TIERS ASSET BACKED SECURITIES SER CHAMT TR 1997-7
8-K, 1998-04-20
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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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):   April 15, 1998

           Tiers Asset-Backed Securities, Series CHAMT Trust 1997-7
            (Exact name of registrant as specified in its charter)

          DELAWARE                 33-55860                    52-6880113
(State or other jurisdiction      (Commission               (I.R.S. employer
     of incorporation)            file number)             identification no.)

          c/o Delaware Trust Capital Management, Inc.
          c/o Corestates Bank
          FCS-4-2-6, 3 Beaver Valley Road
          Wilmington, Delaware                                    19803
(Address of principal executive offices)                        (Zip code)

Registrant's telephone number, including area code (302)-421-7307

                                     N/A
         (Former name or former address, if changed since last report)


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Item 1. Changes in Control of Registrant. 

        Not Applicable.

Item 2. Acquisition or Disposition of Assets.

        Not Applicable.

Item 3. Bankruptcy or Receivership.

        Not Applicable.

Item 4. Changes in Registrant's Certifying Accountant.

        Not Applicable.

Item 5. Other Events.

        Not Applicable.


Item 6. Resignations of Registrant's Directors.

        Not Applicable.

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

                  (a)  Not Applicable.

                  (b)  Not Applicable.

                  (c)  Exhibits.

1. Indenture Trustee's Monthly Report in respect of the April 15, 1998
   Distribution Date 
2. Administrator's Report in respect of the April 15, 1998 Distribution Date

Item 8. Change in Fiscal Year.

        Not Applicable.


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                                  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.

                      TIERS Asset-Backed Securities
                      Series CHAMT Trust 1997-7

                      By:      Delaware Trust Capital Management, Inc.,
                                   not in its individual capacity,
                                   but solely as Owner Trustee on behalf of
                                   TIERS Asset-Backed Securities,
                                   Series CHAMT Trust 1997-7

                                   By: /s/  Richard N. Smith
                                   Name:  Richard  N. Smith
                                   Title:  Vice President

Dated:  April 15, 1998


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                                 EXHIBIT INDEX

Exhibit                                                                 Page

1.  Indenture Trustee's Report in respect of the April 15, 1998 
    Distribution Date                                                   5-6

2.  Administrator's Report in respect of the April 15, 1998 
    Distribution Date                                                   7-8


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                                   Exhibit 1

To the Holders of
TIERS Asset-Backed Securities,
Series CHAMT Trust 1997-7
Fixed Rate Notes, Class A
CUSIP: 871928AR8

Pursuant to Section 9(c) of the Series Trust Indenture dated September 15,
1997 between TIERS Asset-Backed Securities, Series CHAMT Trust 1997-7 and U.S.
Bank Trust National Association, formerly First Trust of New York, National
Association, as Indenture Trustee, U.S. Bank Trust National Association
formerly First Trust of New York, National Association hereby gives notice
with respect to the Distribution occurring on April 15, 1998 (the
"Distribution Date") as follows:

(i) The amount of the distribution to holders of the Fixed Rate Notes Class A
allocable to principal of and premium, if any, and interest and the amount of
aggregate unpaid interest accrued, if any, as of the Distribution Date,
expressed as a dollar amount per $1,000 original face amount thereof, were as
follows:

                                    Fixed Rate Notes, Class A

Principal                           $0.00
Premium, if any                     $0.00
Interest Paid                       $5.573333
Interest Accrued and not paid       $0.00

(ii) No compensation has been paid to the Administrator or Trustee from
Available Funds under the TIERS Asset-Backed Securities, Series CHAMT Trust
1997-7.

(iii) The aggregate stated principal amount of the Chase Credit Card Master
Trust Class A Floating Rate Certificates, Series 1996-4 (the "Deposited
Assets") is $363,900,000 and the notional amount is the same.

(iv) The Deposited Assets will bear interest at a rate of 5.78625% for the
period from April 15, 1998 through May 15, 1998.


(v) The Deposited Assets are rated AAA by Standard & Poors and Aaa by Moody's
Investors Service.

(vi) The Eligible Investments held by the Issuer as of the Distribution Date
were as follows: None.


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(vii) The PSA Index Rate determined with respect to the Distribution Date by
Westdeutsche Landesbank Girozentrale, as Swap Counterparty is not to be
determined prior to February 1999.

(viii) The aggregate outstanding principal balance of, Notional Amount
attributable to and the Current Factor applicable to each class of Securities
as of the close of business on the Distribution Date were as follows:

                          Fixed Rate Notes, Class A  Floating Rate Certificates
                                                     Class B

Aggregate Outstanding     $352,980,000               $10,920,000
Principal Balance         
Notional Amount           $352,980,000               $10,920,000
Current Factor            1.00000000                 1.00000000


U.S. Bank Trust National Association, formerly
First Trust of New York, National Association, as Indenture Trustee


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                                   Exhibit 2

To the Holders of
TIERS Asset-Backed Securities,
Series CHAMT Trust 1997-7
Floating Rate Certificates, Class B
CUSIP: 8712928AS8

Pursuant to Section 4.2 of the Base Trust Agreement dated September 15, 1997
between Structured Products Corporation and Delaware Trust Capital Management,
Inc., U.S. Bank Trust National Association, formerly First Trust of New York,
National Association, as Administrator, hereby gives notice with respect to
the Distribution occurring on April 15, 1998 (the "Distribution Date") as
follows:


(i) The amount of the distribution to holders of each Class of Securities
allocable to principal of and premium, if any, and interest and the amount of
aggregate unpaid interest accrued, if any, as of the Distribution Date,
expressed as a dollar amount per $1,000 original face amount thereof, were as
follows:

                          Fixed Rate Notes, Class A  Floating Rate Certificates
                                                     Class B

Principal                 $0.00                      $0.00
Premium, if any           $0.00                      $0.00
Interest Paid             $5.573333                  $4.90625
Interest Accrued and not  $0.00                      $0.00
 paid


(ii) The Floating Rate Pass Through Rate applicable to the Floating Rate Class
B Certificates for the period from March 15, 1998 through April 15, 1998 and
payable on the on the Distribution Date , as calculated by Westdeutsche
Landesbank Girozentrale, the Calculation Agent is 5.8875%.

(iii) No compensation has been paid to the Administrator or Trustee from
Available Funds under the TIERS Asset-Backed Securities, Series CHAMT Trust
1997-7.

(iv) The aggregate stated principal amount of the Chase Credit Card Master
Trust Class A Floating Rate Certificates, Series 1996-4 (the "Deposited
Assets") is $363,900,000 and the notional amount is the same.

(v) The Deposited Assets will bear interest at a rate of 5.78625% for the
period from April 15, 1998 through May 15, 1998.


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(vi) The Deposited Assets are rated AAA by Standard & Poors and Aaa by Moody's
Investors Service .

(vii) The Eligible Investments held by the Issuer as of the Distribution Date
were as follows: None.

(viii) The PSA Index Rate determined with respect to the Distribution Date by
Westdeutsche Landesbank Girozentrale, as Swap Counterparty is not to be
determined prior to February 1999.

(ix) The aggregate outstanding principal balance of, Notional Amount
attributable to and the Current Factor applicable to each class of Securities
as of the close of business on the Distribution Date were as follows:


                          Fixed Rate Notes, Class A  Floating Rate Certificates
                                                     Class B

Aggregate Outstanding     $352,980,000               $10,920,000
Principal Balance
Notional Amount           $352,980,000               $10,920,000
Current Factor            1.00000000                 1.00000000

U.S. Bank Trust National Association, formerly
First Trust of New York, National Association, as Administrator


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