FINANCIAL ASSET SECURITIES CORP CITYSCAPE HM EQ LN TR 1996-4
8-K, 1997-12-24
Previous: FINANCIAL ASSET SECURITIES CORP CITYSCAPE HM EQ LN TR 1996-4, 8-K, 1997-12-24
Next: FINANCIAL ASSET SECURITIES CORP CITYSCAPE HM EQ LN TR 1996-4, 8-K, 1997-12-24




 <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): 04/25/97

                          FINANCIAL ASSET SECURITIES CORP

              (AS DEPOSITOR UNDER THE POOLING AND SERVICING AGREEMENT
            DATED AS OF DECEMBER 9, 1996, PROVIDING FOR THE ISSUANCE OF
                      CITYSCAPE HOME EQUITY LOAN TRUST 1996-4
                      HOME EQUITY PASS-THROUGH CERTIFICATES)
    --------------------------------------------------------------------------
              (Exact name of registrant as specified in its charter)

           Delaware             333-21071-12            41-1864716
           --------             ------------            ----------
 (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 1996-4 Distribution Statement dated 04/25/97.


 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: 12/23/97

 FINANCIAL ASSET SECURITIES CORP by First Trust National Association,
 as Trustee for Cityscape Home Equity Loan Trust 1996-4, 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 1996-4
 STATEMENT TO CERTIFICATEHOLDERS
 Distribution Date: 4/25/97

 <TABLE>
 <CAPTION>
 FACTORS   (Per $1000 Of Original Certificate Balance)
                                Original        Interest       Principal      Certificate 
                   CUSIP     Certificate    Distribution    Distribution          Balance 
 Class            Number         Balance          Factor          Factor           Factor 
 <S>    <C>               <C>              <C>             <C>
   A-1         178779BB9   38,000,000.00      4.58372447     82.25668634     738.70886788
   A-2         178779BC7   31,500,000.00      5.40833333      0.00000000   1,000.00000000
   A-3         178779BD5   38,750,000.00      5.41666658      0.00000000   1,000.00000000
   A-4         178779BE3   27,250,000.00      5.52500000      0.00000000   1,000.00000000
   A-5         178779BF0   12,500,000.00      5.67500000      0.00000000   1,000.00000000
   A-6         178779BG8   15,500,000.00      5.77500000      0.00000000   1,000.00000000
   A-7         178779BH6   12,250,000.00      6.00000000      0.00000000   1,000.00000000
   A-8         178779BJ2   14,250,000.00      6.18333333      0.00000000   1,000.00000000
   A-9         178779BK9   20,000,000.00      5.80833350      0.00000000   1,000.00000000
  A-IO         178779BL7  176,749,745.39      0.48320030             ---   1,146.07308007


  A-10         178779BM5   25,462,546.00      6.07993128     16.58781286     969.34696562

 <CAPTION>
 INTEREST
                                Interest           Month         Current          Current         Interest 
            Certificate        Carryover        Interest        Interest         Interest        Carryover 
 Class             Rate        Shortfall         Accrual          Amount          Payment        Shortfall 
 <S>    <C>               <C>              <C>             <C>             <C>              <C>
   A-1            6.700%            0.00      174,181.53      174,181.53       174,181.53             0.00
   A-2            6.490%            0.00      170,362.50      170,362.50       170,362.50             0.00
   A-3            6.500%            0.00      209,895.83      209,895.83       209,895.83             0.00
   A-4            6.630%            0.00      150,556.25      150,556.25       150,556.25             0.00
   A-5            6.810%            0.00       70,937.50       70,937.50        70,937.50             0.00
   A-6            6.930%            0.00       89,512.50       89,512.50        89,512.50             0.00
   A-7            7.200%            0.00       73,500.00       73,500.00        73,500.00             0.00
   A-8            7.420%            0.00       88,112.50       88,112.50        88,112.50             0.00
   A-9            6.970%            0.00      116,166.67      116,166.67       116,166.67             0.00
  A-IO            0.500%            0.00       85,405.53       85,405.53        85,405.53             0.00
 Group 1 Total                      0.00    1,228,630.81    1,228,630.81     1,228,630.81             0.00

