HOME EQUITY MORT LOAN ASSET BACKED TRUST SERIES SPMD 1997 A
8-K, 1998-02-06
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): 11/25/97

                                   CWMBS, INC.

                                   (Depositor)

   (Issuer in respect of Mortgage Pass Through Certificates, Series 97-A SPMD)

               (Exact name of registrant as specified in charter)

   Delaware                          33-63714                   95-4449516
(State or other                (Commission File No.)         (I.R.S. Employer
jurisdiction of                                              Identification No.)
 organization)

155 N. Lake Avenue, Pasadena, CA                                     911009-7137
(Address of principal executive offices)                              (Zip Code)

Registrant's Telephone Number, including area code:  (818)-304-4428

                                 Not Applicable
              (Former name, former address and former fiscal year,
                          if changed since last report)


<PAGE>



Item 5.  Other Events

                                   CWMBS, INC.
                       Mortgage Pass Through Certificates
                                Series 97-A SPMD

On November 25 1997, The Bank of New York, as Trustee for CWMBS,  Inc.  Mortgage
Pass Through  Certificates  Series 1997-A SPMD,  made a monthly  distribution to
Certificateholders  of  principal  and/or  interest  pursuant to the Pooling and
Servicing  Agreement,  dated as of  September  1, 1997,  among  CWMBS,  Inc.  as
Depositor, Independent National Mortgage Corporation, Seller and Master Servicer
and The Bank of New York, as Trustee.

Item 7.  Financial Statements and Exhibits

                    (c) Exhibits

Exhibit No.                                 Description

99   Report to Holders of CWMBS, Inc., Mortgage Pass Through Certificates Series
     1997-A SPMD relating to the distribution date of November 25, 1997 prepared
     by The Bank of New  York,  as  Trustee  under  the  Pooling  and  Servicing
     Agreement dated as of September 1, 1997.




<PAGE>


                                   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. Dated: November 25, 1997


                                                      CSMBS, INC.


                                                      By: /s/ Kelly A Sheahan

                                                      Name:  Kelly A. Sheahan
                                                      Assistant Treasurer
                                                      The Bank of New York,
                                                      as Trustee




                                                          Payment Date: 11/25/97

- --------------------------------------------------------------------------------
                    INDEPENDENT NATIONAL MORTGAGE CORPORATION
             MORTGAGE PASS-THROUGH CERTIFICATES, SERIES SPMD 1997-A
- --------------------------------------------------------------------------------
<TABLE>
<CAPTION>
Class Information                                             Current Payment Information

- ------------------------------------------------------------------------------------------------------------------------
                                  Beginning    Pass Thru    Principal     Interest       Total     Principal   Interest 
 Type        Class Code  Name     Cert. Bal.     Rate       Dist. Amt.    Dist. Amt.      Dist.      Losses   Shortfalls
- ------------------------------------------------------------------------------------------------------------------------
<S>          <C>         <C>   <C>             <C>        <C>           <C>           <C>             <C>        <C>    
Senior                   AF-1   68,776,481.59  5.746250%  2,446,736.06    318,361.08  2,765,097.14    0.00       0.00   
                         AF-2   31,000,000.00  6.430000%          0.00    166,108.33    166,108.33    0.00       0.00   
                         AF-3   19,000,000.00  6.700000%          0.00    106,083.33    106,083.33    0.00       0.00   
                         AF-4   15,026,369.00  7.050000%          0.00     88,279.92     88,279.92    0.00       0.00   
                         AF-5   13,500,000.00  6.640000%          0.00     74,700.00     74,700.00    0.00       0.00   
                         AF-X   87,277,855.78  1.500000%        n/a       109,097.32    109,097.32    0.00       0.00   
                         AV-1   78,262,590.06  5.856250%  2,334,354.69    369,206.49  2,703,561.18    0.00       0.00   
                                                          
Residual                   R             0.00  7.390000%          0.00          0.00          0.00    0.00       0.00   
                         OC-1            0.00  0.000000%          0.00          0.00          0.00    0.00       0.00   
                         OC-2            0.00  0.000000%          0.00          0.00          0.00    0.00       0.00   
- ------------------------------------------------------------------------------------------------------------------------
Subordinate              MF-1    7,560,000.00  6.880000%          0.00     43,344.00     43,344.00    0.00       0.00   
                         MF-2    1,985,000.00  7.080000%          0.00     11,711.50     11,711.50    0.00       0.00   
                         BF-1    1,596,719.38  7.390000%          0.00      9,833.13      9,833.13    0.00       0.00   
                         MV-1    4,362,000.00  6.056250%          0.00     21,280.65     21,280.65    0.00       0.00   
                         MV-2    2,181,000.00  6.256250%          0.00     10,991.71     10,991.71    0.00       0.00   
                         BV-2    1,526,922.54  6.656250%          0.00      8,187.33      8,187.33    0.00       0.00   
                                                          
