PROVIDENT BANK HOME EQUITY LOAN TRUST 1997-4
8-K, 1999-02-01
Previous: MELLON RESIDENTIAL FUNDING CORP MORT PAS THR CER SER 1998-1, 15-15D, 1999-02-01
Next: PROVIDENT BANK HOME EQUITY LOAN TRUST 1997-4, 15-15D, 1999-02-01




                          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 27, 1998


                                   THE PROVIDENT BANK
          (as depositor under the Pooling and Servicing Agreement, dated as of
          December 1, 1997, which forms Provident Bank Home Equity Loan Trust
          1997-4, which will issue the Provident Bank Home Equity Loan Trust
          1997-4, Home Equity Loan Asset-Backed Certificates, Series 1997-4)


                                   THE PROVIDENT BANK
                 (Exact name of Registrant as specified in its Charter)


                                          OHIO
                   (State or Other Jurisdiction of Incorporation)


              333-35275                                  31-0412725
              (Commission File Number                    (I.R.S. Employer
                                                         Identification No.)


              ONE EAST FOURTH STREET
              CINCINNATI, OHIO                           45202
              (Address of principal executive offices)   (Zip Code)


          Registrant's Telephone Number, Including Area Code:  (513) 579-2000


          ITEM 5.     Other Events

               Attached hereto are copies of the Monthly Remittance Statements
          to the Certificateholders which were derived from the monthly
          information submitted by the Master Servicer of the Trust to the
          Trustee.


          ITEM 7.     Financial Statement and Exhibits

          Exhibits:   (as noted in Item 5 above)


          Monthly Remittance Statement to the Certificateholders dated as of
          April 27, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          May 26, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          June 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          July 27, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          August 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          September 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          October 26, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          November 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          December 28, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          January 25, 1999.


                                       SIGNATURE


               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, hereunto duly authorized.


                                  Bankers Trust Company of California, N.A.,
                                  not in its individual capacity, but solely
                                  as a duly authorized agent of the Registrant
                                  pursuant to the Pooling and Servicing
                                  Agreement, dated as of December 1, 1997.


          Date:  January 29, 1999             By:  /s/ Judy L. Gomez
                                            Judy L. Gomez
                                            Assistant Vice President


                                   EXHIBIT INDEX

 
          Document 


          Monthly Remittance Statement to the Certificateholders dated as of
          April 27, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          May 26, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          June 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          July 27, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          August 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          September 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          October 26, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          November 25, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          December 28, 1998.

          Monthly Remittance Statement to the Certificateholders dated as of
          January 25, 1999.





PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  22,658,707.60     121,247.69     410,922.07
>532,169.76           0.00           0.00  22,247,785.53
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 181,976,144.35     990,443.08   3,962,383.86   4,
>952,826.94           0.00           0.00 178,013,760.49
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 242,712,851.95   1,325,479.68   4,373,305.93   5,
>698,785.61           0.00           0.00 238,339,546.02

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          927.799017       4.964691      16.825898
> 21.790589     910.973120       5.837500%      5.806250%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          970.539437       5.282363      21.132714
> 26.415077     949.406723       5.937500%      5.906250%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  March 31, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:            April 27, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  April 27, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                           GROUP 1    PRINCIPA
>L BALANCE   356,738.40154,920.32 702,721.32  854,160.96        0.00 179,146.84
>

>                                                       PERCENTAGE OF POOL BALA
>NCE            0.5833%   0.2533%     1.1491%     1.3967%    0.0000%    0.2929%
>

>                                                        NUMBER OF LOANS
>                    4         2           8          11           0          3
>

>                                                        PERCENTAGE OF LOANS
>               0.3630%   0.1815%     0.7260%     0.9982%     0.0000%   0.2722%
>

>                                                          GROUP 2     PRINCIPA
>L BALANCE   2,182,576.819,768.94 552,711.41  923,312.83        0.00 663,117.25
>

>                                                       PERCENTAGE OF POOL BALA
>NCE            1.2096%   0.4543%     0.3063%     0.5117%    0.0000%    0.3675%
>

>                                                        NUMBER OF LOANS
>                   21        11           7          14           0          8
>

>                                                        PERCENTAGE OF LOANS
>               1.1296%   0.5917%     0.3765%     0.7531%     0.0000%   0.4303%
>

>                                                       Note:  Quantity and Pri
>ncipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the
Delinq
>


>
>                                                          GROUP 1     GROUP 2
>


>                                                        BOOK VALUE OF LOANS IN
>REO:                                                           0.00       0.00
>


>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   2          7
>

>                                                       PRINCIPAL BALANCE OF LO
>ANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 107,979.12 584,426.89
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.727443% 10.237697%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            214        355
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                  1,109      1,891
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                1,102      1,859
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                 61,385,310.81 183,921,231.76
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               61,154,427.47 180,436,599.48
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      97.770865% 96.185824%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                         7         32
>



>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                       90,848.93  88,043.65
>

>                                                                      PREPAYME
>NTS IN FULL                                             140,035.17 3,396,590.7
>

>                                                                      CURTAILM
>ENTS                                                         (0.76)     (2.16)
>

>                                                                      NET LIQU
>IDATIONS                                                       0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00       0.00
>



>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                      230,883.34 3,484,632.2
>


>                                                        SERVICER ADVANCES:
>                                                          70,818.81 253,745.48
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT            794,865.83
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  April 27, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        548,756.17 1,569,108.2
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    25,577.21  76,633.85
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        25,577.21  76,633.85
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                      (12.31) (1,158.73)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (3,213.99)(12,363.18)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     22,350.91  63,111.94
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           7,592.09  22,747.02
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.12137882 0.12125815
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                      230,883.34 3,484,632.2
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       523,178.96 1,492,474.3
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                         754,062.30 4,977,106.6
>


>                                                        O/C AMOUNT BEGINNING
>                                                        648,603.21 1,945,087.4
>

>                                                        O/C AMOUNT ENDING
>                                                        828,641.94 2,422,838.9
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         180,038.73 477,751.58
>

>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              180,038.73 477,751.58
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>


>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  April 27, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        548,756.17 1,569,108.2
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                            (12.31) (1,158.73)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                      230,883.34 3,484,632.2
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       523,178.96 1,492,474.3
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                         754,062.30 4,977,106.6
>



>                                                        O/C AMOUNT
>                                                        648,603.21 1,945,087.4
>


