CITYSCAPE HOME EQUITY LOAN TRUST SERIES 1997 C
8-K, 1997-10-30
ASSET-BACKED SECURITIES
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 <PAGE> 1
                      SECURITIES AND EXCHANGE COMMISSION


                             Washington D.C. 20549

                                   Form 8-K

                    Pursuant to Section 12 or 15(d) of the
                      Securities and Exchange Act of 1934

          Date of Report (Date of earliest event reported): 10/25/97

                        FINANCIAL ASSET SECURITIES CORP

            (AS DEPOSITOR UNDER THE POOLING AND SERVICING AGREEMENT
            DATED AS OF JUNE 9, 1997, PROVIDING FOR THE ISSUANCE OF
                CITYSCAPE HOME EQUITY LOAN TRUST, SERIES 1997-C
                     HOME EQUITY PASS-THROUGH CERTIFICATES
  --------------------------------------------------------------------------
            (Exact name of registrant as specified in its charter)

           Delaware             333-29381-01      41-1880561 & 41-1880562
           --------             ------------      -----------------------
 (State or Other Jurisdiction   (Commission         (I.R.S. Employer
       of Incorporation         File Number)     Identification Number)

                              600 Steamboat Road
                         Greenwich, Connecticut  06830
                      ----------------------------------
                      (Address of Principal    (Zip Code)
                       Executive Offices)                

      Registrant's telephone number, including area code: (203) 625-2700

 <PAGE> 2
 Item 7. FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION AND EXHIBITS.

 (a) Not applicable
 (b) Not applicable
 (c) Exhibits:
 20.1 Cityscape Home Equity Pass-Through Certificates
      Series 1997-C Distribution Statement dated 10/25/97.


 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.

 Date: 10/21/97

 FINANCIAL ASSET SECURITIES CORP by First Trust National Association,
 as Trustee for Cityscape Home Equity Loan Trust, Series 1997-C, Home Equity
 Pass-Through Certificates.

 By:    /s/ Lynn Steiner
    --------------------------------------
 Name:    Lynn Steiner
 Title:   Vice President
 Company: First Trust National Association


 


 <PAGE> 1
 Cityscape Home Equity Loan Trust
 Series 1997-C
 STATEMENT TO CERTIFICATEHOLDERS
 Distribution Date: 10/27/97

 <TABLE>
 <CAPTION>
 FACTORS   (Per $1000 Of Original Certificate Balance)
                                  Original        Interest       Principal        Certificate 
                   CUSIP       Certificate    Distribution    Distribution            Balance 
  lass            Number           Balance          Factor          Factor             Factor 
 <S>    <C>               <C>                <C>             <C>             <C>
 A-1           178779CP7     39,600,000.00      4.72199343     46.54501653       865.03673604
 A-2           178779CQ5     27,500,000.00      5.65000000      0.00000000     1,000.00000000
 A-3           178779CR3     12,438,000.00      6.15000000      0.00000000     1,000.00000000
 A-4           178779CS1      7,800,000.00      5.83333333      0.00000000     1,000.00000000
 M-1F          178779CU6      6,659,000.00      6.03333383      0.00000000     1,000.00000000
 M-2F          178779CV4      4,867,000.00      6.23333265      0.00000000     1,000.00000000
 B-1F          178779CW2      3,586,076.00      6.52500114      0.00000000     1,000.00000000

A-5           178779CT9     78,527,000.00      5.12442841     18.98988254       953.59248480
 M-1A          178779CX0      9,268,000.00      5.50000000      0.00000000     1,000.00000000
 M-2A          178779CY8      5,609,000.00      5.67777857      0.00000000     1,000.00000000
 B-1A          178779CZ5      4,145,924.00      6.03333298      0.00000000     1,000.00000000

 <CAPTION>
 INTEREST                                                                                                Current
                            Prior Interest   Current Month         Current            Current           Interest
            Certificate          Carryover        Interest        Interest           Interest         Carryover 
  lass             Rate          Shortfall         Accrual          Amount            Payment         Shortfall 
 <S>    <C>               <C>                <C>             <C>             <C>                           0.00
 A-1            5.82750%              0.00      186,990.94      186,990.94         186,990.94              0.00
 A-2            6.78000%              0.00      155,375.00      155,375.00         155,375.00              0.00
 A-3            7.38000%              0.00       76,493.70       76,493.70          76,493.70              0.00
 A-4            7.00000%              0.00       45,500.00       45,500.00          45,500.00              0.00
 M-1F           7.24000%              0.00       40,175.97       40,175.97          40,175.97              0.00
 M-2F           7.48000%              0.00       30,337.63       30,337.63          30,337.63              0.00
 B-1F           7.83000%              0.00       23,399.15       23,399.15          23,399.15              0.00
 Group I Total                        0.00      558,272.39      558,272.39         558,272.39              0.00

