STRUCTURED ASSET SECURITIES CORP SERIES 1997 LL I
8-K, 1998-07-21
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:  June 12, 1998
(Date of earliest event reported)

 Structured Asset Securities Corporation 
            (Sponsor)
      (Issuer in Respect of 
Mortgage Pass-Through Certificates 
        Series 1997-LL1)
  (Exact name of registrant as specified in charter)  

Delaware                33-96378-02 74-2440850
(State or other juris-  (Commission (I.R.S. Employer 
diction of organization)File No.)Identification No.)


220 Vesey Street, New York, N.Y.        10285
(Address of principal executive offices)(Zip Code)


Registrant's Telephone Number, including area code 
212) 526-7000


(Former name or former address, if changed since 
last report.)





















ITEM 5.	OTHER EVENTS
		
		Attached as Exhibit 1 is the opinion of 
Cadwalader, Wickersham & Taft, special counsel to the 
Company, regarding certain corporate and tax matters 
(the "Cadwalader Opinion"), provided in connection 
with the issuance of the Commercial Mortgage 
Pass-Through 
Certificates, Series 1997-LL1 (the "Certificates").

            The Certificates will be offered pursuant 
to a Prospectus and related Prospectus Supplement 
(together, the "Prospectus"), which will be filed with 
the Commission pursuant to Rule 424 under the Securities 
A
ct of 1933, as amended (the "Act").  The offer and the 
sale of the Certificates contemplated by the Prospectus 
will be registered pursuant to the Act under the 
Registrant's Registration Statement on Form S-3 
(No. 33-96378)  
(
the "Registration Statement").  The Registrant hereby 
incorporates the Cadwalader Opinion by reference in the 
Registration Statement.



ITEM 7.	FINANCIAL STATEMENTS, PRO FORMA FINANCIAL 
INFORMATION
		AND EXHIBITS

(c)     Exhibits
		

		  
Exhibit No.				Description

		

5.1Opinion of Cadwalader Wickersham & Taft as 

                                                                          
 to legality

8.1Opinion of Cadwalader Wickersham & Taft as      
 to certain taz matters 


(included in Exhibit 5.1)





     			
												

		









Pursuant to the requirements of the Securities 
Exchange Act of 1934, the Registrant has duly 
caused this report to be signed on behalf of 
the Registrant by the undersigned thereunto duly 
authorized.

			LASALLE NATIONAL BANK, IN
			ITS CAPACITY AS TRUSTEE
			UNDER THE POOLING AND 
			SERVICING AGREEMENT ON 
			BEHALF OF Structured Asset 
Securities Corporation 
, REGISTRANT





			By: /s Russell Goldenberg
			Russell Goldenberg, 
			Senior Vice President



Date: June 30, 1998


    





















ABN AMRO
LaSalle National Bank

Administrator:
  Alyssa Stahl  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

Structured Asset Securities Corporation
GMAC Commercial Mortgage Corporation, 
as Master & Special Servicer
Commerical Mortgage Pass-Through Certificates
Series 1997-LL1

ABN AMRO Acct: 67-7820-70-6

Statement Date       06/12/98
Payment Date:        06/12/98
Prior Payment:       05/13/98
Record Date:         05/29/98

WAC:                7.825634%
WAMM:                              198

                                          Number Of Pages

Table Of Contents                                       1

REMIC Certificate Report                                2

Other Related Information                               2

Asset Backed Facts Sheets                               3

Loan Level Listing                                      1

Total Pages Included  In This Package                   9


Specially Serviced Loan Detail            Appendix A
Modified Loan Detail                      Appendix B
Realized Loss Detail                      Appendix C


REMIC II

              Original                    Opening        Principal
Class         Face Value (1)              Balance        Payment
CUSIP         Per $1,000                  Per $1,000     Per $1,000

