HUD-1
8-K, 1998-01-08
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:  December 26, 1997
  (Date of earliest event reported)
  
      Salomon Brothers Mortgage Securities VII, Inc. 
              (Depositor)
        (Issuer in Respect of 
  Mortgage Pass-Through Certificates 
          Series 1997-HUD1)
    (Exact name of registrant as specified in charter)  
  
  Delaware               333-24489   13-3408716
  (State or other juris-  (Commission (I.R.S. Employer 
  diction of organization)File No.)Identification No.)
  
  
  399 Park Avenue, New York, New York      10043
  (Address of principal executive offices) (Zip Code)
  
  
  Registrant's Telephone Number, including area code 
  (212) 559-6899
  
  
  (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 Mortgage Pass-Through
  Certificates Series 1997-HUD1 issued pursuant to, a 
  Pooling and Servicing Agreement, dated as of April 1, 
  1997 (the "Pooling and Servicing Agreement"), by and 
  among Salomon Brothers Mortgage Securites VII, Inc., 
  as depositor, Ocwen Federal Bank FSB, as master 
  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 A-4, Class 
  IO, Class A-WAC, Class B-1, Class B-2 and Class B-3
  Certificates have been registered pursuant to the Act 
  under a Registration Statement on Form S-3 (File No.
  333-24489) (the "Registration Statement").
  
          Capitalized terms used herein and not defined
  herein have the same meanings ascribed to such terms in 
  the Pooling and Servicing Agreement.
          
          This Current Report is being filed by the 
  Trustee, in its capacity as such under the Pooling and
  Servicing Agreement, on behalf of the Registrant.  The
  information reported and contained herein has been 
  supplied to the 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 Pooling and Servicing Agreement,
  the Trustee is not responsible for the accuracy or
  completeness of such information.
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  
  ITEM 7. FINANCIAL STATEMENTS, PRO FORMA FINANCIAL
  INFORMATION
          AND EXHIBITS
  
          (c)     Exhibits
          
  
            
  Exhibit No.                 Description
  
          
  
     99                  Monthly distribution report
  pursuant to
                         Section 4.02 of the Pooling and
  Servicing
  Agreement for the distribution on
                           December 26, 1997
                           
  
                    
                                                            
  
          
  
  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 POOLING AND 
                              SERVICING AGREEMENT ON 
                        BEHALF OF MORTGAGE CAPTIAL
                                   FUNDING, INC, REGISTRANT
  
  
  
  
  
                                   By: /s Russell Goldenberg
                                   Russell Goldenberg, 
                                   Senior Vice President
  
  
  
  Date: December 30, 1997
  
  
    
  
  
  
  
  ABN AMRO
  LaSalle National Bank
  
  Administrator:
    Ryan Kutty  (800) 246-5761
    135 S. LaSalle Street   Suite 1625
    Chicago, IL   60674-4107
  
  Salomon Brothers Mortgage Securites VII, Inc.
  Ocwen Federal Bank FSB, as Master Servicer
  Mortgage Pass-Through Certificates
  Series 1997-HUD1
  
  ABN AMRO Acct: 67-7741-60-5
  
  Statement Date:       12/26/97
  Payment Date:         12/26/97
  Prior Payment:        11/25/97
  Record Date:          11/28/97
  
  WAC:                 9.782649%
  WAMM:                      220
  
                                         Number Of Pages
  
  Table Of Contents                        1
  
  REMIC Certificate Report                 3
  
  Other Related Information                4
  
  Asset Backed Facts Sheets                1
  
  Total Pages Included  In This Package    9
  
  Specially Serviced Loan Detail         Appendix A
  Modified Loan Detail                   Appendix B
  Realized Loss Detail                   Appendix C
  
  
  REMIC III
  
                 Original       Opening      Principal
  Class          Face Value (1) Balance      Payment
  CUSIP          Per $1,000     Per $1,000   Per $1,000
  
  A-1             101,348,000.0085,605,862.33   2,653,394.48
  79548KUM8       1000.000000000844.672438825   26.181024589
  A-2              18,363,000.0018,363,000.00           0.00
  79548KUN6       1000.0000000001000.00000000    0.000000000
  A-3              26,662,000.0026,662,000.00           0.00
  79548KUP1       1000.0000000001000.00000000    0.000000000
  A-4              51,188,000.0051,188,000.00           0.00
  79548KUQ9       1000.0000000001000.00000000    0.000000000
  IO              272,449,770.12255,849,191.1           0.00
  79548KUS5       1000.000000000939.069212785    0.000000000
  A-WAC            52,694,064.0047,011,277.69     495,889.84
  79548KUR7       1000.000000000892.155095306    9.410734386
  B-1              12,230,000.0012,100,665.55      18,945.52
  79548KUT3       1000.000000000989.424820114    1.549102208
  B-2               8,969,000.00 8,874,151.21      13,893.90
  79548KUU0       1000.000000000989.424819935    1.549102464
  B-3              15,492,000.0015,328,169.33      23,998.69
  79548KUV8       1000.000000000989.424821198    1.549102117
  B-4              11,415,000.0011,294,284.34      17,683.00
  7955019V9       1000.000000000989.424821726    1.549102059
  B-5               9,785,000.00 9,681,521.87      15,157.97
  7955019W7       1000.000000000989.424820644    1.549102708
  B-6              16,997,770.1216,751,536.52      26,227.20
  7955019X5       1000.000000000985.513770438    1.542978862
  R-III                     0.00         0.00           0.00
  79548KVB1       1000.000000000  0.000000000    0.000000000
  
                  325,143,834.12302,860,468.8   3,265,190.60
  
  
  Class     Principal      Negative     Closing
  CUSIP     Adj. or Loss   Amortization Balance
            Per $1,000     Per $1,000   Per $1,000
  
  A-1                  0.00         0.00  82,952,467.85
  79548KUM8     0.000000000  0.000000000  818.491414236
  A-2                  0.00         0.00  18,363,000.00
  79548KUN6     0.000000000  0.0000000001,000.000000000
  A-3                  0.00         0.00  26,662,000.00
  79548KUP1     0.000000000  0.0000000001,000.000000000
  A-4                  0.00         0.00  51,188,000.00
  79548KUQ9     0.000000000  0.0000000001,000.000000000
  IO                   0.00         0.00 253,060,192.28
  79548KUS5     0.000000000  0.000000000  928.832467609
  A-WAC                0.00         0.00  46,515,387.85
  79548KUR7     0.000000000  0.000000000  882.744360921
  B-1                  0.00         0.00  12,081,720.03
  79548KUT3     0.000000000  0.000000000  987.875717907
  B-2                  0.00         0.00   8,860,257.31
  79548KUU0     0.000000000  0.000000000  987.875717471
  B-3                  0.00         0.00  15,304,170.64
  79548KUV8     0.000000000  0.000000000  987.875719081
  B-4                  0.00         0.00  11,276,601.34
  7955019V9     0.000000000  0.000000000  987.875719667
  B-5                  0.00         0.00   9,666,363.90
  7955019W7     0.000000000  0.000000000  987.875717936
  B-6              19698.11         0.00  16,705,611.21
  7955019X5     1.158864360  0.000000000  982.811927215
  R-III                0.00         0.00           0.00
  79548KVB1     0.000000000  0.000000000    0.000000000
  
                  19,698.11         0.00 299,575,580.13
  
  
            Interest       Interest     Pass-Through
  Class     Payment        Adjustment   Rate (2)
  CUSIP     Per $1,000     Per $1,000   Next Rate (3)
  