A-5            5.92750%              0.00      402,405.99      402,405.99         402,405.99              0.00
 M-1A           6.18750%              0.00       50,974.00       50,974.00          50,974.00              0.00
 M-2A           6.38750%              0.00       31,846.66       31,846.66          31,846.66              0.00
 B-1A           6.78750%              0.00       25,013.74       25,013.74          25,013.74              0.00
 Group II Total                       0.00      510,240.39      510,240.39         510,240.39              0.00

 <CAPTION>
 PRINCIPAL
              Beginning          Principal      Principal                           Ending       Principal                  Optimal
            Certificate       Distribution           Loss       Principal      Certificate      Loss Reim-      Principal Principal
 Clas           Balance             Amount     Allocation       Reduction          Balance       bursement   Distribution   Balance
 <S>    <C>               <C>              <C>             <C>             <C>              <C>             <C>              <C>
 A-1      36,098,637.40       1,843,182.65            ---   1,843,182.65      34,255,454.75            ---    1,843,182.65     0.00
 A-2      27,500,000.00               0.00            ---           0.00      27,500,000.00            ---            0.00     0.00
 A-3      12,438,000.00               0.00            ---           0.00      12,438,000.00            ---            0.00     0.00
 A-4       7,800,000.00               0.00            ---           0.00       7,800,000.00            ---            0.00     0.00
 M-1F      6,659,000.00               0.00          0.00            0.00       6,659,000.00          0.00             0.00     0.00
 M-2F      4,867,000.00               0.00          0.00            0.00       4,867,000.00          0.00             0.00     0.00
 B-1F      3,586,076.00               0.00          0.00            0.00       3,586,076.00          0.00             0.00     0.00
 Grou     98,948,713.40       1,843,182.65          0.00    1,843,182.65      97,105,530.75          0.00     1,843,182.65     0.00

A-5      76,373,975.56       1,491,218.51            ---   1,491,218.51      74,882,757.05            ---    1,491,218.51     0.00
 M-1A      9,268,000.00               0.00          0.00            0.00       9,268,000.00          0.00             0.00     0.00
 M-2A      5,609,000.00               0.00          0.00            0.00       5,609,000.00          0.00             0.00     0.00
 B-1A      4,145,924.00               0.00          0.00            0.00       4,145,924.00          0.00             0.00     0.00
 Grou     95,396,899.56       1,491,218.51          0.00    1,491,218.51      93,905,681.05          0.00     1,491,218.51     0.00

 </TABLE>


 <TABLE>
 <CAPTION>
 COLLECTION ACCOUNT
 INTEREST REMITTANCE AMOUNT                                                            Group I          Group II
       <S>                                                                   <C>                <C>
       Aggregate Loan Balance                                                   99,772,397.94     96,239,390.56
       Weighted Average Net Mortgage Rate                                           11.154801%         9.953407%
       Net Interest Due from Loans                                                 927,451.00        798,258.19
       Net Prepayment Interest Shortfall                                                  #N/A              #N/A
       Interest Remittance Amount                                                  927,451.00        798,258.19

 <CAPTION>
 PRINCIPAL REMITTANCE AMOUNT                                                           Group I          Group II
       <S>                                                                   <C>                <C>
       Scheduled Principal Received                                                 76,651.86         36,885.85
       Partial Prepayments Received                                                 12,843.62          6,830.67
       Paid in Full Principal Received                                           1,111,692.03      1,056,436.43
       Net Liquidation Proceeds                                                          0.00              0.00
       Blanket Policy Deductible Amounts                                                 0.00              0.00
       Purchase Price Amount Received                                              273,751.90        103,950.00
       Substitution Shortfall Amount Received                                            0.00              0.00
       Principal Remittance Amount                                               1,474,939.41      1,204,102.95


 <CAPTION>
 CERTIFICATE ACCOUNT AMOUNT                                                            Group I          Group II
       <S>                                                                   <C>                <C>
       Interest Remittance Amount                                                  927,451.00        798,258.19
       Principal Remittance Amount                                               1,474,939.41      1,204,102.95
       Termination Price                                                                 0.00              0.00
       Investment Losses                                                                 0.00              0.00
       Unutilized Funding Amount                                                         0.00               --- 
       Pre-Funding Account Earnings                                                      0.00               --- 
       Capitalized Interest Requirement                                                  0.00               --- 
       Amount Available                                                          2,402,390.41      2,002,361.14
                   Trustee Fee                                                         935.37            902.24
       Distribution Account Amount                                               2,401,455.04      2,001,458.90

 <CAPTION>
 REGULAR PRINCIPAL DISTRIBUTION AMOUNT                                                 Group I          Group II
       <S>                                                                   <C>                <C>
       Principal Remittance Amount                                               1,474,939.41      1,204,102.95
       Regular Pre-Funding Distribution Amount                                           0.00                ---
       Termination Price                                                                 0.00              0.00
       Regular Principal Distribution Amount                                     1,474,939.41      1,204,102.95