A-1           612,000,000.00              604,136,480.68   1,152,985.41
863572PN7     1000.000000000               987.151112222    1.883963088
A-2           204,000,000.00              204,000,000.00           0.00
863572PP2     1000.000000000              1000.000000000    0.000000000
A-3           168,434,000.00              168,434,000.00           0.00
863572PQ0     1000.000000000              1000.000000000    0.000000000
X-1           1,376,717,068.0N            1,368,853,548.6          0.00
863572PR8     1000.000000000               994.288209609    0.000000000
B             114,138,000.00              114,138,000.00           0.00
863572PS6     1000.000000000              1000.000000000    0.000000000
C-1            49,870,000.00               49,870,000.00           0.00
863572PT4     1000.000000000              1000.000000000    0.000000000
C-2            50,000,000.00               50,000,000.00           0.00
863572PU1     1000.000000000              1000.000000000    0.000000000
X-2            50,000,000.00 N             50,000,000.00           0.00
863572PV9     1000.000000000              1000.000000000    0.000000000
D             114,137,000.00              114,137,000.00           0.00
863572PW7     1000.000000000              1000.000000000    0.000000000
E              42,802,000.00               42,802,000.00           0.00
863572PX5     1000.000000000              1000.000000000    0.000000000
F              71,336,068.00               71,336,068.00           0.00
863572PY3     1000.000000000              1000.000000000    0.000000000
T                       0.00                        0.00           0.00
863572QA4     1000.000000000                 0.000000000    0.000000000
R                       0.00                        0.00           0.00
863572QC0     1000.000000000                 0.000000000    0.000000000




1,426,717,068.00            1,418,853,548.6  1,152,985.41

              Principal      Negative     Closing
Class         Adj. or Loss   Amortization Balance
CUSIP         Per $1,000     Per $1,000   Per $1,000

A-1                     0.00         0.00 602,983,495.27
863572PN7        0.000000000  0.000000000  985.267149134
A-2                     0.00         0.00 204,000,000.00
863572PP2        0.000000000  0.000000000 1000.000000000
A-3                     0.00         0.00 168,434,000.00
863572PQ0        0.000000000  0.000000000 1000.000000000
X-1                     0.00         0.00 1,367,700,563.27
863572PR8        0.000000000  0.000000000  993.450720602
B                       0.00         0.00 114,138,000.00
863572PS6        0.000000000  0.000000000 1000.000000000
C-1                     0.00         0.00  49,870,000.00
863572PT4        0.000000000  0.000000000 1000.000000000
C-2                     0.00         0.00  50,000,000.00
863572PU1        0.000000000  0.000000000 1000.000000000
X-2                     0.00         0.00  50,000,000.00
863572PV9        0.000000000  0.000000000 1000.000000000
D                       0.00         0.00 114,137,000.00
863572PW7        0.000000000  0.000000000 1000.000000000
E                       0.00         0.00  42,802,000.00
863572PX5        0.000000000  0.000000000 1000.000000000
F                       0.00         0.00  71,336,068.00
863572PY3        0.000000000  0.000000000 1000.000000000
T                       0.00         0.00           0.00
863572QA4        0.000000000  0.000000000    0.000000000
R                       0.00         0.00           0.00
863572QC0        0.000000000  0.000000000    0.000000000




                        0.00         0.00 1,417,700,563.27

              Interest       Interest     Pass-Through
Class         Payment        Adjustment   Rate (2)
CUSIP         Per $1,000     Per $1,000   Next Rate (3)

A-1             3,418,405.59         0.00     6.79000000%
863572PN7        5.585630049  0.000000000            Fixed
A-2             1,162,800.00         0.00     6.84000000%
863572PP2        5.700000000  0.000000000            Fixed
A-3               968,495.50         0.00     6.90000000%
863572PQ0        5.750000000  0.000000000            Fixed
X-1             1,088,073.93         0.00     0.95385567%
863572PR8        0.790339537  0.000000000     0.69945028%
B                 661,049.25         0.00     6.95000000%
863572PS6        5.791666667  0.000000000            Fixed
C-1               290,908.33         0.00     7.00000000%
863572PT4        5.833333266  0.000000000            Fixed
C-2               261,878.53         0.00     6.08234000%
863572PU1        5.237570600  0.000000000     6.08625000%
X-2                 4,375.00         0.00     0.10161290%
863572PV9        0.087500000  0.000000000     0.10100000%
D                 680,066.29         0.00     7.15000000%
863572PW7        5.958333319  0.000000000            Fixed
E                 260,378.83         0.00     7.30000000%
863572PX5        6.083333255  0.000000000            Fixed
F                 433,961.09         0.00     7.30000000%
863572PY3        6.083333469  0.000000000            Fixed
T                       0.00         0.00
863572QA4        0.000000000  0.000000000
R                       0.00         0.00
863572QC0        0.000000000  0.000000000




