AMRESCO RESIDENTIAL SECURITIES CORP MORTGAGE LOAN TR 1997-2
8-K, 1998-02-05
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):
                        January 26, 1998
                                
                                
    AMRESCO Residential Securities Corporation on behalf of:
                                
 AMRESCO Residential Securities Corporation Mortgage Loan Trust
                             1997-2
     (Exact name of registrant as specified in its charter)
                                
                                
                                                      
                                                      
          New York             333-8687-13  Application Pending
(State or Other Jurisdiction   (Commission    (I.R.S. Employer
      of Incorporation)       File Number)  Identification No.)
              
  c/o The Bank of New York                            
   101 Barclay Street, 12E                            
        New York, NY                               10286
    (Address of Principal                        (Zip Code)
     Executive Offices)
                                
Registrant's telephone number, including area code (909) 605-7600
                                
                             No Change
  (Former name or former address, if changed since last report)
                                

Item 5.   Other Events.
        Information    relating   to   the    distributions    to
Certificateholders  for  the period  from  December  1,  1997  to
December   31,  1997  (the  "Monthly  Period")  of  the   AMRESCO
Residential  Securities Corporation Mortgage  Loan  Trust  1997-2
(the  "Registrant"  or "Trust") in respect of the  Mortgage  Loan
Asset   Backed   Certificates,  Series  1997-2,  Class   A   (the
"Certificates") issued by the Registrant and the  performance  of
the  Trust  (including distributions of principal  and  interest,
delinquent  balances  of  mortgage loans,  and  the  subordinated
amount   remaining),  together  with  certain  other  information
relating to the Certificates, is contained in the Monthly  Report
for the Monthly Period provided to Certificateholders pursuant to
the  Pooling  and Servicing Agreement dated as of June  1,  1997,
among  AMRESCO Residential Securities Corporation in its capacity
as  Depositor,  AMRESCO Residential Mortgage Corporation  in  its
capacity  as the Seller, Advanta Mortgage Corp. USA,  Long  Beach
Mortgage  Company  and  Option One Mortgage  Corporation  as  the
Servicers,  and  The  Bank of New York, in its  capacity  as  the
trustee.


Item 7.   Exhibit.

      Monthly  Report  for  the Monthly Period  relating  to  the
Certificates issued by the Trust.


                           SIGNATURE


      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.


                          By:    AMRESCO  Residential  Securities
                                 Corporation
                                 Mortgage Loan Trust 1997-2

                          By: /s/Ron B. Kirkland
                             Name:      Ron B. Kirkland
                             Title:     Vice President and
                                        Chief Accounting Officer
 


Dated:  February 3, 1998



AMRESCO Residential Securities Corporation
MORTGAGE LOAN PASS-THROUGH CERTIFICATES, SERIES 1997-2
101 Barclay Street, 12E
New York, NY 10286
Attn: Franklin Austin, MBS Unit
(212) 815-2297
Payment Date: 01/26/98
<TABLE>
<CAPTION>
                                                 Current Payment Information
     Group I Certificates
               Beginning    Pass Thru  Principal      Interest       Unpaid   Principal     Total        Ending     
                                                                    Interest
      Class     Balance       Rate    Distribution  Distribution  Carryforward  Losses     Payment       Balance
    <S>    <C>              <C>      <C>            <C>                <C>        <C>   <C>          <C>                  
       A-1    23,771,134.30 6.800000% 5,346,780.41     134,703.09        0.00      0.00 5,481,483.51  18,424,353.89  
       A-2    44,500,000.00 6.700000%         0.00     248,458.33        0.00      0.00   248,458.33  44,500,000.00  
       A-3    68,100,000.00 6.795000%         0.00     385,616.25        0.00      0.00   385,616.25  68,100,000.00  
       A-4    27,900,000.00 6.930000%         0.00     161,122.50        0.00      0.00   161,122.50  27,900,000.00  
       A-5    21,300,000.00 7.100000%         0.00     126,025.00        0.00      0.00   126,025.00  21,300,000.00  
       A-6    14,900,000.00 7.210000%         0.00      89,524.17        0.00      0.00    89,524.17  14,900,000.00  
       A-7    36,975,000.00 7.570000%         0.00     233,250.63        0.00      0.00   233,250.63  36,975,000.00  
       A-8    28,900,000.00 7.175000%         0.00     172,797.92        0.00      0.00   172,797.92  28,900,000.00  
      M-1F    12,487,000.00 7.430000%         0.00      77,315.34        0.00      0.00    77,315.34  12,487,000.00  
      M-2F    18,315,000.00 7.665000%         0.00     116,987.06        0.00      0.00   116,987.06  18,315,000.00  
      B-1F    10,823,000.00 7.975000%         0.00      71,927.85        0.00      0.00    71,927.85  10,823,000.00  
                                                                                                                    