- ------------------------------------------------------------------------------------------------------------------------
                                                          
- ------------------------------------------------------------------------------------------------------------------------
     Totals    --         --   244,777,082.57     --      4,781,090.75  1,337,184.79  6,118,275.54    0.00       0.00   
- ------------------------------------------------------------------------------------------------------------------------
</TABLE>
                                                         
Class Information

- -----------------------------------------------------------
                                Ending Cert./     Unpaid   
 Type        Class Code  Name   Notional Bal.    Interest  
- -----------------------------------------------------------          
Senior                   AF-1   66,329,745.53      0.00
                         AF-2   31,000,000.00      0.00
                         AF-3   19,000,000.00      0.00
                         AF-4   15,026,369.00      0.00
                         AF-5   13,500,000.00      0.00
                         AF-X   85,130,573.96      0.00
                         AV-1   75,928,235.37      0.00
                                                       
Residual                   R             0.00      0.00
                         OC-1            0.00      0.00
                         OC-2            0.00      0.00
- -----------------------------------------------------------
Subordinate              MF-1    7,560,000.00      0.00
                         MF-2    1,985,000.00      0.00
                         BF-1    1,596,719.38      0.00
                         MV-1    4,362,000.00      0.00
                         MV-2    2,181,000.00      0.00
                         BV-2    1,526,922.54      0.00
                                                       
- -----------------------------------------------------------
                                                       
- -----------------------------------------------------------
     Totals    --         --   239,995,991.82          
- -----------------------------------------------------------
<PAGE>

                                                          Payment Date: 11/25/97

                    INDEPENDENT NATIONAL MORTGAGE CORPORATION
             MORTGAGE PASS-THROUGH CERTIFICATES, SERIES SPMD 1997-A

<TABLE>
<CAPTION>
Class Information                                        Current Payment Information
                                                                                Factors per $1,000
- --------------------------------------------------------------------------------------------------------------
                                   Beginning     Pass Thru    CUSIP     Principal    Interest    Ending Cert./
      Type  Class Code   Name   Cert. Bal.(Face)   Rate      Numbers      Dist.        Dist.     Notional Bal.
- --------------------------------------------------------------------------------------------------------------
<S>         <C>          <C>    <C>              <C>        <C>         <C>           <C>        <C>
Senior                   AF-1    69,500,000.00   5.746250%  12669A-BT0  35.204835     4.580735     954.384828
                         AF-2    31,000,000.00   6.430000%  12669A-BU7   0.000000     5.358333   1,000.000000
                         AF-3    19,000,000.00   6.700000%  12669A-BV5   0.000000     5.583333   1,000.000000
                         AF-4    15,026,369.00   7.050000%  12669A-BW3   0.000000     5.875000   1,000.000000
                         AF-5    13,500,000.00   6.640000%  12669A-BX1   0.000000     5.533333   1,000.000000
                         AF-X    88,000,000.00   1.500000%  12669A-BY9   0.000000     1.239742     967.392886
                         AV-1    79,173,000.00   5.856250%  12669A-CC6  29.484227     4.663288     959.016778

Residual                   R             50.00   7.390000%  12669A-CG7   0.000000     0.000000       0.000000
                         OC-1             0.00   0.000000%     n/a
                         OC-2             0.00   0.000000%     n/a
- --------------------------------------------------------------------------------------------------------------
Subordinate              MF-1     7,560,000.00   6.880000%  12669A-BZ6   0.000000     5.733333   1,000.000000
                         MF-2     1,985,000.00   7.080000%  12669A-CA0   0.000000     5.900000   1,000.000000
                         BF-1     1,596,719.38   7.390000%  12669A-CB8   0.000000     6.158333   1,000.000000
                         MV-1     4,362,000.00   6.056250%  12669A-CD4   0.000000     4.878646   1,000.000000
                         MV-2     2,181,000.00   6.256250%  12669A-CE2   0.000000     5.039757   1,000.000000
                         BV-2     1,526,922.54   6.656250%  12669A-CF9   0.000000     5.361979   1,000.000000

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

- --------------------------------------------------------------------------------------------------------------
     Totals     --        --    246,411,060.92       --         --          --           --            --
- --------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>

                                                          Payment Date: 11/25/97

- --------------------------------------------------------------------------------
                    INDEPENDENT NATIONAL MORTGAGE CORPORATION
             MORTGAGE PASS-THROUGH CERTIFICATES, SERIES SPMD 1997-A
- --------------------------------------------------------------------------------
<TABLE>
<CAPTION>
- --------------------------------------------------------------------------------
                             COLLATERAL INFORMATION
- --------------------------------------------------------------------------------
                                                                Group 1            Group 2        Total/Wtd. Avg.
                                                                -------            -------        ---------------
<S>                                                      <C>                 <C>                   <C>           
Aggregate Pool Stated Principal Balance (next)           156,298,712.34      84,272,591.33         240,571,303.67
Aggregate Loan Count                                              1,713                665                  2,378
Weighted Average Loan Rate (WAC)                              9.801551%         10.017811%              9.862027%
Aggregate Prepayment Amount                                2,052,320.96       2,017,518.21           4,069,839.17
</TABLE>