                9,230,392.34         0.00

Total P&I Payment            10,383,377.75


REMIC I

              Original                    Opening        Principal
Class         Face Value (1)              Balance        Payment
CUSIP         Per $1,000                  Per $1,000     Per $1,000

LA-1          612,000,000.00              604,136,480.68   1,152,985.41
none          1000.000000000               987.151112222    1.883963088
LA-2          204,000,000.00              204,000,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LA-3          168,434,000.00              168,434,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LB            114,138,000.00              114,138,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LC-1           49,870,000.00               49,870,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LC-2           50,000,000.00               50,000,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LD            114,137,000.00              114,137,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LE             42,802,000.00               42,802,000.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LF             71,336,068.00               71,336,068.00           0.00
none          1000.000000000              1000.000000000    0.000000000
LR                      0.00                        0.00           0.00
863572QE6     1000.000000000                 0.000000000    0.000000000










1,426,717,068.00            1,418,853,548.6  1,152,985.41

              Principal      Negative     Closing
Class         Adj. or Loss   Amortization Balance
CUSIP         Per $1,000     Per $1,000   Per $1,000

LA-1                    0.00         0.00 602,983,495.27
none             0.000000000  0.000000000  985.267149134
LA-2                    0.00         0.00 204,000,000.00
none             0.000000000  0.000000000 1000.000000000
LA-3                    0.00         0.00 168,434,000.00
none             0.000000000  0.000000000 1000.000000000
LB                      0.00         0.00 114,138,000.00
none             0.000000000  0.000000000 1000.000000000
LC-1                    0.00         0.00  49,870,000.00
none             0.000000000  0.000000000 1000.000000000
LC-2                    0.00         0.00  50,000,000.00
none             0.000000000  0.000000000 1000.000000000
LD                      0.00         0.00 114,137,000.00
none             0.000000000  0.000000000 1000.000000000
LE                      0.00         0.00  42,802,000.00
none             0.000000000  0.000000000 1000.000000000
LF                      0.00         0.00  71,336,068.00
none             0.000000000  0.000000000 1000.000000000
LR                      0.00         0.00           0.00
863572QE6        0.000000000  0.000000000    0.000000000










                        0.00         0.00 1,417,700,563.27

              Interest       Interest     Pass-Through
Class         Payment        Adjustment   Rate (2)
CUSIP         Per $1,000     Per $1,000   Next Rate (3)

LA-1            3,956,276.61         0.00     7.85837651%
none             6.464504265  0.000000000     7.60406766%
LA-2            1,335,924.01         0.00     7.85837651%
none             6.548647108  0.000000000     7.60406766%
LA-3            1,103,014.82         0.00     7.85837651%
none             6.548647067  0.000000000     7.60406766%
LB                747,449.48         0.00     7.85837651%
none             6.548647076  0.000000000     7.60406766%
LC-1              326,581.03         0.00     7.85837651%
none             6.548647082  0.000000000     7.60406766%
LC-2              266,253.53         0.00     6.18395290%
none             5.325070600  0.000000000     6.18725000%
LD                747,442.93         0.00     7.85837651%
none             6.548647064  0.000000000     7.60406766%
LE                280,295.19         0.00     7.85837651%
none             6.548647026  0.000000000     7.60406766%
LF                467,154.74         0.00     7.85837651%
none             6.548647172  0.000000000     7.60406766%
LR                      0.00         0.00
863572QE6        0.000000000  0.000000000


                9,230,392.34         0.00

Total P&I Payment            10,383,377.75

Notes:  (1) N denotes notional balance not included 
in total
(2) Interest Paid minus Interest Adjustment minus
Deferred Interest equals Accrual (3) Estimated

Other Related Information

          Accrued     ReimbursemeNet          Prior
          Certificate of Prior   Prepayment   Unpaid
Class     Interest    Losses     Int. ShortfalInterest

A-1       3,418,405.59      0.00         0.00        0.00
A-2       1,162,800.00      0.00         0.00        0.00
A-3        968,495.50       0.00         0.00        0.00
X-1       1,088,073.93      0.00         0.00        0.00
B          661,049.25       0.00         0.00        0.00
C-1        290,908.33       0.00         0.00        0.00
C-2        261,878.53       0.00         0.00        0.00
X-2          4,375.00       0.00         0.00        0.00
D          680,066.29       0.00         0.00        0.00
E          260,378.83       0.00         0.00        0.00
F          433,961.09       0.00         0.00        0.00

totals:   9,230,392.34      0.00         0.00        0.00

          Ending                 Actual
          Unpaid      Interest   Distribution
Class     Interest    Loss       of Interest