  A-10            7.400%            0.00      154,810.53      154,810.53       154,810.53             0.00

 <CAPTION>
 PRINCIPAL
                             Outstanding         Class A                                                         Current 
              Beginning        Principal       Principal                       Principal           Ending      Principal 
            Certificate        Carryover    Distribution      Principal     Distribution      Certificate      Carryover 
 Class          Balance        Shortfall          Amount   Distribution          Payment          Balance      Shortfall 

   A-1    31,196,691.06             0.00    3,125,754.08    3,125,754.08     3,125,754.08    28,070,936.98          0.00
   A-2    31,500,000.00             0.00            0.00            0.00             0.00    31,500,000.00          0.00
   A-3    38,750,000.00             0.00            0.00            0.00             0.00    38,750,000.00          0.00
   A-4    27,250,000.00             0.00            0.00            0.00             0.00    27,250,000.00          0.00
   A-5    12,500,000.00             0.00            0.00            0.00             0.00    12,500,000.00          0.00
   A-6    15,500,000.00             0.00            0.00            0.00             0.00    15,500,000.00          0.00
   A-7    12,250,000.00             0.00            0.00            0.00             0.00    12,250,000.00          0.00
   A-8    14,250,000.00             0.00            0.00            0.00             0.00    14,250,000.00          0.00
   A-9    20,000,000.00             0.00            0.00            0.00             0.00    20,000,000.00          0.00
  A-IO   204,973,266.75              ---             ---             ---              ---   202,568,125.10           --- 
 Total   203,196,691.06             0.00    3,125,754.08    3,125,754.08     3,125,754.08   200,070,936.98          0.00

  A-10    25,104,409.65             0.00      422,367.95      422,367.95       422,367.95    24,682,041.70          0.00

 </TABLE>

 <TABLE>
 <CAPTION>
 INTEREST REMITTANCE AMOUNT                                                        Group 1          Group 2
       <S>                                                                             <C>              <C>
       Aggregate Loan Balance                                              204,973,266.75    25,321,349.84
       Weighted Average Net Mortgage Rate                                       11.573105%       11.555903%
       Net Interest Due from Loans                                           1,976,814.28       243,842.55
       Non-Supported Interest Shortfall                                              0.00             0.00
       Interest Remittance Amount                                            1,976,814.28       243,842.55
       Capitalized Interest                                                          0.00              --- 
       Total Interest Available                                              1,976,814.28       243,842.55

 <CAPTION>
 PRINCIPAL REMITTANCE AMOUNT                                                       Group 1          Group 2
       <S>                                                                 <C>              <C>
       Scheduled Principal Received                                            129,516.17        22,732.00
       Partial Prepayments Received                                             14,761.78           608.31
       Paid in Full Principal Received                                       2,260,863.70       318,091.35
       Repurchase Principal Received                                                 0.00             0.00
       Substitution Shortfall Amount Received                                        0.00             0.00
       Net Recovery Proceeds                                                         0.00             0.00
       Termination Proceeds                                                          0.00             0.00
       Excess Pre-Funding Account Balance                                            0.00              --- 
       Principal Remittance Amount                                           2,405,141.65       341,431.66

 <CAPTION>
 MAKE-WHOLE AMOUNT                                                                 Group 1          Group 2
       <S>                                                                 <C>              <C>
       Cumulative Net Losses                                                         0.00             0.00
       Additional Servicing Compensation                                             0.00             0.00
       Make-Whole Amount                                                             0.00             0.00
       Remaining Cumulative Net Losses                                               0.00             0.00

 <CAPTION>
 INSURED DISTRIBUTION AMOUNT                                                       Group 1          Group 2
       <S>                                                                 <C>              <C>
       Current Interest Amount                                               1,228,630.81       154,810.53
       Overcollateralization Deficit                                                 0.00             0.00
       Insured Distribution Amount                                           1,228,630.81       154,810.53

       Available Funds Shortfall                                                     0.00             0.00

 <CAPTION>
 OVERCOLLATERALIZATION AMOUNTS                                                     Group 1          Group 2
       <S>                                                                 <C>              <C>
       Overcollateralization Increase Amount                                   720,612.43        80,936.29
       Overcollateralization Amount                                          2,497,188.12       297,876.48
       Overcollateralization Reduction Amount                                        0.00             0.00
       Specified Overcollateralization Deficiency Amount                     7,043,397.02     2,329,314.49