    Totals   307,971,134.30           5,346,780.41   1,817,728.14        0.00      0.00 7,164,508.56 302,624,353.89  
                                                                                                                    
    Group II Certificates
               Beginning    Pass Thru  Principal      Interest       Unpaid   Principal     Total         Ending     
                                                                    Interest
      Class     Balance       Rate    Distribution  Distribution  Carryforward  Losses     Payment        Balance
       A-9   291,159,683.30 6.178750% 9,561,125.59   1,549,141.38        0.00      0.00 11,110,266.97 281,598,557.71 
      M-1A    25,438,000.00 6.338750%         0.00     138,849.97        0.00      0.00    138,849.97  25,438,000.00 
      M-2A    24,420,000.00 6.548750%         0.00     137,709.30        0.00      0.00    137,709.30  24,420,000.00 
      B-1A    22,385,000.00 6.938750%         0.00     133,751.15        0.00      0.00    133,751.15  22,385,000.00 
                                                                                                                     
    Totals   363,402,683.30         - 9,561,125.59   1,959,451.80        0.00      0.00 11,520,577.39 353,841,557.71 
                                                                                                                    
       Other Certificates
               Beginning    Pass Thru   Principal     Interest       Unpaid   Principal     Total        Ending     
                                                                    Interest
      Class     Balance       Rate    Distribution  Distribution  Carryforward  Losses     Payment       Balance
        S              0.00 0.000000%          0.00     34,052.52        0.00      0.00     34,052.52           0.00 
        C              0.00 0.000000%          0.00          0.00        0.00      0.00          0.00           0.00 
        R              0.00 0.000000%          0.00          0.00        0.00      0.00          0.00           0.00 
                                                                                                                     
    Totals             0.00        -           0.00     34,052.52        0.00      0.00     34,052.52           0.00 

Grand Total  671,373,817.60           14,907,906.00  3,811,232.46                       18,719,138.46 656,465,911.60
</TABLE>
<TABLE>
<CAPTION>
          Original Certificate Information                                Factors per $1,000                   
              Class                                                                                                    
        Information
                              Original    Pass Thru   Cusip            Principal      Interest          Ending        
           Type      Name    Cert. Bal.     Rate     Numbers             Dist.          Dist.          Cert. Bal      
 <S>              <C>    <C>              <C>      <C>               <C>              <C>             <C>  
        Senior       A-1    48,800,000.00 6.800000% 03215P-BX6        109.56517240     2.76030931       377.54823544  
                     A-2    44,500,000.00 6.700000% 03215P-BY4          0.00000000     5.58333333      1000.00000000  
                     A-3    68,100,000.00 6.795000% 03215P-BZ1          0.00000000     5.66250000      1000.00000000  
                     A-4    27,900,000.00 6.930000% 03215P-CA5          0.00000000     5.77500000      1000.00000000  
                     A-5    21,300,000.00 7.100000% 03215P-CB3          0.00000000     5.91666667      1000.00000000  
                     A-6    14,900,000.00 7.210000% 03215P-CC1          0.00000000     6.00833333      1000.00000000  
                     A-7    36,975,000.00 7.570000% 03215P-CD9          0.00000000     6.30833333      1000.00000000  
                     A-8    28,900,000.00 7.175000% 03215P-CE7          0.00000000     5.97916667      1000.00000000  
                     A-9   334,757,000.00 Variable  03215P-CF4         28.56139107     4.62765941       841.20289556  
        Subordinate  M-1F   12,487,000.00 7.430000% 03215P-CG2          0.00000000     6.19166667      1000.00000000  
                     M-1A   25,438,000.00 Variable  03215P-CH0          0.00000000     5.45836806      1000.00000000  
                     M-2F   18,315,000.00 7.665000% 03215P-CJ6          0.00000000     6.38750000      1000.00000000  
                     M-2A   24,420,000.00 Variable  03215P-CK3          0.00000000     5.63920139      1000.00000000  
                     B-1F   10,823,000.00 7.975000% 03215P-CL1          0.00000000     6.64583333      1000.00000000  
                     B-1A   22,385,000.00 Variable  03215P-CM9          0.00000000     5.97503472      1000.00000000  
        Totals             740,000,000.00                              12.92043999     2.64790783      887.116096754  
</TABLE>
<TABLE>
<CAPTION>
                                                                                                                      
           COLLATERAL INFORMATION                                                                           
                                                 Group 1        Group 2          Aggregate                  
<S>                                     <C>                 <C>                 <C>  
Number of Loans                                       3,920          3,610                7,530             
Beginning Mortgage Loan Balance              312,306,630.52 369,330,005.48       681,636,636.00             
     Scheduled Principal                         233,987.59     175,077.12           409,064.71             
     Curtailments                                 24,089.03      45,877.85            69,966.88             
     Pre-Funded Amounts                                0.00           0.00                 0.00             
     Prepayments in Full                       4,361,731.13   8,104,961.51        12,466,692.64             
     Repurchases                                       0.00     164,147.59           164,147.59             
     Realized Losses                                   0.00      23,130.24            23,130.24             
Ending Loan Balance                          307,686,822.77 360,816,811.17       668,503,633.94             
                                                                                                            
Plus Amount Pre-Funded this period                     0.00           0.00                 0.00             
Current Loan Balance                         307,686,822.77 360,816,811.17       668,503,633.94             
                                                                                                            
Gross Interest on Mortgage Loans               2,674,828.57   3,184,400.82         5,859,229.39             
Weighted Average Coupon Rate                     10.277701%     10.346522%           10.314990%             
Servicing Fees Paid                              114,251.24     135,711.51           249,962.75             
Net Interest Remitted                          2,560,577.33   3,048,689.31         5,609,266.64             
Aggregate Interest Paid to Certificates        1,833,604.66   1,977,627.79         3,811,232.46             
Excess Interest                                  726,972.66   1,071,061.52         1,798,034.18             
Transfer from Capitalized Interest Accoun              0.00           0.00                 0.00             
Extra Principal Distribution Amount              726,972.66   1,071,061.52         1,798,034.18             
Senior Enhancement Percentage                    15.173698%     21.955256%                                  
                                                                                                            
                                             PRE-FUNDED ACCOUNT

Initial Balance of Account                             0.00           0.00                 0.00             
Subsequent Purchases this Period                       0.00           0.00                 0.00             
Current Balance in Account                             0.00           0.00                 0.00             
                                                                                                            
          OVERCOLLATERALIZATION CALCULATIONS                                                                
                                                                                                            
Targeted Overcollateralization Amount          9,157,500.00  15,262,500.00        24,420,000.00             
Actual Overcollateralization Amount            5,062,468.88   6,975,253.46        12,037,722.34             
                                         
    DELINQUENCY INFORMATION
                                                                   Group 1
                   Period                    Loan Count     Percentage  Loan Balance   Percentage
            30-59 Days Delinquent                   99       2.525510%  6,271,275.25    2.038201%
            60-89 Days Delinquent                   43       1.096939%  3,150,446.59    1.023913%
         90 or more Days Delinquent                150       3.826531% 11,303,431.55    3.673681%
                   Totals                          292       7.448980% 20,725,153.39    6.735795%
         Total Loans In Foreclosure                133       3.392857%  9,960,648.06    3.237268%
                 Bankruptcy                         38       0.969388%  2,859,450.48    0.929338%
               REO Properties                        6       0.153061%    404,418.34    0.131438%
 Foreclosures, Bankruptcies and REO's are included in Period counts above                     
                                                                                                         