A-1              0.00       0.00 3,418,405.59
A-2              0.00       0.00 1,162,800.00
A-3              0.00       0.00   968,495.50
X-1              0.00       0.00 1,088,073.93
B                0.00       0.00   661,049.25
C-1              0.00       0.00   290,908.33
C-2              0.00       0.00   261,878.53
X-2              0.00       0.00     4,375.00
D                0.00       0.00   680,066.29
E                0.00       0.00   260,378.83
F                0.00       0.00   433,961.09

totals:          0.00       0.00 9,230,392.34


Advances

              Prior Outst                       Curre
                       Principal   Interest    Principal  Interest

 Made by Servicer:          0.00         0.00        0.00    0.00
 Made by Trustee:           0.00         0.00        0.00    0.00
 Made by Fiscal Agent:      0.00         0.00        0.00    0.00

Totals:                     0.00         0.00        0.00    0.00

                             Advances Out
                       Principal   Interest    Principal  Interest

 Made by Servicer:          0.00         0.00        0.00    0.00
 Made by Trustee:           0.00         0.00        0.00    0.00
 Made by Fiscal Agent:      0.00         0.00        0.00    0.00

Totals:                     0.00         0.00        0.00    0.00


Beginning Loan Count:                                  10
Ending Loan Count:                                     10

Beginning Scheduled Balance of the Mortgage Lo1,418,853,548.98
Ending Scheduled Balance of the Mortgage Loans1,417,700,563.57


REO Property Information




                                 Ending Principal
#         Loan Number Date of REOBalance












                      OutstandingDate of
#         Loan Number Arrearage  Final Recovery












                      Amount of  Realized
#         Loan Number Proceeds   Loss













Realized Loss Information

                      Prior      Current

                            0.00         0.00
                            0.00         0.00

                      Reimbursement
  Component               of PrioCumulatvie

  Mortgage Pool.....................      0.00         0.00
  Certificates........................      0.00         0.00


Asset Backed Facts - Pool Total

DistributiDelinq 1 Month         Delinq 2 Months
Date      #           Balance    #            Balance
  06/12/98           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiDelinq 3+  Months      Foreclosure/Bankruptcy
Date      #           Balance    #            Balance
  06/12/98           0      0.00             0        0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiREO                    Modifications
Date      #           Balance    #            Balance
  06/12/98           0      0.00             0        0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiPrepayments            Curr Weighted Avg.
Date      #           Balance    Coupon       Remit
  06/12/98           0      0.00       7.8263%     7.8073%
                 0.00%     0.000%


Asset Backed Facts - Group 1 Total

DistributiDelinq 1 Month         Delinq 2 Months
Date      #           Balance    #            Balance
  11/13/97           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiDelinq 3+  Months      Foreclosure/Bankruptcy
Date      #           Balance    #            Balance
  11/13/97           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiREO                    Modifications
Date      #           Balance    #            Balance
     11/13           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiPrepayments            Curr Weighted Avg.
Date      #           Balance    Coupon       Remit
     11/13           0      0.00       7.8788%     7.8598%
                 0.00%     0.000%


Asset Backed Facts - Group 2 Total

DistributiDelinq 1 Month         Delinq 2 Months
Date      #           Balance    #            Balance
  06/12/98           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiDelinq 3+  Months      Foreclosure/Bankruptcy
Date      #           Balance    #            Balance
  06/12/98           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiREO                    Modifications
Date      #           Balance    #            Balance
  06/12/98           0      0.00             0       0.00
                 0.00%     0.000%        0.00%      0.000%

DistributiPrepayments            Curr Weighted Avg.
Date      #           Balance    Coupon       Remit
  06/12/98           0      0.00       6.3808%     6.3618%
                 0.00%     0.000%

Note:  Foreclosure and REO Totals are 
Included in the Appropriate
Delinquency Aging Category


Loan Level Detail

                      Property
Disclosure            Type       Maturity
Control #             Code       Date         DSCR

