NATIONSCREDIT GRANTOR TRUST 1997-1
8-K, 1998-11-25
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 (DATE OF EARLIEST EVENT REPORTED):  NOVEMBER 16, 1998


                      NATIONSCREDIT GRANTOR TRUST 1997 - 1
                      ------------------------------------
               (EXACT NAME OF REGISTRANT AS SPECIFIED IN CHARTER)

DELAWARE                        333-22327                 75-2655744
- --------                        ---------                 ---------
(STATE  OR  OTHER               (COMMISSION  FILE         (IRS  EMPLOYER
JURISDICTION  OF                 NUMBER)                  IDENTIFICATION NUMBER)
INCORPORATION)

             225 E. JOHN CARPENTER FREEWAY, IRVING TEXAS 75062-2731

        (ADDRESS OF PRINCIPAL EXECUTIVE OFFICES)              (ZIP CODE)
        ----------------------------------------------------------------

       REGISTRANT'S TELEPHONE NUMBER, INCLUDING AREA CODE  (972) 506-5045
  NOT APPLICABLE (FORMER NAME OR FORMER ADDRESS, IF CHANGED SINCE LAST REPORT.)

<PAGE>

ITEM  5.                   OTHER  EVENTS
                           -------------

THIS  CURRENT  REPORT  ON  FORM  8-K  IS  BEING  FILED  TO  FILE  A  COPY OF THE
CERTIFICATEHOLDERS STATEMENTS RELATING TO THE COLLECTION PERIOD ENDING   
OCTOBER 31,  1998.

CAPITALIZED  TERMS  NOT  DEFINED  HEREIN  HAVE  THE  MEANINGS
ASSIGNED  IN  THE  POOLING AND     SERVICING AGREEMENT (WITH STANDARD TERMS
AND  CONDITIONS ATTACHED THERETO) DATED AS OF APRIL 30, 1997 AMONG NATIONSCREDIT
SECURITIZATION  CORPORATION, NATIONSCREDIT COMMERCIAL CORPORATION OF AMERICA AND
BANKERS  TRUST  COMPANY, AS TRUSTEE, WHICH WAS PREVIOUSLY FILED AS AN EXHIBIT TO
THE CURRENT REPORT ON FORM 8-K FILED ON     BEHALF OF THE TRUST BY NATIONSCREDIT
COMMERCIAL  CORPORATION  OF  AMERICA  ON  JUNE  4,  1997.

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

(C)     EXHIBITS

EXHIBIT  NO.
19.1                    CERTIFICATEHOLDERS  STATEMENTS

<PAGE>
                                   SIGNATURES

PURSUANT  TO  THE  REQUIREMENTS OF THE SECURITIES EXCHANGE ACT OF 1934, THE
REGISTRANT  HAS  DULY  CAUSED  THIS  REPORT  TO  BE  SIGNED ON ITS BEHALF BY THE
UNDERSIGNED  THEREUNTO  DULY  AUTHORIZED.

                    NATIONSCREDIT  GRANTOR  TRUST  1997  -  1
                                   (REGISTRANT)

BY:  NATIONSCREDIT  COMMERCIAL  CORPORATION  OF  AMERICA,
     AS  SERVICER  OF  NATIONSCREDIT  GRANTOR  TRUST  1997  -  1

DATE:  NOVEMBER  16,  1998               BY:  /S/  SUZANNE  CASTLEBERRY
       -------------------                    -------------------------
                                         NAME:  SUZANNE  CASTLEBERRY
                                         TITLE:    VICE  PRESIDENT

<PAGE>
                                  EXHIBIT INDEX
                                  -------------


EXHIBIT
NUMBER                         DESCRIPTION
- ------                         -----------


19.1                         CERTIFICATEHOLDERS  STATEMENTS


<PAGE>

<TABLE>
<CAPTION>

EXHIBIT  19.1
                                        STATEMENT TO CERTIFICATEHOLDERS
                                     NATIONSCREDIT GRANTOR TRUST 1997 - 1

Pursuant  to  the  Pooling  and  Servicing  Agreement,  dated  as  of  May  22,  1997 among NationsCredit
Securitization  Corporation  (as  "Seller"),  NationsCredit Corporation of America (as "Servicer") and Bankers
Trust  Company  (as "Trustee" and "Collateral Agent"), the Servicer is required to prepare certain information
each month regarding distribution to Certificateholders and the performance of the Trust. The information with
respect  to  the  applicable  Distribution  Date  is  set  forth  below.