  A-1            497,227.38         0.00    6.97000000%
  79548KUM8     4.906139046   0.00000000         Fixed
  A-2            112,779.43         0.00    7.37000000%
  79548KUN6     6.141666939   0.00000000         Fixed
  A-3            166,859.68         0.00    7.51000000%
  79548KUP1     6.258333208   0.00000000         Fixed
  A-4            328,456.33         0.00    7.70000000%
  79548KUQ9     6.416666602   0.00000000    7.70000000%
  IO             145,173.10         0.00    0.68090000%
  79548KUS5     0.532843540   0.00000000         Fixed
  A-WAC          249,723.97         0.00    1.17127108%
  79548KUR7     4.739129060   0.00000000    1.17127108%
  B-1             78,150.13         0.00    7.75000000%
  79548KUT3     6.390035159   0.00000000    7.75000000%
  B-2             57,312.23         0.00    7.75000000%
  79548KUU0     6.390035678   0.00000000    7.75000000%
  B-3             98,994.43         0.00    7.75000000%
  79548KUV8     6.390035502   0.00000000    7.75000000%
  B-4             72,942.25         0.00    7.75000000%
  7955019V9     6.390035042   0.00000000    7.75000000%
  B-5             62,526.50         0.00    7.75000000%
  7955019W7     6.390035769   0.00000000    7.75000000%
  B-6            108,187.00         0.00    7.75000000%
  7955019X5     6.364776040   0.00000000    7.75000000%
  R-III                0.00         0.00
  79548KVB1     0.000000000   0.00000000
  
  
  Total P&I Payme        1,978,3         0.00
                         5,243,523.03
  
  Notes:  (1) N denotes notional balance not included in total
  (2) Interest Paid minus Interest Adjustment minus Deferred Interest
  equal
  
  
           Original       Opening      Principal
  Class    Face Value (1) Balance      Payment
  CUSIP    Per $1,000     Per $1,000   Per $1,000
  
  A-1       101,348,000.00  85605862.33     2653394.48
  None      1000.000000000844.672438825   26.181024589
  A-2        18,363,000.0018,363,000.00           0.00
  None      1000.0000000001000.00000000    0.000000000
  A-3        26,662,000.0026,662,000.00           0.00
  None      1000.0000000001000.00000000    0.000000000
  A-4        51,188,000.0051,188,000.00           0.00
  None      1000.0000000001000.00000000    0.000000000
  WAC        52,694,064.0047,011,277.69     495,889.84
  None      1000.000000000892.155095306    9.410734386
  B-1        12,230,000.0012,100,665.55      18,945.52
  None      1000.000000000989.424820114    1.549102208
  B-2         8,969,000.00 8,874,151.21      13,893.90
  None      1000.000000000989.424819935    1.549102464
  B-3        15,492,000.0015,328,169.33      23,998.69
  None      1000.000000000989.424821198    1.549102117
  B-4        11,415,000.0011,294,284.34      17,683.00
  None      1000.000000000989.424821726    1.549102059
  B-5         9,785,000.00 9,681,521.87      15,157.97
  None      1000.000000000989.424820644    1.549102708
  B-6        16,997,770.1216,751,536.52      26,227.20
  None      1000.000000000985.513770438    1.542978862
  R-II                0.00         0.00           0.00
  79548KVA3 1000.000000000  0.000000000    0.000000000
  
            325,143,834.12302,860,468.8   3,265,190.60
  
  
           Principal      Negative     Closing
  Class    Adj. or Loss   Amortization Balance
  CUSIP    Per $1,000     Per $1,000   Per $1,000
  
  A-1             0.00         0.00    82952467.85
  None     0.000000000  0.000000000  818.491414236
  A-2             0.00         0.00  18,363,000.00
  None     0.000000000  0.000000000 1000.000000000
  A-3             0.00         0.00  26,662,000.00
  None     0.000000000  0.000000000 1000.000000000
  A-4             0.00         0.00  51,188,000.00
  None     0.000000000  0.000000000 1000.000000000
  WAC             0.00         0.00  46,515,387.85
  None     0.000000000  0.000000000  882.744360921
  B-1             0.00         0.00  12,081,720.03
  None     0.000000000  0.000000000  987.875717907
  B-2             0.00         0.00   8,860,257.31
  None     0.000000000  0.000000000  987.875717471
  B-3             0.00         0.00  15,304,170.64
  None     0.000000000  0.000000000  987.875719081
  B-4             0.00         0.00  11,276,601.34
  None     0.000000000  0.000000000  987.875719667
  B-5             0.00         0.00   9,666,363.90
  None     0.000000000  0.000000000  987.875717936
  B-6        19,698.11         0.00  16,705,611.21
  None     1.158864360  0.000000000  982.811927215
  R-II            0.00         0.00           0.00
  79548KVA30.000000000  0.000000000    0.000000000
  