                                                                   Group 2                               
                   Period                    Loan Count     Percentage  Loan Balance   Percentage
            30-59 Days Delinquent                  100       2.770083%  8,738,825.25    2.421956%
            60-89 Days Delinquent                   45       1.246537%  4,393,284.81    1.217594%
         90 or more Days Delinquent                204       5.650970% 19,151,550.18    5.307832%
                   Totals                          349       9.667590% 32,283,660.24    8.947383%
                In Foreclosure                     185       5.124654% 17,800,102.50    4.933280%
                In Bankruptcy                       38       1.052632%  3,600,380.13    0.997842%
               REO Properties                        9       0.249307%    994,183.71    0.275537%
 Foreclosures, Bankruptcies, and REO's are included in Period counts above                     
                                                                                                         
                                           Aggregate Pool                                                
                   Period                    Loan Count     Percentage  Loan Balance   Percentage
            30-59 Days Delinquent                  199       2.642762% 15,010,100.50    2.245328%
            60-89 Days Delinquent                   88       1.168659%  7,543,731.40    1.128450%
         90 or more Days Delinquent                354       4.701195% 30,454,981.73    4.555694%
                   Totals                          641       8.512616% 53,008,813.63    7.929473%
               In Foreclosure                      318       4.223108% 27,760,750.56    4.152670%
                In Bankruptcy                       76       1.009296%  6,459,830.61    0.966312%
               REO Properties                       15       0.199203%  1,398,602.05    0.209214%
 Foreclosures, Bankruptcies, and REO's are included in Period counts above               
                                                                   Group 1        Group 2          
 Aggregate Loan Balance of 60+ Day Delinquent Loans           14,453,878.14    23,544,834.99             
 Aggregate Loan Balance of 90+ Day Delinquent Loans           11,303,431.55    19,151,550.18             
 90+ Day Delinquency Percentage (Rolling Three Month              3.168093%        4.469767%             
                                    
             MORTGAGE LOAN SERVICING GROUP SUMMARY
                                                                                        
                   Advanta                  Group 1           Group 2         Total
        Beginning Loan Count                         2,501          2,165           4,666
        Beginning Balance of Loans          190,518,233.94 218,111,950.21  408,630,184.15
        Current Realized Losses                       0.00           0.00            0.00
        Cumulative Realized Losses                    0.00           0.00            0.00
        Annual Loss Percentage                   0.000000%      0.000000%       0.000000%
        Ending Balance of Loans             188,020,615.59 212,953,712.61  400,974,328.20
        Ending Loan Count                            2,464          2,111           4,575
                                                                                        
                 Option One                 Group 1           Group 2         Total
        Beginning Loan Count                           323          1,459           1,782
        Beginning Balance of Loans           24,014,502.74 139,907,242.10  163,921,744.84
        Current Realized Losses                       0.00      23,130.24       23,130.24
        Cumulative Realized Losses                    0.00      43,532.65       43,532.65
        Annual Loss Percentage                   0.000000%      0.005661%       0.005661%
        Ending Balance of Loans              23,852,346.83 136,806,182.70  160,658,529.53
        Ending Loan Count                              320          1,422           1,742
                                                                                        
             Long Beach Mortgage            Group 1           Group 2         Total
        Beginning Loan Count                         1,156             79           1,235
        Beginning Balance of Loans           97,773,893.84  11,310,813.17  109,084,707.01
        Current Realized Losses                       0.00           0.00            0.00
        Cumulative Realized Losses                    0.00           0.00            0.00
        Annual Loss Percentage                   0.000000%      0.000000%       0.000000%
        Ending Balance of Loans              95,813,860.35  11,056,915.86  106,870,776.21
        Ending Loan Count                            1,136             77           1,213
</TABLE>



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