>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         180,038.73 477,751.58
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              180,038.73 477,751.58
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  22,247,785.53     104,058.61   1,526,903.83   1,
>630,962.44           0.00           0.00  20,720,881.70
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 178,013,760.49     846,956.09   4,563,777.19   5,
>410,733.28           0.00           0.00 173,449,983.30
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 238,339,546.02   1,164,803.61   6,090,681.02   7,
>255,484.63           0.00           0.00 232,248,865.00

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          910.973120       4.260855      62.521654
> 66.782509     848.451466       5.806250%      5.798440%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          949.406723       4.517099      24.340145
> 28.857244     925.066578       5.906250%      5.898440%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  April 30, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:             May 26, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  May 26, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                           GROUP 1    PRINCIPA
>L BALANCE   189,878.4959,471.96  867,915.90  867,795.72        0.00 179,077.23
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           0.3174%   0.0994%     1.4508%     1.4506%     0.0000%    0.2993%
>

>                                                        NUMBER OF LOANS
>                    6         2          11          12           0          3
>

>                                                        PERCENTAGE OF LOANS
>              0.5561%   0.1854%     1.0195%     1.1121%     0.0000%    0.2780%
>

>                                                          GROUP 2     PRINCIPA
>L BALANCE  2,663,644.1,051,814.1,120,523.121,460,791.03       0.00 1,085,542.0
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.5094%   0.5960%     0.6350%     0.8278%     0.0000%    0.6151%
>

>                                                        NUMBER OF LOANS
>                   26         6          15          17           0         10
>

>                                                        PERCENTAGE OF LOANS
>              1.4177%   0.3272%     0.8179%     0.9269%     0.0000%    0.5453%
>

>                                                      Note:  Quantity and Prin
>cipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the Delinq
>
>
>                                                          GROUP 1     GROUP 2
>
>                                                        BOOK VALUE OF LOANS IN
>REO:                                                           0.00       0.00
>
>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   2          9
>

>                                                      PRINCIPAL BALANCE OF LOA
>NS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 107,909.51 1,006,851.6
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.727855% 10.273545%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            213        354
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                  1,102      1,859
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                1,079      1,834
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                 61,154,427.47 180,436,599.48
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               59,822,857.96 176,471,698.58
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      95.642013% 94.072244%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        23         25
>



>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                      110,337.50  85,406.05
>

>                                                                      PREPAYME
>NTS IN FULL                                            1,221,232.273,879,495.7
>

>                                                                      CURTAILM
>ENTS                                                         (0.26)     (0.86)
>

>                                                                      NET LIQU
>IDATIONS                                                       0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00       0.00
>



>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                     1,331,569.513,964,900.9
>


>                                                        SERVICER ADVANCES:
>                                                          71,509.61 265,313.46
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           1,346,690.0
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  May 26, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        546,713.19 1,544,769.6
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    25,481.01  75,181.92
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        25,481.01  75,181.92
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                     (721.39)   (401.57)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (3,220.43)(12,946.08)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     21,539.19  61,834.27
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           7,540.72  22,251.72
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.12055754 0.11861784
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,331,569.513,964,900.9
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       521,232.18 1,469,587.7
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,852,801.695,434,488.6
>


>                                                        O/C AMOUNT BEGINNING
>                                                        828,641.94 2,422,838.9
>

>                                                        O/C AMOUNT ENDING
>                                                       1,023,976.263,021,715.2
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         195,334.32 598,876.29
>

>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              195,334.32 598,876.29
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>


>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  May 26, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        546,713.19 1,544,769.6
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                           (721.39)   (401.57)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,331,569.513,964,900.9
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       521,232.18 1,469,587.7
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,852,801.695,434,488.6
>



>                                                        O/C AMOUNT
>                                                        828,641.94 2,422,838.9
>


>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         195,334.32 598,876.29
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              195,334.32 598,876.29
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>
uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  20,720,881.70     100,123.99   1,016,236.29   1,
>116,360.28           0.00           0.00  19,704,645.41
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 173,449,983.30     852,570.27   5,214,159.72   6,
>066,729.99           0.00           0.00 168,235,823.58
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 232,248,865.00   1,166,483.17   6,230,396.01   7,
>396,879.18           0.00           0.00 226,018,468.99

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          848.451466       4.099746      41.611510
> 45.711255     806.839956       5.798440%      5.806250%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          925.066578       4.547041      27.808852
> 32.355893     897.257726       5.898440%      5.906250%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                   May 29, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:             June 25, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  June 25, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                          GROUP 1     PRINCIPA
>L BALANCE   807,052.3023,228.17  722,935.20  780,385.11        0.00 141,791.22
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.3680%   0.0394%     1.2254%     1.3228%     0.0000%    0.2403%
>

>                                                        NUMBER OF LOANS
>                   12         1          11          12           0          3
>

>                                                        PERCENTAGE OF LOANS
>              1.1289%   0.0941%     1.0348%     1.1289%     0.0000%    0.2822%
>

>                                                          GROUP 2     PRINCIPA
>L BALANCE  2,103,078.2,306,319.1,390,385.462,040,436.76       0.00 1,030,499.4
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.2240%   1.3422%     0.8092%     1.1875%     0.0000%    0.5997%
>

>                                                        NUMBER OF LOANS
>                   22        16          18          23           0          9
>

>                                                        PERCENTAGE OF LOANS
>              1.2236%   0.8899%     1.0011%     1.2792%     0.0000%    0.5006%
>

>                                                      Note:  Quantity and Prin
>cipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the Delinq
>


>
>                                                          GROUP 1     GROUP 2
>


>                                                       BOOK VALUE OF LOANS IN
>REO:                                                          0.00       0.00
>


>                                                      NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                  3          7
>

>                                                       PRINCIPAL BALANCE OF LO
>ANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 141,791.22 652,578.70
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.709340% 10.318532%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            212        353
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                  1,079      1,834
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                1,063      1,798
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                 59,822,857.96 176,471,698.58
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               58,993,820.32 171,825,727.59
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      94.316586% 91.595604%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        16         36
>

>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                       79,969.71 208,539.45
>

>                                                                      PREPAYME
>NTS IN FULL                                             749,068.43 3,689,887.4
>

>                                                                      CURTAILM
>ENTS                                                         (0.50)     (1.20)
>

>                                                                      NET LIQU
>IDATIONS                                                       0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00 747,545.27
>