<S>                                                                                            <C>
Month                                                                                          Oct-98
Collection Period                                                                                   01-Oct-98 
Determination Date                                                                                  10-Nov-98 
Deposit Date                                                                                        13-Nov-98 
Distribution Date                                                                                   16-Nov-98 

POOL BALANCE
            Pool Balance on the close of the last day of t he Collection Period (Record Date)  120,558,128.97 
            Pool Factor                                                                              66.32049%
            Ending Pool Balance (per $1,000 certificate)                                               663.20 
            Liquidation Proceeds                                                                   162,313.10 
            Purchase Amounts                                                                                - 

AMOUNTS DISTRIBUTED ON THE DISTRIBUTION DATE (PER $1,000 CERTIFICATE)
            Interest Payments:
            Monthly Interest Payment                                                                     3.82 
            Carry-Over Monthly Interest Payment                                                             - 
            Total Interest Payment                                                                       3.82 

            Principal Payments:
            Monthly Principal Payment                                                                   15.58 
            Carry-Over Monthly Principal Payment                                                            - 
            Total Principal Payment                                                                     15.58 

            Servicing Fee:
            Servicing Fee                                                                                0.42 
            Carry-Over Monthly Servicing Fee                                                                - 
            Total Servicing Fee                                                                          0.42 



</TABLE>


<TABLE>
<CAPTION>

MONTHLY  SERVICERS  CERTIFICATE
NATIONSCREDIT  GRANTOR  TRUST  1997  -  1

     Pursuant  to  the  Pooling  and  Servicing  Agreement,  dated  as  of  May 31, 1997 among NationsCredit Securitization
Corporation (as "Seller"), NationsCredit Corporation of America (as "Servicer") and Bankers Trust Company (as "Trustee" and
"Collateral  Agent"),  the  Servicer  is  required  to  prepare  certain  information  each month regarding distribution to
Certificateholders  and  the  performance of the Trust. The information with respect to the applicable Distribution Date is
set  forth  below.



<S>                                                                                                         <C>
Month                                                                                                       Oct-98
Collection Period                                                                                                 1-Oct-98 
Determination Date                                                                                               10-Nov-98 
Deposit Date                                                                                                     13-Nov-98 
Distribution Date                                                                                                16-Nov-98 

POOL BALANCE
          Pool Balance on the close of the last day of the preceding Collection Period                      123,390,075.50 
          Principal Collections                                                                               2,498,058.57 
          Purchase Amounts Allocable to Principal                                                                        - 
          Defaulted Receivables                                                                                 333,887.96 
          Pool Balance on the close of the last day of the Collection Period                                120,558,128.97 

          Original Pool Balance                                                                             181,781,125.63 

          Certificate Factor                                                                                      66.32049%

          Preference Amounts                                                                                             - 

          Certificate Pass-Through Rate                                                                               6.75%
          Servicing Fee Rate                                                                                          0.75%

AVAILABLE FUNDS
          Collections allocable to interest                                                                   1,077,427.34 
          Purchase Amounts allocable to interest                                                                         - 
          Liquidation Proceeds                                                                                  162,313.10 
          Collections allocable to principal                                                                  2,498,058.57 
          Purchase Amounts allocable to principal                                                                        - 
          Other Available Funds - Interest on Collection or Certificate Account                                          - 
          Total Available Funds                                                                               3,737,799.01 

INTEREST PAYMENT
          Monthly Interest Payment                                                                              694,069.17 
          Carry-Over Monthly Interest                                                                                    - 
          Total                                                                                                 694,069.17 

PRINCIPAL PAYMENT
          Monthly Principal Payment                                                                           2,831,946.53 
          Carry-Over Monthly Principal                                                                                   - 
          Total                                                                                               2,831,946.53 

SERVICING FEE
          Servicing Fee                                                                                          77,118.80 
          Carry-Over Servicing Fee                                                                                       - 
          Total                                                                                                  77,118.80 

DEPOSIT TO THE CERTIFICATE ACCOUNT
          Available Funds                                                                                     3,737,799.01 
          Reserve Account Withdrawal Amount                                                                              - 
          Surety Drawing Amount                                                                                          - 
          Total Deposit to the Certificate Account                                                            3,737,799.01 

DISTRIBUTIONS FROM THE CERTIFICATE ACCOUNT
          Monthly Interest Payment and any Carry-Over Monthly Interest                                          694,069.17 
          Monthly Principal Payment and any Carry-Over Monthly Principal                                      2,831,946.53 
          Servicing Fee and any Carry-Over Servicing Fee                                                         77,118.80 
          Distributions to the Surety Bond Provider                                                              12,339.01 
          Distributions to the Reserve Account                                                                           - 
          Distributions to the Seller                                                                           122,325.50 

          Carry-Over Monthly Interest to the next Distribution Date                                                      - 
          Carry-Over Monthly Principal to the next Distributions Date                                                    - 
          Carry-Over Servicing Fee to the next Distribution Date                                                         - 