<TABLE>
<CAPTION>
- --------------------------------------------------------------------------------
                                FEES AND ADVANCES
- --------------------------------------------------------------------------------
                                                                Group 1            Group 2                  Total
                                                                -------            -------                  -----
<S>                                                           <C>                 <C>                   <C>           
Monthly Master Servicing Fees                                 66,019.16          35,971.88             101,991.04
Monthly Sub Servicer Fees                                          0.00               0.00                   0.00
Monthly Trustee Fees                                           1,188.35             647.49               1,835.84

Aggregate Advances                                            38,987.28          29,847.31              68,834.59
Advances this Period                                          35,491.65          34,491.40              69,983.05
</TABLE>

<TABLE>
<CAPTION>
- --------------------------------------------------------------------------------
                                     LOSSES
- --------------------------------------------------------------------------------
                                                                Group 1            Group 2                  Total
                                                                -------            -------                  -----
<S>                                                                <C>                 <C>                   <C>           
Net Realized Losses (this period)                                  0.00               0.00                   0.00
Cumulative Losses (from Cut-Off)                                   0.00               0.00                   0.00
</TABLE>

<TABLE>
<CAPTION>
- --------------------------------------------------------------------------------
                                COLLATERALIZATION
- --------------------------------------------------------------------------------
                                                                Group 1            Group 2                  Total
                                                                -------            -------                  -----
<S>                                                        <C>                 <C>                   <C>           
Net Monthly Excess Cash Flow                                 299,454.24         274,433.43             573,887.67
Allocated:
                Certificates                                 299,454.24         274,433.43             573,887.67
                Applied Realized Losses                            0.00               0.00                   0.00
                Subordinated Amount                          300,878.43         274,433.42             575,311.85
                Required Subordinated Amount               2,464,110.61       4,312,193.57           6,776,304.18
Trigger Event Test Result                                    FAIL                FAIL
</TABLE>

<TABLE>
<CAPTION>
                                               Aggregate Certificate Information
- ---------------------------------------------------------------------------------------------------------
 Class    Group 1 Agg.    Group 2 Agg.    Group 1 Agg.     Group 2 Agg.    Group 1 Agg.     Group 2 Agg.
  Type     Percentages     Percentages     Prepay Pct.     Prepay Pct.    End Cert. Bal.   End Cert. Bal.
- ---------------------------------------------------------------------------------------------------------
<S>           <C>             <C>             <C>             <C>         <C>               <C>          
All           n/a             n/a             n/a             n/a         155,997,833.91    83,998,157.91
- ---------------------------------------------------------------------------------------------------------
</TABLE>

- --------------------------------------------------------------------------------
                             DELINQUENCY INFORMATION
- --------------------------------------------------------------------------------
Group 1
- -------
Period                                       Loan Count    Ending Stated Balance
- ------                                       ----------    ---------------------
30 to 59 days                                        37             3,666,394.63
60 to 90 days                                         4               398,338.32
91 or more                                            0                     0.00
Forclosure                                            0                     0.00
REO's                                                 0                     0.00
Totals:                                              41             4,064,732.95
                                             
Group 2                                      
- -------                                      
Period                                       Loan Count    Ending Stated Balance
- ------                                       ----------    ---------------------
30 to 59 days                                        19             2,804,628.70
60 to 90 days                                         6               503,149.37
91 or more                                            0                     0.00
Forclosure                                            0                     0.00
REO's                                                 0                     0.00
Totals:                                              25             3,307,778.07

- --------------------------------------------------------------------------------
                               NEW REO INFORMATION
- --------------------------------------------------------------------------------
           REO Date    Loan Number       Ending Stated Balance        Book Value
           --------    -----------       ---------------------        ----------
Group 1    n/a         #                                  0.00        n/a
           n/a         #                                  0.00        n/a
           n/a         #                                  0.00        n/a
           n/a         #                                  0.00        n/a
Group 2    n/a         #                                  0.00        n/a
           n/a         #                                  0.00        n/a
           n/a         #                                  0.00        n/a
           n/a         #                                  0.00        n/a
           Totals:                                        0.00              0.00

- --------------------------------------------------------------------------------
                                OTHER INFORMATION
- --------------------------------------------------------------------------------
                                        Group 1         Group 2            Total
                                        -------         -------            -----
Available Remittance Amount        3,374,254.68    2,744,020.86     6,118,275.54
Principal Remittance Amount        2,147,281.82    2,059,921.26     4,207,203.08
Interest Remittance Amount         1,226,972.86      684,099.60     1,911,072.46


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