         19,698.11         0.00 299,575,580.13
  
  
           Interest       Interest     Pass-Through
  Class    Payment        Adjustment   Rate (2)
  CUSIP    Per $1,000     Per $1,000   Next Rate (3)
  
  A-1         661940.16         0.00   9.278899420%
  None      6.531358882  0.000000000   9.209147170%
  A-2        141,990.36         0.00   9.278899420%
  None      7.732416272  0.000000000   9.209147170%
  A-3        206,161.68         0.00   9.278899420%
  None      7.732416173  0.000000000   9.209147170%
  A-4        395,806.92         0.00   9.278899420%
  None      7.732416191  0.000000000   9.209147170%
  WAC              0.00         0.00
  None      0.000000000  0.000000000
  B-1         93,567.38         0.00   9.278899420%
  None      7.650644317  0.000000000   9.209147170%
  B-2         68,618.63         0.00   9.278899420%
  None      7.650644442  0.000000000   9.209147170%
  B-3        118,523.78         0.00   9.278899420%
  None      7.650644203  0.000000000   9.209147170%
  B-4         87,332.11         0.00   9.278899420%
  None      7.650644766  0.000000000   9.209147170%
  B-5         74,861.56         0.00   9.278899420%
  None      7.650644865  0.000000000   9.209147170%
  B-6        129,529.85         0.00   9.278899420%
  None      7.620402505  0.000000000   9.209147170%
  R-II             0.00         0.00
  79548KVA3 0.000000000  0.000000000
  
               1,978,332.43         0.00
  Total P&I Payme   5,243,523.03
  
  Notes:  (1) N denotes notional balance not included in total
  (2) Interest Paid minus Interest Adjustment minus Deferred Interest
  equal
  
  
                 Opening        Opening      Principal
  Class          Face Value (1) Balance      Payment
  CUSIP          Per $1,000     Per $1,000   Per $1,000
  
  Regular Interes  52,694,064.0047,011,277.69     495,889.84
  None            1000.000000000892.155095306    9.410734386
  Regular Interes 272,449,770.12255,849,191.1   2,769,300.76
  None            1000.000000000939.069212785   10.164445207
  
                  325,143,834.12302,860,468.8   3,265,190.60
  
                 Principal      Negative     Closing
  Class          Adj. or Loss   Amortization Balance
  CUSIP          Per $1,000     Per $1,000   Per $1,000
  
  Regular Interes           0.00         0.00  46,515,387.85
  None               0.000000000  0.000000000  882.744360921
  Regular Interes      19,698.11         0.00 253,060,192.28
  None               0.072299969  0.000000000  928.832467609
  
                       19,698.11         0.00 299,575,580.13
  
                 Interest       Interest     Pass-Through
  Class          Payment        Adjustment   Rate (2)
  CUSIP          Per $1,000     Per $1,000   Next Rate (3)
  
  Regular Interes           0.00         0.00
  None               0.000000000  0.000000000
  Regular Interes   1,978,332.43         0.00   9.278899420%
  None               7.261273992  0.000000000   9.209147170%
  
                    1,978,332.43         0.00
  Total P&I Payme   5,243,523.03
  
  Notes:  (1) N denotes notional balance not included in total
  (2) Interest Paid minus Interest Adjustment minus Deferred Interest
  equal
  ABN AMRO
  LaSalle National Bank
  
  Administrator:
    Ryan Kutty  (800) 246-5761
    135 S. LaSalle Street   Suite 1625
    Chicago, IL   60674-4107
  
  Salomon Brothers Mortgage Securites VII, Inc.
  Ocwen Federal Bank FSB, as Master Servicer
  Mortgage Pass-Through Certificates
  Series 1997-HUD1
  