RESERVE ACCOUNT
          Reserve Account Balance as of the end of the preceding Collection Period                            4,935,603.02 
          Earnings from investments on the Reserve Account                                                       21,518.66 
          Reserve Account Withdrawal Amount                                                                              - 
          Deposits to the Reserve Account                                                                                - 
          Reserve Account Balance                                                                             4,957,121.68 
          Distributions of any excess amounts on deposit in the Reserve Account                                 134,796.52 
          Ending Reserve Account Balance                                                                      4,822,325.16 

          Reserve Account Balance as a % of the Pool Balance                                                          4.00%
          Specified Reserve Account Requirement                                                               4,822,325.16 
          Amount needed to fully fund Reserve Account                                                                    - 

SURETY BOND

          Outstanding Reimbursement Obligations at the end of the preceding Collection Period                            - 
          Preference Amounts                                                                                             - 
          Surety Drawing Amount                                                                                          - 
          Surety Bond Fee                                                                                        12,339.01 
          Interest on Outstanding Reimbursement Obligations at the end of the preceding Collection Period                - 
          Amounts due to Surety Bond Provider                                                                    12,339.01 
          Distributions to the Surety Bond Provider                                                              12,339.01 
          Remaining Reimbursement Obligations Owed to the Surety Bond Provider                                           - 

NET CREDIT LOSS RATIO
          Net Credit Losses                                                                                     171,574.86 
          For the current Collection Period                                                                           1.69%
          For the preceding Collection Period                                                                         2.28%
          For the second preceding Collection Period                                                                  1.10%
          Average Net Credit Loss Ratio                                                                               1.69%

DELINQUENCY ANALYSIS
          Number of Loans
          30 to 59 days past due                                                                                       240 
          60 to 89 days past due                                                                                        61 
          90 or more days past due                                                                                      56 
          Total                                                                                                        357 

          Principal Balance
          30 to 59 days past due                                                                              2,360,582.53 
          60 to 89 days past due                                                                                576,741.35 
          90 or more days past due                                                                              584,886.28 
          Total                                                                                               3,522,210.16 

          Delinquency Ratio
          For the current Collection Period                                                                           2.92%
          For the preceding Collection Period                                                                         2.70%
          For the second preceding Collection Period                                                                  2.75%
          Average Delinquency Ratio                                                                                   2.79%


REPOSSESSION ANALYSIS
          Current Balance of Contracts where Repossession occurred in the Current Month                         151,018.65 
          Number of Contracts where Repossession occurred in the Current Month                                          15 


WEIGHTED AVERAGE COMPUTATIONS
          Weighted Average Coupon                                                                                    10.88%
          Weighted Average Original Term (months)                                                                   122.00 
          Weighted Average Remaining Term (months)                                                                   97.36 
          Number of Outstanding Accounts - End of Period                                                            11,220 


CASH SETTLEMENT FOR THE TRUSTEE
          Total Deposit to the Certificate Account                                                            3,737,799.01 
          Servicing Fee                                                                                          77,118.80 
          Interest allocable to the Seller's Certificate                                                              0.48 
          Principal amount allocable to the Seller's Certificate                                                      1.96 
          Wire Funds to the Surety Bond Provider                                                                 12,339.01 
          Net Deposit to the Certificate Account - Excluding Amounts Due to Seller                            3,648,338.77 
          Wire Funds to the Certificateholders - Interest Amounts                                               694,068.70 
          Wire Funds to the Certificateholders - Principal Amounts                                            2,831,944.57 
          Deposit Funds into the Reserve Account                                                                         - 
          Wire Funds to NationsCredit                                                                           122,325.50 
<FN>

Approved  by:  /s/  SUZANNE  CASTLEBERRY  ------------------------------------  Authorized  Signer

[NATIONSCREDIT  GRANTOR  TRUST  LETTERHEAD]
November  16,  1998
BY  EDGAR
Securities  and  Exchange  Commission  Judiciary  Plaza  450  Fifth  Street,  N.W.  Washington,  D.C.  20549

Re:   NationsCredit  Grantor  Trust  1997  -  1

Ladies  and  Gentlemen:
On  behalf  of NationsCredit Grantor Trust 1997 - 1 (the "Trust") filed herewith via EDGAR is the Trust's Current Report on
Form  8-K.

Should  you  have  any  questions  with  regard  to  the  filing,  please  call  the  undersigned  at  (704)-386-3863.

Very  truly  yours,
/s/  SUZANNE  CASTLEBERRY  -----------------------------  Suzanne  Castleberry  Vice  President

</TABLE>




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