IMC HOME EQUITY LOAN OWNER TRUST 1997-4
8-K, 1997-12-15
ASSET-BACKED SECURITIES
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<PAGE>   1






                       SECURITIES AND EXCHANGE COMMISSION

                              WASHINGTON, DC 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 20, 1997
                                                 ------------------------------



                     IMC HOME EQUITY LOAN OWNER TRUST 1997-4
- --------------------------------------------------------------------------------
               (EXACT NAME OF REGISTRANT AS SPECIFIED IN CHARTER)


   NEW YORK                         333-31197-01              13-3964145
- --------------------------------------------------------------------------------
(STATE OR OTHER JURISDICTION        (COMMISSION              (IRS EMPLOYER
   OF INCORPORATION)                 FILE NUMBER)          IDENTIFICATION NO.)


C/O THE CHASE MANHATTAN BANK
STRUCTURED FINANCE SERVICES
450 WEST 33RD STREET, NEW YORK, NY                             10001-2697
- --------------------------------------------------------------------------------
(ADDRESS OF PRINCIPAL EXECUTIVE OFFICES)                       (ZIP CODE)


REGISTRANT'S TELEPHONE NUMBER, INCLUDING AREA CODE    (813) 984-8801
                                                   -----------------------------

                                    NO CHANGE
- --------------------------------------------------------------------------------
          (FORMER NAME OR FORMER ADDRESS, IF CHANGED SINCE LAST REPORT)







                                                                          Page 1

<PAGE>   2





Item 5.       Other Events.
              On November 20, 1997 a scheduled distribution was made from the
Trust to holders of the Class A Certificates. The information contained in the
Trustee's Monthly Servicing Report for the month of October, 1997 dated November
20, 1997 attached hereto as Exhibit 19 is hereby incorporated by reference.

              In addition to the information included in the Trustee's Monthly
Report, the gross servicing compensation paid to the Servicer and Subservicers
for the month of October, 1997 was $233,603.22.























                                                                          Page 2

<PAGE>   3





Item 7.       Financial Statements, Pro Forma Financial
              Information and Exhibits.

(a)           Not applicable

(b)           Not applicable

(c)           Exhibits.

 19.    Trustee's Monthly Servicing Report for the month of October, 1997.


















                                                                          Page 3

<PAGE>   4





                                   SIGNATURES


         Pursuant to the requirements of the Securities Exchange Act of l934,
the registrant has duly caused this report to be signed on its behalf by the
undersigned hereunto duly authorized.


                                   By:      IMC SECURITIES, INC.,
                                            As Depositor

                                   By:      /s/ Thomas G. Middleton
                                            -----------------------------------
                                            Thomas G. Middleton
                                            President, Chief Operating Officer,
                                            Assistant Secretary and Director

                                   By:      /s/ Stuart D. Marvin
                                            -----------------------------------
                                            Stuart D. Marvin
                                            Chief Financial Officer


Dated: November 20, 1997


                                                                          Page 4

<PAGE>   5





                                  EXHIBIT INDEX


<TABLE>
<CAPTION>
Exhibit No. Description                                       Page No.

<S>      <C>                                                  <C>
19.      Trustee's Monthly Servicing Report                      6
         for the Month of October, 1997.                       -------
</TABLE>
































                                                                          Page 5


<PAGE>   1

                        IMC HOME EQUITY LOAN OWNER TRUST
                      HOME EQUITY LOAN ASSET-BACKED NOTES
                                 SERIES 1997-4



  DISTRIBUTION:       20-Nov-97                                        PAGE # 1





<TABLE>
<CAPTION>
=================================================================================================================================
    ORIGINAL       BEGINNING                                                     ENDING             OVER-             ENDING
      NOTE            NOTE       PRINCIPAL        INTEREST         TOTAL           NOTE        COLLATERALIZATION        LOAN
     BALANCE        BALANCE     DISTRIBUTION    DISTRIBUTION    DISTRIBUTION     BALANCE           AMOUNT            BALANCE
- ---------------------------------------------------------------------------------------------------------------------------------