  ABN AMRO Acct: 67-7741-60-5
  Other Related Information
  
  Statement Date:   12/26/97
  Payment Date:     12/26/97
  Prior Payment:    11/25/97
  Record Date:      11/28/97
  
  
  
         Accrued      ReimbursementNet
         Certificate  of Prior     Prepayment
  Class  Interest     Losses       Int. Shortfalls
  
  A-1       497,227.38       0.00     0.00
  A-2       112,779.43       0.00     0.00
  A-3       166,859.68       0.00     0.00
  A-4       328,456.33       0.00     0.00
  IO        145,173.10       0.00     0.00
  A-WAC     249,723.97       0.00     0.00
  B-1        78,150.13       0.00     0.00
  B-2        57,312.23       0.00     0.00
  B-3        98,994.43       0.00     0.00
  B-4        72,942.25       0.00     0.00
  B-5        62,526.50       0.00     0.00
  B-6       108,187.01  19,698.12     0.00
  
  Total   1,978,332.44  19,698.12     0.00
  
  
            Prior        Ending                 Actual
            Unpaid       Unpaid    Interest     Distribution
  Class     Interest     Interest  Loss         of Interest
  
  A-1         0.00       0.00      0.00    497,227.38
  A-2         0.00       0.00      0.00    112,779.43
  A-3         0.00       0.00      0.00    166,859.68
  A-4         0.00       0.00      0.00    328,456.33
  IO          0.00       0.00      0.00    145,173.10
  A-WAC       0.00       0.00      0.00    249,723.97
  B-1         0.00       0.00      0.00     78,150.13
  B-2         0.00       0.00      0.00     57,312.23
  B-3         0.00       0.00      0.00     98,994.43
  B-4         0.00       0.00      0.00     72,942.25
  B-5         0.00       0.00      0.00     62,526.50
  B-6         0.00       0.00      0.00    108,187.00
  
  Total       0.00       0.00      0.00  1,978,332.43
  
  
  P&I Advances made by:  Beginning    Current                    Ending
                         Unreimbursed Period       Reimbursed   
  Unreimbursed
  
  Servicer             242,361.04   264,122.12    242,361.04   264,122.12
  Trustee                    0.00         0.00          0.00         0.00
  Fiscal Agent               0.00         0.00          0.00         0.00
  
  Total P&I Advances   242,361.04   264,122.12    242,361.04   264,122.12
  
  
  Cumulative Extraordinary Trust Fund Expenses Applied to the
  Certificates for the Current Distribution Date                 0.00
  Cumulative Extraordinary Trust Fund Expenses Applied to the
  Certificates Since the Closing Date                            0.00
  
  Aggregate Amount of Relief Act Interest Shortfalls for the
  Current Distribution Date                                      0.00
  Cumulative Amount of Relief Act Interest Shortfalls Since the C0.00
  
  Beginning Stated Principal Balance of the Mortgage
  Loans and any REO Properties                                  
  255,849,191.15
  
  Ending Stated Principal Balance of the Mortgage
  Loans and any REO Properties                                  
  253,060,192.27
  
  Aggregate Beginning Arrearage Balance of the Mortgage Loans   
  47,769,540.32
  Aggregate Ending Arrearage Balance of the Mortgage Loans      
  47,257,727.30
  Aggregate Amount of Arrearage Collected in the Current Prepayme  
  511,813.02
  
  Aggregate Amount of Principal Prepayments during Current Period
  2,267,217.94
  Actual Collections of Arrearage during the Current Period        
  511,813.02
  
  Beginning Aggregate Certificate Notional Amount of Class A-WAC
  255,849,191.15
  Ending Aggregate Certificate Notional Amount of Class A-WAC
  Cer253,060,192.27
  
  Beginning Legal Balance              303,618,731.47
  Ending Legal Balance                 300,317,919.57
  
  Beginning Loan Count                      6,340.00
  Ending Loan Count                         6,277.00
  