>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                      829,037.64 4,645,970.9
>


>                                                        SERVICER ADVANCES:
>                                                         100,483.46 296,003.21
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           1,785,730.8
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  June 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        533,886.12 1,511,113.9
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                               0.00   6,326.80
>

>                                                         STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    24,926.19  73,529.87
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        24,926.19  73,529.87
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                     (100.44) (1,121.97)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (4,628.14)(14,452.92)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     20,197.61  57,954.98
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           7,349.86  21,681.25
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.11750616 0.11557682
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                      829,037.64 4,645,970.9
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       508,959.93 1,443,910.8
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,337,997.576,089,881.8
>


>                                                        O/C AMOUNT BEGINNING
>                                                       1,023,976.263,021,715.2
>

>                                                        O/C AMOUNT ENDING
>                                                       1,211,174.913,589,904.0
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         187,198.65 568,188.73
>

>                                                       EXCESS SPREAD DISTRIBUT
>ABLE                                                     187,198.65 568,188.73
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>


>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  June 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        533,886.12 1,511,113.9
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                           (100.44) (1,121.97)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                      829,037.64 4,645,970.9
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       508,959.93 1,443,910.8
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,337,997.576,089,881.8
>



>                                                        O/C AMOUNT
>                                                       1,023,976.263,021,715.2
>


>                                                        O/C REDUCTION AMOUNT
>                                                              0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                              0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                      1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                        187,198.65 568,188.73
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              187,198.65 568,188.73
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  19,704,645.41     101,697.86   1,883,811.62   1,
>985,509.48           0.00           0.00  17,820,833.79
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 168,235,823.58     883,238.07   4,234,688.37   5,
>117,926.44           0.00           0.00 164,001,135.21
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 226,018,468.99   1,198,724.84   6,118,499.99   7,
>317,224.83           0.00           0.00 219,899,969.00

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          806.839956       4.164190      77.135846
> 81.300036     729.704111       5.806250%      5.806250%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          897.257726       4.710603      22.585005
> 27.295608     874.672721       5.906250%      5.906250%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                   June 30, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:             July 27, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders

>                                                        Distribution Date:
>  July 27, 1998

>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                          GROUP 1     PRINCIPA
>L BALANCE   605,576.79279,936.75 711,153.64  721,093.01        0.00 222,152.56
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.0585%   0.4893%     1.2430%     1.2604%     0.0000%    0.3883%
>

>                                                        NUMBER OF LOANS
>                   11         6          11          11           0          6
>

>                                                        PERCENTAGE OF LOANS
>              1.0618%   0.5792%     1.0618%     1.0618%     0.0000%    0.5792%
>

>                                                         GROUP 2     PRINCIPAl
> BALANCE   1,764,594.1,300,238.3,322,257.032,577,129.17       0.00 1,057,345.3
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.0493%   0.7732%     1.9755%     1.5324%     0.0000%    0.6287%
>

>                                                        NUMBER OF LOANS
>                   20        15          28          25           0         10
>

>                                                        PERCENTAGE OF LOANS
>              1.1293%   0.8470%     1.5810%     1.4116%     0.0000%    0.5647%
>

>                                                      Note:  Quantity and Prin
>cipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the Delinq
>
>
>                                                          GROUP 1     GROUP 2
>
>                                                        BOOK VALUE OF LOANS IN
>REO:                                                           0.00       0.00
>


>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   4          5
>

>                                                       PRINCIPAL BALANCE OF LO
>ANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 140,724.96 389,497.18
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.693658% 10.348784%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            211        352
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                  1,063      1,798
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                1,036      1,771
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                58,993,820.32   171,825,727.59
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               57,211,333.79 168,172,177.59
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      91.466829% 89.647996%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        27         27
>

>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                      170,642.12 457,034.90
>

>                                                                      PREPAYME
>NTS IN FULL                                            1,339,679.633,196,516.6
>

>                                                                      CURTAILM
>ENTS                                                         (0.70)     (1.86)
>

>                                                                      NET LIQU
>IDATIONS                                                       0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                    272,165.48       0.00
>

>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                     1,782,486.533,653,549.6
>

>                                                        SERVICER ADVANCES:
>                                                          82,377.54 289,148.55
>

>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           2,711,723.4
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders

>                                                        Distribution Date:
>  July 27, 1998

>
>                                                          GROUP 1     GROUP 2
>

>                                                        SCHEDULED INTEREST
>                                                        523,278.29 1,481,822.8
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                           2,438.15       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>

>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    24,580.76  71,594.05
>

>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        24,580.76  71,594.05
>

>                                                         LESS: COMPENSATING IN
>TEREST                                                   (1,427.39) (3,399.40)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (3,785.52)(14,113.24)
>

>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     19,367.85  54,081.41
>

>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>

>                                                        PREMIUM AMOUNT PAID
>                                                           7,222.83  21,029.48
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.11547526 0.11210242
>

>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>

>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>

>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,782,486.533,653,549.6
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       501,135.69 1,410,228.7
>

>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        2,283,622.225,063,778.4
>

>                                                        O/C AMOUNT BEGINNING
>                                                       1,211,174.913,589,904.0
>

>                                                        O/C AMOUNT ENDING
>                                                       1,312,500.004,171,042.7
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         177,934.47 504,529.35
>

>                                                       EXCESS SPREAD DISTRIBUT
>ABLE                                                     177,934.47 504,529.35
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>

>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>

>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>

>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders


>                                                        Distribution Date:
>  July 27, 1998

>
>                                                          GROUP 1     GROUP 2
>

>                                                        SCHEDULED INTEREST
>                                                        523,278.29 1,481,822.8
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>

>                                                        COMPENSATING INTEREST
>                                                         (1,427.39) (3,399.40)
>

>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>

>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>

>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,782,486.533,653,549.6
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       501,135.69 1,410,228.7
>

>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        2,283,622.225,063,778.4
>

>                                                        O/C AMOUNT
>                                                       1,211,174.913,589,904.0
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         177,934.47 504,529.35
>

>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              177,934.47 504,529.35
>

>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>

>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>
uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  17,820,833.79      83,352.62   1,256,639.68   1,
>339,992.30           0.00           0.00  16,564,194.11
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 164,001,135.21     780,286.65   5,318,732.72   6,
>099,019.37           0.00           0.00 158,682,402.49
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 219,899,969.00   1,077,428.18   6,575,372.40   7,
>652,800.58           0.00           0.00 213,324,596.60

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          729.704111       3.413014      51.455232
> 54.868246     678.248878       5.806250%      5.798440%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          874.672721       4.161529      28.366574
> 32.528103     846.306147       5.906250%      5.898440%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                   July 31, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:            August 25, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  August 25, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                          GROUP 1     PRINCIPA
>L BALANCE   703,723.91529,376.75 879,311.37  573,064.30        0.00 736,157.67
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.2577%   0.9461%     1.5715%     1.0242%     0.0000%    1.3156%
>

>                                                        NUMBER OF LOANS
>                   16         9          14          14           0         11
>

>                                                        PERCENTAGE OF LOANS
>              1.5842%   0.8911%     1.3861%     1.3861%     0.0000%    1.0891%
>

>                                                          GROUP 2     PRINCIPA
>L BALANCE  1,889,148.1,150,156.4,403,117.323,723,949.88       0.00 1,643,508.0
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.1546%   0.7030%     2.6912%     2.2761%     0.0000%    1.0045%
>

>                                                        NUMBER OF LOANS
>                   23        11          40          34           0         16
>

>                                                        PERCENTAGE OF LOANS
>              1.3310%   0.6366%     2.3148%     1.9676%     0.0000%    0.9259%
>

>                                                      Note:  Quantity and Prin
>cipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the Delinq
>


>
>                                                          GROUP 1     GROUP 2
>


>                                                        BOOK VALUE OF LOANS IN
>REO:                                                           0.00       0.00
>


>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   5          7
>

>                                                       PRINCIPAL BALANCE OF LO
>ANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 189,010.15 765,948.63
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.671563% 10.356587%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            209        351
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                  1,036      1,771
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                1,010      1,728
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                 57,211,333.79 168,172,177.95
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               55,954,694.11 163,612,928.31
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      89.457772% 87.217585%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        26         43
>



>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                       91,455.43 243,958.21
>

>                                                                      PREPAYME
>NTS IN FULL                                            1,165,184.594,315,292.8
>

>                                                                      CURTAILM
>ENTS                                                         (0.34)     (1.40)
>

>                                                                      NET LIQU
>IDATIONS                                                       0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00       0.00
>



>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                     1,256,639.684,559,249.6
>


>                                                        SERVICER ADVANCES:
>                                                          78,944.72 290,814.00
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           3,809,720.0
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  August 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        508,778.63 1,451,408.1
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    23,838.06  70,071.74
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        23,838.06  70,071.74
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                     (187.54) (2,710.47)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (3,616.18)(14,174.23)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     20,034.34  53,187.04
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           6,987.35  20,500.14
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.11171051 0.10928065
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,256,639.684,559,249.6
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       484,940.58 1,381,336.3
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,741,580.265,940,586.0
>


>                                                        O/C AMOUNT BEGINNING
>                                                       1,312,500.004,171,042.7
>

>                                                        O/C AMOUNT ENDING
>                                                       1,312,500.004,930,525.8
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         180,334.94 579,148.14
>

>                                                       EXCESS SPREAD DISTRIBUT
>ABLE                                                     180,334.94 579,148.14
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>


>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  August 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        508,778.63 1,451,408.1
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                           (187.54) (2,710.47)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,256,639.684,559,249.6
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       484,940.58 1,381,336.3
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,741,580.265,940,586.0
>



>                                                        O/C AMOUNT
>                                                       1,312,500.004,171,042.7
>


>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         180,334.94 579,148.14
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              180,334.94 579,148.14
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  16,564,194.11      82,706.70   1,078,628.95   1,
>161,335.65           0.00           0.00  15,485,565.16
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 158,682,402.49     805,981.60   5,898,864.31   6,
>704,845.91           0.00           0.00 152,783,538.18
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 213,324,596.60   1,102,477.21   6,977,493.26   8,
>079,970.47           0.00           0.00 206,347,103.34

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          678.248878       3.386565      44.166282
> 47.552848     634.082596       5.798440%      5.743750%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          846.306147       4.298569      31.460610
> 35.759178     814.845537       5.898440%      5.843750%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  August 31, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:            September 25, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  September 25, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                           GROUP 1    PRINCIPA
>L BALANCE   338,632.94389,320.551,319,579.15 594,426.22  239,346.27 722,149.02
>

>                                                       PERCENTAGE OF POOL BALA
>NCE            0.6171%   0.7095%     2.4047%     1.0832%    0.4362%    1.3160%
>

>                                                        NUMBER OF LOANS
>                    8         8          20          14           2         10
>

>                                                        PERCENTAGE OF LOANS
>               0.8081%   0.8081%     2.0202%     1.4141%     0.2020%   1.0101%
>

>                                                           GROUP 2    PRINCIPA
>L BALANCE   3,727,808.1,220,355.5,227,280.994,510,677.66
97,593.50 2,083,799.1
>

>                                                       PERCENTAGE OF POOL BALA
>NCE            2.3534%   0.7704%     3.3001%     2.8477%    0.0616%    1.3155%
>

>                                                        NUMBER OF LOANS
>                   39        11          48          41           2         23
>

>                                                        PERCENTAGE OF LOANS
>               2.3256%   0.6559%     2.8623%     2.4448%    0.1193%    1.3715%
>

>                                                       Note:  Quantity and Pri
>ncipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the
Delinq
>


>
>                                                          GROUP 1     GROUP 2
>


>                                                        BOOK VALUE OF LOANS IN
>REO:                                                           0.00       0.00
>


>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   5         11
>

>                                                       PRINCIPAL BALANCE OF LO
>ANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 188,784.95
1,063,062.2
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.661904% 10.350224%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            208        350
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                  1,010      1,728
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                  990      1,677
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                55,954,694.11  163,612,928.31
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS              54,876,065.16 158,399,949.99
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      87.733310% 84.438688%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        20         51
>



>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                       75,238.64   7,119.12
>

>                                                                      PREPAYME
>NTS IN FULL                                            1,003,390.415,205,859.7
>

>                                                                      CURTAILM
>ENTS                                                         (0.10)     (0.52)
>

>                                                                      LIQUIDAT
>IONS                                                           0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00       0.00
>



>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                     1,078,628.955,212,978.3
>


>                                                        SERVICER ADVANCES:
>                                                         105,188.89 343,206.01
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           5,287,566.5
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  September 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        497,152.96 1,411,192.0
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    23,314.46  68,172.05
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        23,314.46  68,172.05
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                     (445.21) (2,822.52)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (4,891.14)(16,884.62)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     17,978.11  48,464.91
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           6,830.27  19,835.30
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.10919919 0.10573657
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,078,628.955,212,978.3
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       473,838.51 1,343,019.9
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,552,467.466,555,998.3
>


>                                                        O/C AMOUNT BEGINNING
>                                                       1,312,500.004,930,525.8
>

>                                                        O/C AMOUNT ENDING
>                                                       1,312,500.005,616,411.8
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         170,046.34 515,839.65
>

>                                                       EXCESS SPREAD DISTRIBUT
>ABLE                                                     170,046.34 515,839.65
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>


>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  September 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        497,152.96 1,411,192.0
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                           (445.21) (2,822.52)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,078,628.955,212,978.3
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       473,838.51 1,343,019.9
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,552,467.466,555,998.3
>



>                                                        O/C AMOUNT
>                                                       1,312,500.004,930,525.8
>


>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         170,046.34 515,839.65
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              170,046.34 515,839.65
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>
uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  15,485,565.16      76,591.71   1,137,612.12   1,
>214,203.83           0.00           0.00  14,347,953.04
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 152,783,538.18     768,824.80   4,115,149.98   4,
>883,974.78           0.00           0.00 148,668,388.20
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 206,347,103.34   1,059,205.42   5,252,762.10   6,
>311,967.52           0.00           0.00 201,094,341.24

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          634.082596       3.136177      46.581448
> 49.717625     587.501148       5.743750%      5.369380%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          814.845537       4.100399      21.947467
> 26.047866     792.898070       5.843750%      5.469380%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  September 30, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:            October 26, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  October 26, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                          GROUP 1     PRINCIPA
>L BALANCE   458,899.8537,254.92 1,640,159.29 716,794.96  239,346.27 854,176.70
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           0.8540%   0.0693%     3.0521%     1.3339%     0.4454%    1.5895%
>

>                                                        NUMBER OF LOANS
>                   10         1          26          16           2         12
>

>                                                        PERCENTAGE OF LOANS
>              1.0309%   0.1031%     2.6804%     1.6495%     0.2062%    1.2371%
>

>                                                          GROUP 2     PRINCIPA
>L BALANCE  3,093,969.1,307,229.6,228,136.995,788,812.05  97,593.50 2,567,831.6
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           1.9966%   0.8436%     4.0191%     3.7356%     0.0630%    1.6571%
>

>                                                        NUMBER OF LOANS
>                   38        13          58          50           2         29
>

>                                                        PERCENTAGE OF LOANS
>              2.3171%   0.7927%     3.5366%     3.0488%     0.1220%    1.7683%
>

>                                                      Note:  Quantity and Prin
>cipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the Delinq
>


>
>                                                          GROUP 1     GROUP 2
>


>                                                        BOOK VALUE OF LOANS IN
>REO:                                                     255,256.46 107,349.68
>


>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   7         14
>

>                                                      PRINCIPAL BALANCE OF LOA
>NS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 320,829.19 1,289,066.8
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.653145% 10.356340%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            208        349
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                    990      1,677
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                  970      1,640
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                 54,876,065.16 158,399,949.99
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               53,738,453.04 154,963,364.20
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      85.914548% 82.606738%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        20         37
>



>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                       75,178.54  77,385.95
>

>                                                                      PREPAYME
>NTS IN FULL                                            1,062,412.213,359,005.0
>

>                                                                      CURTAILM
>ENTS                                                          21.37     194.84
>

>                                                                      LIQUIDAT
>IONS                                                           0.00       0.00
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00       0.00
>



>                                                        TOTAL PRINCIPAL RECEIVE
>D:                                                      1,137,612.123,436,585.7
>


>                                                        SERVICER ADVANCES:
>                                                         106,761.15 335,665.62
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           6,565,861.7
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  October 26, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        487,168.92 1,367,036.3
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        REPURCHASE INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    22,865.03  65,999.98
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        22,865.03  65,999.98
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                     (859.06) (2,086.13)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (4,987.08)(16,479.89)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     17,018.89  47,433.96
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           6,695.45  19,097.94
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.10704375 0.10180590
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,137,612.123,436,585.7
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       464,303.89 1,301,036.4
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,601,916.014,737,622.2
>


>                                                        O/C AMOUNT BEGINNING
>                                                       1,312,500.005,616,411.8
>

>                                                        O/C AMOUNT ENDING
>                                                       1,312,500.006,294,976.0
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         166,770.52 511,793.67
>

>                                                       EXCESS SPREAD DISTRIBUT
>ABLE                                                     166,770.52 511,793.67
>

>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>


>                                                        CURRENT NET LOSSES
>                                                               0.00       0.00
>

>                                                        CUMULATIVE NET LOSSES
>                                                               0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  October 26, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        487,168.92 1,367,036.3
>

>                                                        LIQUIDATION INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                           (859.06) (2,086.13)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,137,612.123,436,585.7
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       464,303.89 1,301,036.4
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,601,916.014,737,622.2
>



>                                                        O/C AMOUNT
>                                                       1,312,500.005,616,411.8
>


>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         166,770.52 511,793.67
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                              166,770.52 511,793.67
>


>                                                       NET LIQUIDATION PROCEED
>S                                                              0.00       0.00
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>
uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company





PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  14,347,953.04      64,199.68   1,375,883.17   1,
>440,082.85           0.00           0.00  12,972,069.87
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 148,668,388.20     677,603.26   6,584,360.75   7,
>261,964.01           0.00           0.00 142,084,027.45
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00

TOTALS         250,000,000.00 201,094,341.24     955,591.85   7,960,243.92   8,
>915,835.77           0.00           0.00 193,134,097.32

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1   743844AW2          587.501148       2.628764      56.337858
> 58.966622     531.163290       5.369380%      5.192340%
          A2   743844AX0        1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3   743844AY8        1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4   743844AZ5          792.898070       3.613884      35.116591
> 38.730475     757.781480       5.469380%      5.292340%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%

SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  October 30, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:            November 25, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1998 Bankers Trust Company

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  November 25, 1998


>                                                        DELINQUENT AND
>                                               LOANS       LOANS       LOANS
>

>                                                        FORECLOSURE LOAN
>             30 TO 59  60 TO 89   90 PLUS       IN           IN         IN

>                                                        INFORMATION
>               DAYS      DAYS       DAYS    FORECLOSURE     REO     BANKRUPTCY
>

>                                                          GROUP 1     PRINCIPA
>L BALANCE   360,998.37162,188.821,486,834.12 754,617.26   62,397.63 840,220.15
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           0.6894%   0.3097%     2.8395%     1.4411%     0.1192%    1.6046%
>

>                                                        NUMBER OF LOANS
>                   10         5          26          17           2         12
>

>                                                        PERCENTAGE OF LOANS
>              1.0549%   0.5274%     2.7426%     1.7932%     0.2110%    1.2658%
>

>                                                          GROUP 2     PRINCIPA
>L BALANCE  3,646,915.1,452,126.6,760,179.675,234,440.64 197,199.87 2,994,488.5
>

>                                                       PERCENTAGE OF POOL BALA
>NCE           2.4464%   0.9741%     4.5349%     3.5114%     0.1323%    2.0088%
>

>                                                        NUMBER OF LOANS
>                   35        19          64          53           3         34
>

>                                                        PERCENTAGE OF LOANS
>              2.2040%   1.1965%     4.0302%     3.3375%     0.1889%    2.1411%
>

>                                                      Note:  Quantity and Prin
>cipal Balance of Foreclosures, Bankruptcies, & REOs are Included in the Delinq
>


>
>                                                          GROUP 1     GROUP 2
>


>                                                       BOOK VALUE OF LOANS IN
>REO:                                                          0.00       0.00
>


>                                                       NUMBER OF LOANS IN BANK
>RUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT                   5         15
>

>                                                      PRINCIPAL BALANCE OF LOA
>NS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE 257,816.79 1,151,957.9
>


>                                                       WEIGHTED AVERAGE MORTGA
>GE INTEREST RATE:                                        10.653218% 10.382006%
>


>                                                       WEIGHTED AVERAGE REMAIN
>ING TERM TO MATURITY                                            207        348
>


>                                                       PRIOR NUMBER OF MORTGAG
>E LOANS INCLUDED IN THE POOL                                    970      1,640
>

>                                                       CURRENT NUMBER OF MORTG
>AGE LOANS INCLUDED IN THE POOL                                  948      1,588
>


>                                                       PRIOR AGGREGATE PRINCIP
>AL BALANCE OF THE MORTGAGE LOANS                 53,738,453.04 154,963,364.20
>


>                                                       CURRENT AGGREGATE PRINC
>IPAL BALANCE OF THE MORTGAGE LOANS               52,362,569.87 149,070,966.44
>

>                                                       POOL FACTOR OF LOAN GRO
>UPS                                                      83.714850% 79.465662%
>


>                                                       NUMBER OF LOANS SUBJECT
> TO PRINCIPAL PREPAYMENTS                                        22         52
>



>                                                                      SCHEDULE
> PRINCIPAL RECEIVED                                      146,943.27  65,190.43
>

>                                                                      PREPAYME
>NTS IN FULL                                            1,038,416.565,293,622.0
>

>                                                                      CURTAILM
>ENTS                                                        (22.93)   (197.92)
>

>                                                                      LIQUIDAT
>IONS                                                     190,546.27 533,783.19
>

>                                                                      INSURANC
>E PRINCIPAL PROCEEDS                                           0.00       0.00
>

>                                                                      REPURCHA
>SED PRINCIPAL AMOUNTS                                          0.00       0.00
>



>                                                       TOTAL PRINCIPAL RECEIVE
>D:                                                     1,375,883.175,892,397.7
>


>                                                        SERVICER ADVANCES:
>                                                       104,738.98 345,394.17
>


>                                                       CUM NET FUNDS CAP CARRY
>OVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES                              0.00
>

>                                                       3 MONTH ROLLING AVERAGE
> OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT           7,554,056.7
>

>
>                          Page 2 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  November 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        475,429.41 1,336,248.4
>

>                                                        LIQUIDATION INTEREST
>                                                           1,643.46   4,443.75
>

>                                                        REPURCHASE INTEREST
>                                                               0.00       0.00
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>


>                                                       ACCRUED SERVICING FEE F
>OR THE CURRENT PERIOD:                                    22,391.02  64,568.07
>


>                                                       TOTAL SERVICING FEES DU
>E MASTER SERVICER:                                        22,391.02  64,568.07
>


>                                                         LESS: COMPENSATING IN
>TEREST                                                     (325.79) (1,688.54)
>

>                                                          LESS: DELINQUENT SER
>VICE FEES:                                               (4,886.75)(16,906.42)
>


>                                                       COLLECTED SERVICING FEE
>S FOR CURRENT PERIOD:                                     17,178.48  45,973.11
>


>                                                       AMOUNTS PAID TO CERTIFI
>CATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i       0.00       0.00
>

>                                                        REIMBURSEMENT AMOUNT
>                                                               0.00       0.00
>


>                                                        PREMIUM AMOUNT PAID
>                                                           6,553.24  18,583.55
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.10477016 0.09906383
>


>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>


>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>


>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,361,376.295,850,529.4
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       454,681.85 1,276,124.1
>


>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,816,058.147,126,653.6
>


>                                                        O/C AMOUNT BEGINNING
>                                                       1,312,500.006,294,976.0
>

>                                                        O/C AMOUNT ENDING
>                                                       1,312,500.006,986,938.9
>

>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>

>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>

>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>

>                                                        EXCESS SPREAD
>                                                         155,185.32 536,777.67
>


>                                                        SPREAD ACCOUNT BALANCE
>BEGINNING                                                     0.00 3,937,500.0
>

>                                                        SPREAD ACCOUNT BALANCE
>ENDING                                                        0.00 3,937,500.0
>

>                                                       NET LIQUIDATION PROCEED
>S                                                        176,039.39 491,914.91
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>

>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>

>                                                        CURRENT NET LOSSES
>                                                          14,506.88  41,868.28
>

>                                                        CUMULATIVE NET LOSSES
>                                                          14,506.88  41,868.28
>

>                                                        CURRENT NONRECOVERABLE
>ADVANCES                                                       0.00       0.00
>

>                                                       CUMULATIVE NONRECOVERAB
>LE ADVANCES                                                    0.00       0.00
>