<S>             <C>             <C>             <C>             <C>            <C>             <C>                 <C>           
575,000,000.00  557,204,369.57  10,765,378.32    2,802,118.86   13,567,497.18  546,438,991.24      5,035,301.30    551,474,292.54

=================================================================================================================================





- ---------------------------------------------------------------------------------------------------------------------------------

- ---------------------------------------------------------------------------------------------------------------------------------
</TABLE>







FACTOR INFORMATION PER $1,000              NOTE RATES


<TABLE>
<CAPTION>
==============================================     ============================
      PRINCIPAL     INTEREST      ENDING NOTE       INIT NOTE       CURR NOTE
    DISTRIBUTION  DISTRIBUTION      BALANCE            RATE           RATE
- ----------------------------------------------     ----------------------------

<S>               <C>            <C>                 <C>             <C>    
   18.72239708    4.87325019     950.32868042        5.8400%         5.8400%
==============================================     ============================
</TABLE>












           IF THERE ARE ANY QUESTIONS OR PROBLEMS WITH THIS STATEMENT,
                 PLEASE CONTACT THE ADMINISTRATOR LISTED BELOW:






                                 ANN MARIE JOSE
                         THE CHASE MANHATTAN BANK - ASPG
                        450 WEST 33RD STREET, 15TH FLOOR
                            NEW YORK, NEW YORK 10001
                                 (212) 946-7148






(C) COPYRIGHT 1996, THE CHASE MANHATTAN BANK



<PAGE>   2
                        IMC HOME EQUITY LOAN OWNER TRUST
                       HOME EQUITY LOAN ASSET-BACKED NOTES
                                  SERIES 1997-4


      DISTRIBUTION:       20-Nov-97                                    PAGE # 2





<TABLE>
<S>                      <C>                                                                   <C>                 <C>
SECTION 3.08 (1)         BEGINNING NOTE ACCOUNT BALANCE                                         13,624,940.54


SECTION 3.08 (2)         MONTHLY DISTRIBUTION AMOUNT                                            13,567,497.18


SECTION 3.08 (3)         OVERCOLLATERALIZATION INCREASE AMOUNT                                   1,591,947.21


SECTION 3.08 (4)         INSURED PAYMENT                                                                 0.00


SECTION 3.08 (7)         REALIZED LOSSES                                                                 0.00


SECTION 3.08 (8)         OVERCOLLATERALIZATION REDUCTION AMOUNT                                          0.00

                                                                                                                   PER $1000
SECTION 3.09 (a)(i)      NOTE DISTRIBUTION                                                      13,567,497.18          23.60


SECTION 3.09 (a)(ii)     PRINCIPAL DISTRIBUTION
                                                  INSTALLMENT PRINCIPAL COLLECTED                  311,021.01           0.54
                                                  PRINCIPAL PREPAYMENTS                          8,862,410.10          15.41
                                                  OVERCOLLATERALIZATION INCREASE AMOUNT          1,591,947.21           2.77
                                                  OTHER                                                  0.00           0.00



SECTION 3.09 (a)(iv)     CARRYFORWARD AMOUNT                                                             0.00


SECTION 3.09 (a)(v)      INSURED PAYMENT INCLUDED IN CLASS A DISTRIBUTION                                0.00


SECTION 3.09 (a)(vi)     ENDING AGGREGATE LOAN BALANCE                                         551,474,292.54
                         ENDING NUMBER OF LOANS OUTSTANDING                                             5,789


SECTION 3.09 (a)(vii)    OVERCOLLATERALIZATION AMOUNT                                            5,035,301.30
                         OVERCOLLATERALIZATION DEFICIT                                                   0.00