  Amount of Arrearage Paid on Loans that Prepaid         0.00
  
  
   REO Property Information
   During Preceding Calendar Month        Last Day of Preceding Calendar
  Month
                Stated                                  Stated
   Loan         Principal    Outstanding  Loan          Principal   
  Outstanding
   Number       Balance      Arrearage    Number        Balance     
  Arrearage
  
  1
  2
  3
  4
  5
  
   Total        0.00         0.00                       0.00        0.00
  
  
    REO Loans Liquidated in Preceding Calendar Month
  
              Stated
    Loan      Principal    Outstanding  Realized
    Number    Balance      Arrearage    Losses
  
   1
   2
   3
   4
   5
  
    Total      0.00         0.00          0.00
  
  
  Reserve Fund
  
  Prior Balance                   0.00
  Deposits                        0.00
  Withdrawals                     0.00
  
  Current Reserve Balance         0.00
  
  
  Summary of Expenses:
  
  Current Period Servicing Fees             106,603.83
  Current Period Trustee Fees                     799.53
  Current Period Special Servicing Fee         0.00
  Principal Recovery Fees                      0.00
  Other Servicing Compensation                 0.00
  
  Total                                     107,403.36
  
  Realized Loss Information
  
  Component              Prior        Current      Cumulative
  
  Mortgage Pool               194,755.       19,698        214,453.44
  Certificates                  66,594       19,698          86,292.48
  
  
  DistributiDelinq 1 Month    Delinq 2 Months    Delinq 3+  Months
  Date      #       Balance      #     Balance       #     Balance
  12/26/97      86   4,086,372.     39   2,219,429     150 8,319,737.8
             1.36%       1.597%  0.62%      0.867%   2.37%      3.252%
  11/25/97      58   3,214,307.     47   2,506,439     114 6,356,688.3
             0.90%       1.243%  0.73%      0.969%   1.78%      2.457%
  10/27/97     105   5,002,716.     33   1,682,559      92 5,192,524.9
             1.63%       1.917%  0.51%      0.645%   1.42%      1.990%
   9/25/97      61   3,003,126.     38   2,095,503      70 3,818,040.8
          `              1.141%  0.58%      0.796%   1.07%      1.451%
   8/25/97      60   2,967,080.     38   1,936,464      43 2,377,418.1
             0.91%       1.114%  0.58%      0.727%   0.65%      0.893%
   7/25/97      56   2,628,369.     52   2,701,328       3    201,966.
             0.84%       0.978%  0.78%      1.005%   0.05%      0.075%
   6/25/97      80   3,581,904.      2      140,21       1      61,964
             1.19%       1.319%  0.03%      0.052%   0.01%      0.023%
  
  
  DistributiForeclosure/Bankruptcy    REO     Bankruptcies
  Date      #      Balance      #      Balance    #       Balance
  12/26/97     106   5606207.44   31    2092031.57        10   529938.79
             1.67%     2.191%    0.49%    0.818%    0.16%      0.207%
  11/25/97       0          0        0         0        0           0
             0.00%     0.000%    0.00%    0.000%    0.00%      0.000%
  10/27/97       0          0        0         0        0           0
             0.00%     0.000%    0.00%    0.000%    0.00%      0.000%
   9/25/97       0          0        0         0        0           0
             0.00%     0.000%    0.00%    0.000%    0.00%      0.000%
   8/25/97      57    3364602        0         0        0           0
             0.86%     1.264%    0.00%    0.000%    0.00%      0.000%
   7/25/97       0          0        0         0        0           0
             0.00%     0.000%    0.00%    0.000%    0.00%      0.000%
   6/25/97       0          0        0         0        0           0
             0.00%     0.000%    0.00%    0.000%    0.00%      0.000%
  
  
  DistributiPrepayments      Curr Weighted Avg.
  Date      #     Balance      Coupon     Remit
  12/26/97     63   2,267,217. 9.7826%  9.2789%
            0.99%       0.886%
  11/25/97     72   2,285,354. 9.7824%  9.2787%
            1.12%       0.883%
  10/27/97     47   1,751,596. 9.7823%  9.2785%
            0.73%       0.671%
   9/25/97     62   1,812,403. 9.7816%  9.2779%
            0.95%       0.689%
   8/25/97     69   2,515,887. 9.7836%  9.2799%
            1.05%       0.945%
   7/25/97     65   2,019,656. 9.7827%  9.2789%
            0.98%       0.751%
   6/25/97     68   2,222,545. 9.7823%  9.2786%
            1.01%       0.819%
  