>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>

>                                                        PROVIDENT BANK

>                                                        HOME EQUITY LOAN TRUST
>

>                                                         SERIES 1997-4


>                                                       Statement  To  Certific
>ateholders



>                                                        Distribution Date:
>  November 25, 1998


>
>                                                          GROUP 1     GROUP 2
>


>                                                        SCHEDULED INTEREST
>                                                        475,429.41 1,336,248.4
>

>                                                        LIQUIDATION INTEREST
>                                                           1,643.46   4,443.75
>

>                                                        STOP ADVANCE INTEREST
>                                                               0.00       0.00
>



>                                                        COMPENSATING INTEREST
>                                                           (325.79) (1,688.54)
>



>                                                       REIMBURSEMENTS TO MASTE
>R SERVICER PURSUANT TO SECT 3.03                               0.00       0.00
>



>                                                        INSURED PAYMENTS
>                                                               0.00       0.00
>

>                                                        PER $1,000 OF ORIGINAL
>AMOUNT                                                   0.00000000 0.00000000
>



>                                                       TOTAL PRINCIPAL COLLECT
>ED                                                     1,361,376.295,850,529.4
>

>                                                       TOTAL INTEREST COLLECTE
>D                                                       454,681.85 1,276,124.1
>



>                                                       TOTAL AVAILABLE FUNDS F
>OR DISTRIBUTION                                        1,816,058.147,126,653.6
>



>                                                        O/C AMOUNT
>                                                       1,312,500.006,294,976.0
>


>                                                        O/C REDUCTION AMOUNT
>                                                               0.00       0.00
>


>                                                        EXCESS O/C AMOUNT
>                                                               0.00       0.00
>


>                                                        SPECIFIED O/C AMOUNT
>                                                       1,312,500.007,687,500.0
>


>                                                        EXCESS SPREAD
>                                                         155,185.32 536,777.67
>


>                                                       DISTRIBUTABLE EXCESS SP
>READ DISTRIBUTED TO CLASS A                                    0.00       0.00
>


>                                                       NET LIQUIDATION PROCEED
>S                                                        176,039.39 491,914.91
>


>                                                       OUTSTANDING CLASS INTER
>EST CARRYOVER SHORTFALL                                        0.00       0.00
>


>                                                       OUTSTANDING CLASS A PRI
>NCIPAL SHORTFALL AMOUNT                                        0.00       0.00
>
>
>                          Page 3 of 3                     (c) COPYRIGHT 1998 B
>
uency Figures.

ankers Trust Company

ankers Trust Company

ankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    24,422,000.00  10,854,512.92      48,749.62   1,618,103.99   1,
>666,853.61           0.00           0.00   9,236,408.93
          A2    16,852,000.00  16,852,000.00      91,562.53           0.00
> 91,562.53           0.00           0.00  16,852,000.00
          A3    21,226,000.00  21,226,000.00     122,226.38           0.00
>122,226.38           0.00           0.00  21,226,000.00
          A4   187,500,000.00 135,595,682.45     619,531.55   5,647,479.06   6,
>267,010.61           0.00           0.00 129,948,203.39
          R              0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00


TOTALS         250,000,000.00 184,528,195.37     882,070.08   7,265,583.05   8,
>147,653.13           0.00           0.00 177,262,612.32

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1      743844AW2       444.456348       1.996135      66.255998
> 68.252134     378.200349       5.774380%      5.089690%
          A2      743844AX0     1,000.000000       5.433333       0.000000
>  5.433333   1,000.000000       6.520000%      6.520000%
          A3      743844AY8     1,000.000000       5.758333       0.000000
>  5.758333   1,000.000000       6.910000%      6.910000%
          A4      743844AZ5       723.176973       3.304168      30.119888
> 33.424057     693.057085       5.874380%      5.189690%
          R                         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%


SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  December 31, 1998
>                          Irvine, CA 92714
DISTRIBUTION DATE:            January 25, 1999
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 3
>                            (c) COPYRIGHT 1999 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders


Distribution Date:            January 25, 1999

DELINQUENT AND
>                LOANS          LOANS          LOANS
FORECLOSURE LOAN                                30 TO 59       60 TO 89
>90 PLUS          IN             IN             IN
INFORMATION                                       DAYS           DAYS
> DAYS        FORECLOSURE        REO        BANKRUPTCY
   GROUP 1     PRINCIPAL BALANCE                 388,793.95      83,620.14   1,
>553,129.50   1,180,377.92      62,397.63     576,961.12
PERCENTAGE OF POOL BALANCE                           0.7995%        0.1720%
>    3.1940%        2.4274%        0.1283%        1.1865%
NUMBER OF LOANS                                           9              2
>        29             19              2             12
PERCENTAGE OF LOANS                                  1.0124%        0.2250%
>    3.2621%        2.1372%        0.2250%        1.3498%
   GROUP 2     PRINCIPAL BALANCE               3,134,911.96     780,845.95   8,
>563,164.53   6,861,646.46     197,199.87   3,766,994.26
PERCENTAGE OF POOL BALANCE                           2.2777%        0.5673%
>    6.2216%        4.9854%        0.1433%        2.7369%
NUMBER OF LOANS                                          33              9
>        92             68              3             42
PERCENTAGE OF LOANS                                  2.2237%        0.6065%
>    6.1995%        4.5822%        0.2022%        2.8302%
Note:  Quantity and Principal Balance of Foreclosures, Bankruptcies, & REOs are
> Included in the Delinquency Figures.