Courtyard             Lodging         04/10/17     1.85473
Prentiss              Mixed Use       02/26/27
DDR/DRA               Retail          06/10/02     2.20274
Arden                 Office          06/10/12     2.67518
Sun Communities       Lodging         09/10/27
Macerich-VM           Retail          10/10/26        1.78
Macerich-VV           Retail          10/10/26        1.97
Worldwide #1          Office          07/10/17
Worldwide #2          Office          07/10/17
Worldwide #3          Office          07/10/17N/A

                      Operating               Ending
Disclosure            Statement               Principal
Control #             Date       State        Balance

Courtyard                   35795Various      316,801,245
Prentiss                         Various      180,100,000
DDR/DRA                     35795Various      322,500,000
Arden                       35795Various      175,000,000
Sun Communities                  Various       44,660,831
Macerich-VM                      CA            58,000,000
Macerich-VV                      TX            51,000,000
Worldwide #1                     NY           114,638,488
Worldwide #2                     NY           105,000,000
Worldwide #3                     NY            50,000,000

                                              1,417,700,564

Disclosure            Note       Scheduled
Control #             Rate       P&I          Prepayment

Courtyard                   7.87%    2,760,534           0
Prentiss                    7.58%    1,175,398           0
DDR/DRA                     7.38%    2,048,932           0
Arden                       7.52%    1,133,222           0
Sun Communities             7.01%      308,392           0
Macerich-VM                 7.23%      360,849           0
Macerich-VV                 7.89%      346,503           0
Worldwide #1                7.92%    1,288,869           0
Worldwide #2                7.92%      716,100           0
Worldwide #3                6.20%      267,045           0

                                                         0

                                 Loan
Disclosure            Prepayment Status
Control #             Date       Code (1)

Courtyard
Prentiss
DDR/DRA
Arden
Sun Communities
Macerich-VM
Macerich-VV
Worldwide #1
Worldwide #2
Worldwide #3

* NOI and DSCR, if available and reportable 
* under the terms of the trust
agreement, are based on information obtained 
from the related borrower,
and no other party to the agreement shall be 
held liable for the
accuracy or methodology used to determine 
such figures.

(1)   Legend:
A.  P&I Adv -  in Grace Period
B.  P&I Adv -  < one month delinq
1.  P&I Adv -  delinquent 1 month
2.  P&I Adv -  delinquent 2 months
3.  P&I Adv -  delinquent 3+ months
4.  Mat. Balloon/Assumed  P&I
5. Prepaid in Full
6. Specially  Serviced
7. Foreclosure
8. Bankruptcy
9. REO
10. DPO
11. Modification


Specially Serviced Loan Detail

          Beginning
DisclosureScheduled   Interest   Maturity
Control # Balance     Rate       Date


         0








                      Specially
DisclosureProperty    Serviced
Control # Type        Status CodeComments
                                0            0
                                0            0
         0                      0            0
                                0            0
                                0            0
                                0            0
                                0            0
                                0            0
                                0            0
                                0            0

(1)       Legend :
1)  Request for waiver of Prepayment Penalty
2)   Payment default
3)   Request for Loan Modification or Workout
4)  Loan with Borrower Bankruptcy
5)  Loan in Process of Foreclosure
6)  Loan now REO Property


Modified Loan Detail


DisclosureModificationModification
Control # Date        Description
         0           0          0
         0           0          0
         0           0          0
         0           0          0
         0           0          0
         0           0          0
         0           0          0
         0           0          0
         0           0          0
         0           0          0

Realized Loss Detail

                                              Beginning
Dist.     Disclosure  Appraisal  Appraisal    Scheduled
Date      Control #   Date       Value        Balance
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00
  01/00/00           0   01/00/00        0.00         0.00

Current Total                            0.00
Cumulative                               0.00

                                 Gross ProceedAggregate
Dist.     Disclosure  Gross      as a % of    Liquidation
Date      Control #   Proceeds   Sched PrincipExpenses *
         0           0       0.00                     0.00
         0           0       0.00                     0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00
         0           0       0.00        0.00%        0.00

Current Total                0.00                     0.00
Cumulative                   0.00                     0.00

                      Net        Net Proceeds
                      Liquidationas a % of    Realized
Date      Control #   Proceeds   Sched. BalancLoss
         0           0
         0           0
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00
         0           0       0.00        0.00%       0.00

Current Total                0.00                    0.00
Cumulative                   0.00                    0.00

* Aggregate liquidation expenses also 
* include outstanding
P&I advances and unpaid servicing fees, unpaid 
trustee fees, etc.
_




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