 <CAPTION>
 CLASS A-9 PRIORITY DISTRIBUTION AMOUNT
       <S>                                                                 <C>
       Class A-9 Priority Percentage                                                 0.00%
       Class A-9 Pro Rata Distribution                                         307,657.97
       Group 1 Principal Distribution Amount                                 3,125,754.08
       Class A-9 Priority Distribution Amount                                        0.00

 <CAPTION>
 DELINQUENCY ADVANCE                                                               Group 1          Group 2
       <S>                                                                 <C>              <C>
       Interest Remittance Amount                                            1,976,814.28       243,842.55
       Net Interest Received                                                           na               na 
       Closing Date Deposit                                                          0.00             0.00
       Delinquency Advance                                                             na               na 

       Prior Outstanding Delinquency Advance                                           na               na 
       Delinquent Payments Received                                                    na               na 
       Delinquent Net Interest Due                                                     na               na 
       Outstanding Delinquency Advance                                                 na               na 

       Nonrecoverable Delinquency Advance                                            0.00             0.00

 <CAPTION>
 DISTRIBUTIONS                                                                     Group 1          Group 2
       <S>                                                                 <C>              <C>
       Interest Remittance Amount                                            1,976,814.28       243,842.55
       Principal Remittance Amount                                           2,405,141.65       341,431.66
       Make-Whole Amount                                                             0.00             0.00
       Insured Payment                                                               0.00             0.00
       Total Funds Available                                                 4,381,955.93       585,274.21

       Certificate Insurer Premium                                              25,008.87         7,198.93
       Trustee Fee                                                               2,562.17           896.80
       Available Funds                                                       4,354,384.89       577,178.48

       Current Interest                                                      1,228,630.81       154,810.53
       Cross Collateralized Payment From Group 1 to 2                                0.00              --- 
       Class A Principal                                                     3,125,754.08       422,367.95
       Reimbursement Amount                                                          0.00             0.00
       Group 2 Reimbursement Amount (Paid from Group 1)                              0.00              --- 
       Preference Amount                                                             0.00             0.00
       Group 2 Overcollateralization Increase Amount From Group 1                    0.00              --- 
       Expenses of Trustee                                                           0.00             0.00
       Servicer Indemnity Reimbursement                                              0.00             0.00
       Class R Certificate Distribution                                              0.00             0.00

 <CAPTION>
 COLLATERAL CHARACTERISTICS                                                        Group 1          Group 2
       <S>                                                                 <C>              <C>
       Beginning Loan Balance                                              204,973,266.75    25,321,349.84
       Ending Loan Balance                                                 202,568,125.10    24,979,918.18
       Beginning WAC                                                              12.0731%         12.0559%
       Ending WAC                                                                 12.0648%         12.0536%
       Beginning WAM                                                                 0.00             0.00
       Ending WAM                                                                    0.00             0.00
       Beginning Loan Count                                                      3,165.00           174.00
       Ending Loan Count                                                         3,133.00           173.00
       Realized Principal Loss                                                       0.00             0.00
       Accumulated Realized Principal Loss                                           0.00             0.00
       Balance of Mixed Use Loans                                                    0.00             0.00
       Maximum Collateral Amount                                           209,999,350.24    25,462,546.80

 <CAPTION>
 DELINQUENCY INFORMATION
                                  Group 1         Group 1         Group 1          Group 2          Group 2       Group 2
                               # of Loans    Agg Loan Bal        Percent        # of Loans     Agg Loan Bal      Percent 
       <S>                <C>              <C>             <C>             <C>              <C>
       30 days                        94    6,137,543.93          3.0299%               3       359,708.52        1.4400%
       60 days                        35    2,311,588.46          1.1411%               0             0.00        0.0000%
       90+ days*                      46    3,278,800.20          1.6186%               4       704,307.57        2.8195%
       Foreclosure                     0            0.00          0.0000%               0             0.00        0.0000%
       Bankruptcy                      0            0.00          0.0000%               0             0.00        0.0000%
       REO                             0            0.00          0.0000%               0             0.00        0.0000%
       REO Book Value                ---            0.00          0.0000%               0             0.00        0.0000%

       *Including Foreclosures

 </TABLE>
 


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission