MERRILL LYNCH DEPOSITOR INC
8-K, 1998-12-28
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) : December 1, 1998

                          MERRILL LYNCH DEPOSITOR, INC.
            (ON BEHALF OF PUBLIC STEERS(R) SERIES 1998 TRV-C1 TRUST)
             (Exact name of registrant as specified in its charter)

       DELAWARE             333-29015                    13-3891329
   (State or other        (Commission                (I. R. S. Employer
   jurisdiction  of        File Number)              Identification No.)
    incorporation)

WORLD FINANCIAL CENTER,                                     10281
  NEW YORK,  NEW YORK                                    (Zip Code)
 (Address of principal
  executive offices)
                           --------------------------

       Registrant's telephone number, including area code: (212) 449-1000

                      INFORMATION TO BE INCLUDED IN REPORT


ITEM 1.           CHANGES IN CONTROL OF REGISTRANT

                  Not Applicable

ITEM 2.           ACQUISITION OF DISPOSITION OF ASSETS

                  Not Applicable

ITEM 3.           BANKRUPTCY OR RECEIVERSHIP

                  Not Applicable

ITEM 4.           CHANGES IN REGISTRANT'S CERTIFYING ACCOUNTANT

                  Not Applicable
<PAGE>   2
ITEM 5.           OTHER EVENTS

                  99.1     Distribution to holders of the Public STEERS(R)
                           Series 1998 TRV-C1 Trust Class A Certificates on
                           December 1, 1998.

ITEM 6.           RESIGNATION OF REGISTRANT'S DIRECTORS

                  Not Applicable

ITEM 7.           FINANCIAL STATEMENTS AND EXHIBITS

                  (a)      Financial statements of business acquired.

                           Not applicable.

                  (b)      Pro forma financial information.

                           Not applicable.

                  (c)      Exhibits.

                           99.1     Trustee's report in respect of the December
                                    1, 1998 distribution to holders of the
                                    Public STEERS(R) Series 1998 TRV-C1 Trust
                                    Class A Certificates.

ITEM 8.           CHANGE IN FISCAL YEAR

                  Not Applicable.

ITEM 9.           SALES OF EQUITY SECURITIES PURSUANT TO REGULATION S

                  Not Applicable

                                   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, hereunto duly authorized.


                                          MERRILL LYNCH DEPOSITOR, INC.

         Date:  12/15/98                           By:      /s/ Frank D. Ronan
                                                   Name:    Frank D. Ronan
                                                   Title:   President
<PAGE>   3
                                  EXHIBIT INDEX


         99.1     Trustee's report in respect of the December 1, 1998
                  distribution to holders of the Public STEERS(R) Series 1998
                  TRV-C1 Trust Class A Certificates.





<PAGE>   1
                                  EXHIBIT 99.1

                               DISTRIBUTION REPORT
                                       FOR
                    PUBLIC STEERS(R) SERIES 1998 TRV-C1 TRUST

                                DISTRIBUTION DATE
                                DECEMBER 1, 1998
                             CUSIP NUMBER 744593203

         (i)      the amounts received by the Trustee as of the last such
                  statement in respect of principal, interest and premium on the
                  Travelers Capital II Trust Preferred Securities (liquidation
                  value $1,000 per Trust Preferred Security) (the "Underlying
                  Securities"):

                                    Interest:                  $968,750.00
                                    Principal:                        0.00
                                    Premium:                          0.00

         (ii)     the amounts of compensation received by the Trustee, for the
                  period relating to such Distribution Date:

                                    Paid by the Trust:               $0.00
                                    Paid by the Depositor:       $1,000.00

         (iii)    the amount of distribution on such Distribution Date to
                  Holders allocable to principal of and premium, if any, and
                  interest on the Certificates of each such Class and the amount
                  of aggregate unpaid interest accrued as of such Distribution
                  Date:

                           Class A:
                                    Interest:                  $968,750.00
                                    Principal:                       $0.00

                                    Unpaid Interest Accrued:         $0.00

         (iv)     the aggregate stated principal amount and, if applicable,
                  notional amount of the Underlying Securities related to such
                  Series, the current interest rate or rates thereon at the
                  close of business on such Distribution Date, and the current
                  rating assigned to the Certificates.

                       Principal Amount:         $25,000
                       (Liquidation Value $1,000 per Trust Preferred Security)
                       Interest Rate:                     7.75%
                       Rating:
                               Moody's Investor Service            AA3
                               Standard & Poor's Rating Service    A+
<PAGE>   2
         (v) the aggregate Certificate Principal Balance (or Notional Amount, if
applicable) of each Class of such Series at the close of business on such
Distribution Date.

                      Class A: ($10 Stated Amount)
                      Initial Principal Balance:               $2,500,000
                      Reduction:                                       (0) 
                                                               ----------
                      Principal Balance 12/1/98:               $2,500,000











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