SECTION 3.09 (a)(ix)     SUBSTITUTION AMOUNTS INCLUDED IN DISTRIBUTION                                   0.00
                         LOAN PURCHASE PRICE AMTS INCLUDED IN DISTRIBUTION                               0.00


SECTION 3.09 (a)(x)      WEIGHTED AVERAGE COUPON OF THE HOME EQUITY LOANS                             10.0702%


SECTION 3.09 (a)(xii)    WEIGHTED AVERAGE GROSS MARGIN OF THE HOME EQUITY LOANS                           N/A


SECTION 3.09 (a)(xiii)    LOAN BALANCE OF THREE LARGEST LOANS                                    1,583,150.84


SECTION 3.09 (a)(xv)     AVAILABLE FUNDS CAP CARRY FORWARD AMORTIZATION AMOUNT                           0.00
                         AVAILABLE FUNDS CAP CARRY FORWARD  AMOUNT                                       0.00


SECTION 3.09 (b)(i)      NUMBER AND AGGREGATE PRINCIPAL BALANCES OF DELINQUENT MORTGAGE LOANS:*

                         ------------------------------------------------------------------------------------

                            CATEGORY       COUNT        AGG. PRIN. BAL.                PERCENTAGE
                         ------------------------------------------------------------------------------------
                           30-59 DAYS       280               21,777,753.81                              3.95%
                           60-89 DAYS        86                6,547,106.77                              1.19%
                           90 + DAYS        101                8,778,819.77                              1.59%
                         ------------------------------------------------------------------------------------

                         *The number and aggregate principal balances of delinquent mortgage loans includes 
                          loans in foreclosure and bankruptcy
</TABLE>






(C) COPYRIGHT 1996, THE CHASE MANHATTAN BANK
<PAGE>   3

                        IMC HOME EQUITY LOAN OWNER TRUST
                       HOME EQUITY LOAN ASSET-BACKED NOTES
                                  SERIES 1997-4


     DISTRIBUTION:    20-Nov-97                                        PAGE # 3





<TABLE>
<S>                     <C>                                                            <C>
SECTION 3.09 (b)(ii)    NUMBER OF LOANS IN FORECLOSURE                                           21

                        AGGREGATE PRINCIPAL BALANCE OF LOANS IN FORCLOSURE             2,193,822.60



                        NUMBER OF LOANS IN FORECLOSURE THAT WERE COMMENCED
                        IN THE PRIOR MONTH                                                       18

                        AGGREGATE PRINCIPAL BALANCE OF LOANS IN FORECLOSURE
                        THAT WERE COMMENCED IN THE PRIOR MONTH                         1,696,272.85




SECTION 3.09 (b)(iii)   NUMBER OF LOANS IN BANKRUPTCY                                            27

                        AGGREGATE PRINCIPAL BALANCE OF LOANS IN BANKRUPTCY             2,359,913.80



SECTION 3.09 (b)(iii)   NUMBER OF LOANS THAT ARE "BALLOON" LOANS                                 22

                        AGG PRIN BALANCE OF LOANS THAT ARE "BALLOON LOANS"             2,477,030.32




SECTION 3.09 (b)(iv)    NUMBER OF REO PROPERTIES                                                  1

                        AGGREGATE PRINCIPAL BALANCE OF REO PROPERTIES                    115,629.93




SECTION 3.09 (b)(v)     BOOK VALUE OF REO PROPERTY                                       145,000.00




SECTION 3.09 (b)(vi)    CUMULATIVE LOSS PERCENTAGE                                       0.00000000%

                        CUMULATIVE REALIZED LOSSES                                             0.00

                        ANNUAL LOSS PERCENTAGE (ROLLING 12 MONTH)                        0.00000000%






SECTION 3.09 (b)(vii)   90+ DELINQUENCY PERCENTAGE (ROLLING SIX MONTH)                   0.73832593%
                        90+ DELINQUENT LOANS                                           8,894,449.70
</TABLE>











(C) COPYRIGHT 1996, THE CHASE MANHATTAN BANK





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