  
  
  Specially Serviced Loan Detail
  
            Beginning                              Specially
  DisclosureScheduled Interest Maturity  Property  Serviced
  Control # Balance   Rate     Date      Type      Status Code (Comments
  
  
  
  
  
  
  (1)       Legend :
            1)  Request for waiver of Prepayment Penalty
            2)   Payment default
            3)   Request for Loan Modification or Workout
  
            4)  Loan with Borrower Bankruptcy      7)  Loans Paid Off
            5)  Loan in Process of Foreclosure     8)  Loans Returned to
  Master Servicer
            6)  Loan now REO Property
  
  
  
  
  Modified Loan Detail
  
  DisclosureModification Modification
  Control # Date         Description
  
  
  
  
  
  
  
  
  Realized Loss Detail
                                                   Beginning
  Dist.     Disclosure   Appraisal    Appraisal    Scheduled     Gross
  Date      Control #    Date         Value        Balance       Proceeds
   6/25/97   6/14/46                                42,409.01
   6/25/97   9/16/78                                78,676.90
   6/25/97   3/22/94                                65,963.36
   6/25/97   4/27/38                                29,962.78
   6/25/97   4/22/03                                50,479.41
   7/25/97   3/15/87                                36,8         36,944.85
   8/25/97  10/11/37                                54,4         57,115.90
   8/25/97   11/4/22                                20,7         18,830.43
   8/25/97   10/5/36                                49,0         47,915.91
   8/25/97  10/26/86                                65,8         67,007.96
   8/25/97   2/26/94                                54,4         60,190.42
  10/27/97   8/12/40                                65,8         64,994.58
  10/27/97   4/22/99                                50,5         51,894.16
  10/27/97    9/7/92                                76,9         64,634.18
  11/25/97   9/22/29                                45,7         38,212.28
  11/25/97    6/9/81                                  4,          4,431.74
  
  
  Current Total                                                     
  85,786.87
  Cumulative                                                      
  597,959.28
  
  
  
  
            Gross ProceedAggregate    Net          Net Proceeds
  Dist.     as a % of    Liquidation  Liquidation  as a % of     Realized
  Date      Sched PrincipExpenses *   Proceeds     Sched. BalanceLoss
   6/25/97    0.000%                 33,259        78.43%         
  9,149.69
   6/25/97    0.000%                 69,080        87.80%         
  9,596.33
   6/25/97    0.000%                 51,894        78.67%        
  14,068.79
   6/25/97    0.000%                 29,712        99.16%            
  250.38
   6/25/97    0.000%                 49,721        98.50%            
  757.52
   7/25/97  100.142%                 21,009        56.95%        
  15,882.80
   8/25/97  104.819%                 46,587        85.50%         
  7,902.45
   8/25/97   90.804%                 15,139        73.01%         
  5,597.56
   8/25/97   97.731%                 35,860        73.14%        
  13,167.77
   8/25/97  101.788%                 53,797        81.72%        
  12,033.45
   8/25/97  110.617%                 36,652        67.36%        
  17,761.15
  10/27/97   98.762%                 41,357        62.84%        
  24,451.44
  10/27/97  102.673%                 40,711        80.55%         
  9,831.80
  10/27/97   84.012%                 47,438        61.66%        
  29,495.63
  11/25/97   83.546%                 21,323        46.62%        
  24,414.63
  11/25/97  106.732%                   3,75        90.51%            
  393.94
  
  
  Current Total                   64,166.15                    19,698.11
  Cumulative                     661,471.60                  214,453.44
  
  *Aggregate liquidatin expenses also inclue outstanding P&I advances and
  unpaid
  servicing fees, unpaid trustee fees, etc..
  


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