 <CAPTION>
 ALLOCATION OF AVAILABLE DISTRIBUTION AMOUNT                                           Group I          Group II
       <S>                                                                   <C>                <C>
       Senior Interest Distributable Amount                                        464,359.64        402,405.99
       Mezannine Interest Distributable Amount                                      70,513.60         82,820.66
       Class B Interest Distributable Amount                                        23,399.15         25,013.74
       Principal from Reg Dist Amt to Senior Class                               1,474,939.41      1,204,102.95
       Principal from Reg Dist Amt to Mezzanine Class                                    0.00              0.00
       Principal from Reg Dist Amt to Class B                                            0.00              0.00
       Loss Reimb. from Reg Dist Amt to Mezz. and Class B                                0.00              0.00
       Principal from Excess Spread to Senior Class                                368,243.24        287,115.56
       Principal from Excess Spread to Mezzanine Class                                   0.00              0.00
       Principal from Excess Spread to Class B                                           0.00              0.00
       Loss Reimb. from Excess Spread to Mezz. and Class B                               0.00              0.00
       Class R Certificate Distribution                                                  0.00              0.00

 <CAPTION>
 DELINQUENCY ADVANCE                                                                   Group I          Group II
       <S>                                                                   <C>                <C>
       Interest Remittance Amount                                                  927,451.00        798,258.19
       Net Interest Received                                                               N/A               N/A
       Closing Date Deposit                                                              0.00              0.00
       Delinquency Advance                                                                 N/A               N/A

 <CAPTION>
 OVERCOLLATERALIZATION AMOUNTS                                                         Group I          Group II
       <S>                                                                   <C>                <C>
       Overcollateralization Target Amount                                       1,536,751.13      1,950,998.47
       OC Amount Prior to Distribution of Excess Spread                            823,684.54        842,491.00
       OC Amount After Distribution of Excess Spread                             1,191,927.78      1,129,606.56
       OC Deficiency Amount Prior to Distribution of Excess Spread                 713,066.59      1,108,507.47
       OC Deficiency Amount After Distribution of Excess Spread                    344,823.35        821,391.91

 <CAPTION>
 CLASS A-4 PRIORITY DISTRIBUTION AMOUNT
       <S>                                                                   <C>
       Class A-4 Priority Percentage                                                     0.00%
       Group 1 Senior Principal Distribution Amount                              1,474,939.41
       Class A-4 Pro Rata General Distribution Amount                              137,225.53
       Class A-4 Priority General Distribution Amount                                    0.00
       Class A-4 Pro Rata Excess Distribution Amount                                34,260.65
       Class A-4 Priority Excess Distribution Amount                                     0.00

 <CAPTION> COLLATERAL CHARACTERISTICS                                                Group I          Group II

       <S>                                                                   <C>                <C>
       Beginning Loan Balance                                                   99,772,397.94     96,239,390.56
       Ending Loan Balance                                                      98,297,458.53     95,035,287.61
       Beginning WAC                                                                  11.6548%          10.4534%
       Ending WAC                                                                     11.6359%          10.5874%
       Beginning WAM                                                                     0.00              0.00
       Ending WAM                                                                        0.00              0.00
       Beginning Loan Count                                                          1,760.00          1,017.00
       Ending Loan Count                                                             1,746.00          1,005.00
       Available Funds Cap                                                               0.10              0.09
       Realized Principal Loss                                                           0.00              0.00
       Accumulated Realized Principal Loss                                             0.0000%           0.0000%
       Realized Loss as a % of Max. Coll. Amt.                                           0.00              0.00
       Balance of Mixed Use Loans                                                1,932,848.45                N/A
       Maximum Collateral Amount                                               102,450,075.32     97,549,923.60
       Liquidated Mortgage Loan Balance                                                  0.00              0.00
       Liquidated Mortgage Loan Count                                                    0.00              0.00
       Modified Loan Balance                                                             0.00              0.00
       Loan Balance of Largest Group II Loan                                             0.00      1,790,827.93

 <CAPTION>
 DELINQUENCY INFORMATION
                                    Group I         Group I         Group I           Group II          Group II         Group II
                                 # of Loans    Agg Loan Bal        Percent          # of Loans      Agg Loan Bal         Percent 
       <S>                <C>                <C>             <C>             <C>                <C>
       30 days                          31    1,587,265.05          1.6148%                17      1,742,890.53           1.8339%
       60 days                          17      860,079.93          0.8750%                 9        914,381.40           0.9621%
       90+ days                         17      816,117.04          0.8303%                 9        366,426.01           0.3856%
       Foreclosure*                      9      378,046.85          0.3846%                 5        267,878.41           0.2819%
       Bankruptcy*                       2      125,010.06          0.1272%                 1         55,132.88           0.0580%
       REO*                              0            0.00          0.0000%                 0              0.00           0.0000%
       REO Book Value                  ---            0.00          0.0000%               ---              0.00           0.0000%

       * Foreclosure, Bankruptcy, and REO loans are included in the appropriate delinquency category.




 </TABLE>
 


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