>                              GROUP 1        GROUP 2

BOOK VALUE OF LOANS IN REO:
>                               69,489.05     212,380.59

NUMBER OF LOANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT
>                                       5             16
PRINCIPAL BALANCE OF LOANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE
>NT                            257,334.71   1,695,493.41

WEIGHTED AVERAGE MORTGAGE INTEREST RATE:
>                               10.668099%     10.423911%

WEIGHTED AVERAGE REMAINING TERM TO MATURITY
>                                     206            346

PRIOR NUMBER OF MORTGAGE LOANS INCLUDED IN THE POOL
>                                     917          1,534
CURRENT NUMBER OF MORTGAGE LOANS INCLUDED IN THE POOL
>                                     889          1,484

PRIOR AGGREGATE PRINCIPAL BALANCE OF THE MORTGAGE LOANS
>                           50,245,012.92 143,236,699.42

CURRENT AGGREGATE PRINCIPAL BALANCE OF THE MORTGAGE LOANS
>                           48,626,908.93 137,635,703.39
POOL FACTOR OF LOAN GROUPS
>                               77.742449%     73.369835%

NUMBER OF LOANS SUBJECT TO PRINCIPAL PREPAYMENTS
>                                      28             50


               SCHEDULE PRINCIPAL RECEIVED
>                               70,720.15      63,832.08
               PREPAYMENTS IN FULL
>                            1,547,383.88   5,293,411.76
               CURTAILMENTS
>                                   (0.04)         (0.28)
               LIQUIDATIONS
>                                    0.00     243,752.47
               INSURANCE PRINCIPAL PROCEEDS
>                                    0.00           0.00
               REPURCHASED PRINCIPAL AMOUNTS
>                                    0.00           0.00


TOTAL PRINCIPAL RECEIVED:
>                            1,618,103.99   5,600,996.03

SERVICER ADVANCES:
>                              105,242.04     351,659.39

CUM NET FUNDS CAP CARRYOVER AMOUNT WITH RESPECT TO A-4 CERTIFICATES
>                                                   0.00
3 MONTH ROLLING AVERAGE OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT
>                                           9,026,100.63
                                                                Page 2 of 3
>                            (c) COPYRIGHT 1999 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Statement  To  Certificateholders


Distribution Date:            January 25, 1999


>                              GROUP 1        GROUP 2

SCHEDULED INTEREST
>                              446,682.31   1,241,953.64
LIQUIDATION INTEREST
>                                    0.00       2,285.18
REPURCHASE INTEREST
>                                    0.00           0.00
STOP ADVANCE INTEREST
>                                    0.00           0.00

ACCRUED SERVICING FEE FOR THE CURRENT PERIOD:
>                               20,935.42      59,681.96

TOTAL SERVICING FEES DUE MASTER SERVICER:
>                               20,935.42      59,681.96

  LESS: COMPENSATING INTEREST
>                                 (618.88)     (2,595.03)
  LESS: DELINQUENT SERVICE FEES:
>                               (4,848.47)    (17,192.31)

COLLECTED SERVICING FEES FOR CURRENT PERIOD:
>                               15,468.07      39,894.62

AMOUNTS PAID TO CERTIFICATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i
>i)(4)                               0.00           0.00
REIMBURSEMENT AMOUNT
>                                    0.00           0.00

PREMIUM AMOUNT PAID
>                                6,116.56      16,949.46
PER $1,000 OF ORIGINAL AMOUNT
>                              0.09778873     0.09035294

REIMBURSEMENTS TO MASTER SERVICER PURSUANT TO SECT 3.03
>                                    0.00           0.00

INSURED PAYMENTS
>                                    0.00           0.00
PER $1,000 OF ORIGINAL AMOUNT
>                              0.00000000     0.00000000

TOTAL PRINCIPAL COLLECTED
>                            1,618,103.99   5,582,540.26
TOTAL INTEREST COLLECTED
>                              425,746.90   1,184,556.86

TOTAL AVAILABLE FUNDS FOR DISTRIBUTION
>                            2,043,850.89   6,767,097.12

O/C AMOUNT BEGINNING
>                            1,312,500.00   7,641,016.97
O/C AMOUNT ENDING
>                            1,312,500.00   7,687,500.00
O/C REDUCTION AMOUNT
>                                    0.00           0.00
EXCESS O/C AMOUNT
>                                    0.00           0.00
SPECIFIED O/C AMOUNT
>                            1,312,500.00   7,687,500.00
EXCESS SPREAD
>                              156,673.10     528,426.44

SPREAD ACCOUNT BALANCE BEGINNING
>                                    0.00   3,937,500.00
SPREAD ACCOUNT BALANCE ENDING
>                              156,673.10   4,419,443.41
NET LIQUIDATION PROCEEDS
>                                    0.00     225,296.70

OUTSTANDING CLASS INTEREST CARRYOVER SHORTFALL
>                                    0.00           0.00
OUTSTANDING CLASS A PRINCIPAL SHORTFALL AMOUNT
>                                    0.00           0.00
CURRENT NET LOSSES
>                                    0.00      18,455.77
CUMULATIVE NET LOSSES
>                               32,084.21      73,740.90
CURRENT NONRECOVERABLE ADVANCES
>                                    0.00           0.00
CUMULATIVE NONRECOVERABLE ADVANCES
>                                    0.00           0.00
                                                                Page 3 of 3
>                            (c) COPYRIGHT 1999 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1997-4

Trustee Remittance Report


Distribution Date:            January 25, 1999


>                              GROUP 1        GROUP 2

SCHEDULED INTEREST
>                              446,682.31   1,241,953.64
LIQUIDATION INTEREST
>                                    0.00       2,285.18
STOP ADVANCE INTEREST
>                                    0.00           0.00


COMPENSATING INTEREST
>                                 (618.88)     (2,595.03)


REIMBURSEMENTS TO MASTER SERVICER PURSUANT TO SECT 3.03
>                                    0.00           0.00


INSURED PAYMENTS
>                                    0.00           0.00
PER $1,000 OF ORIGINAL AMOUNT
>                              0.00000000     0.00000000


TOTAL PRINCIPAL COLLECTED
>                            1,618,103.99   5,582,540.26
TOTAL INTEREST COLLECTED
>                              425,746.90   1,184,556.86


TOTAL AVAILABLE FUNDS FOR DISTRIBUTION
>                            2,043,850.89   6,767,097.12


O/C AMOUNT
>                            1,312,500.00   7,641,016.97

O/C REDUCTION AMOUNT
>                                    0.00           0.00

EXCESS O/C AMOUNT
>                                    0.00           0.00

SPECIFIED O/C AMOUNT
>                            1,312,500.00   7,687,500.00

EXCESS SPREAD
>                              156,673.10     528,426.44

DISTRIBUTABLE EXCESS SPREAD DISTRIBUTED TO CLASS A
>                                    0.00           0.00

NET LIQUIDATION PROCEEDS
>                                    0.00     225,296.70

OUTSTANDING CLASS INTEREST CARRYOVER SHORTFALL
>                                    0.00           0.00

OUTSTANDING CLASS A PRINCIPAL SHORTFALL AMOUNT
>                                    0.00           0.00


                                                                Page 3 of 3
>                            (c) COPYRIGHT 1999 Bankers Trust Company




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