MERRILL LYNCH MORTGAGE INVT INC MOR PA THR CR SR 1998-C1-CTL
8-K, 1998-10-26
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                       SECURITIES AND EXCHANGE COMMISSION                       
                            Washington, D. C.  20549                            

                                    FORM 8-K                                    

                                 CURRENT REPORT                                 

                    Pursuant to Section 13 or 15 (d) of the                     
                        Securities Exchange Act of 1934                         

Date of Report :  October 19, 1998

(Date of earliest event reported)

Commission File No.:  333-38073


Merrill Lynch Mortgage Investors, Inc. 
Mortgage Pass-Through Certificates, Series 1998-CT1 Trust
(Exact name of registrant as specified in its charter)

New York (governing law of Pooling and Servicing Agreement)
(State of Incorporation)

52-2095939
52-2095940
52-2095942
(I.R.S. Employer Identification No.)

c/o Norwest Bank Minnesota, N.A.
11000 Broken Land Parkway
Columbia, Maryland                                                 21044
(Address of principal executive offices)                         (Zip Code)


(410) 884-2000
Registrant's Full Telephone Number


(Former name, former address and former fiscal year,
               if changed since last report)
<PAGE>

ITEM 5.  Other Events

On October 19,1998 a distribution  was made to holders of Merrill Lynch Mortgage
Investors, Inc. Mortgage Pass-Through Certificates, Series 1998-CT1 Trust.


ITEM 7.  Financial Statements and Exhibits

(c)  Exhibits

Item 601(a) of
Regulation S-K
Exhibit Number                       Description

(EX-99.1)      Monthly report distributed to holders of Mortgage Pass-Through
               Certificates, Series 1998-CT1 Trust, relating to the October
               19, 1998 distribution


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.

                     Merrill Lynch Mortgage Investors, Inc.
            Mortgage Pass-Through Certificates, Series 1998-CT1 Trust


October 28,1998     by Norwest Bank Minnesota, N.A., as Trustee
                    /s/ Sherri J. Sharps, Vice President


                                 INDEX TO EXHIBITS



Exhibit Number                       Description

(EX-99.1)      Monthly report distributed to holders of Mortgage Pass-Through
               Certificates, Series 1998-CT1 Trust, relating to the October 
               19, 1998 distribution



<TABLE>
<CAPTION>
Merrill Lynch Mortgage Investors, Inc.
Mortgage Pass- Through Certificates
Series 1998- CT1
Payment Date: 10/19/98
Record Date:  09/30/98



Norwest Bank Minnesota, N. A.
Corporate Trust Services
3 New York Plaza, 15th Floor
New York, NY 10004


For Additional Information, please contact
Leslie Gaskill
(212) 515-5254
Reports Available on the World Wide Web
@ www. securitieslink. net/ cmbs

                           DISTRIBUTION DATE STATEMENT


                                Table of Contents

STATEMENT SECTIONS                                                 PAGE( s)
Certificate Distribution Detail                                    2
Certificate Factor Detail                                          3
Reconciliation Detail                                              4
Other Required Information                                         5
Ratings Detail                                                     6-7
Tenant/Guarantor Ratings Stratification Tables                     8
Current Mortgage Loan and Property Stratification Tables           9-11
Mortgage Loan Detail                                               12-15
Principal Prepayment Detail                                        16
Historical Detail                                                  17
Delinquency Loan Detail                                            18   
Specially Serviced Loan Detail                                     19-20
Modified Loan Detail                                               21
Liquidated Loan Detail                                             22


             Underwriter
Merrill Lynch, Pierce, Fenner & Smith Inc.
World Financial Center, North Tower
250 Vesey Street
New York, NY 10281
Contact:  John E. Gluszak
Phone Number:  (212) 449- 1000

            Servicer
GMAC Commercial Mortgage Corporation
650 Dresher Road                 
Horsham, PA 10944-8015
Contact:  Coral I. Horstmeyer
Phone Number:  (215) 328-1790 

          Special Servicer

GMAC Commercial Mortgage Corporation 
650 Dresher Road                     
Horsham, PA 10944-8015               
Contact:  Coral I. Horstmeyer        
Phone Number:  (215) 328-1790        




This report has been  compiled from  information  provided to Norwest by various
third parties, which may include the Servicer, Master Servicer, Special Servicer
and others. Norwest has not independently  confirmed the accuracy of information
received  from  these  third  parties  and  assumes  no duty  to do so.  Norwest
expressly  disclaims  any  responsibility  for the accuracy or  completeness  of
information furnished by third parties.

Copyright 1997, Norwest Bank Minnesota, N. A.


                         Certificate Distribution Detail

                                                                  
Class\                    Pass-Thru      Original           Beginning               Principal     
Component   CUSIP         Rate           Balance            Balance                Distribution
<S>          <C>           <C>           <C>                   <C>                    <C>     

  A-1       589929PS1        6.310000%   132,820,333.40   128,404,436.78          862,272.97
  A-2       589929PT9        6.480000%    82,098,000.00    82,098,000.00                0.00
  A-3       589929PU6        6.720000%   235,868,000.00   235,868,000.00                0.00
 A-PO       589929QU5        0.000000%     1,469,666.60     1,460,014.22            2,379.40
   B        589929PV4        6.750000%    38,765,000.00    38,765,000.00                0.00
   C        589929PW2        6.750000%    32,304,000.00    32,304,000.00                0.00
   D        589929PX0        6.750000%    38,765,000.00    38,765,000.00                0.00
   E        589929PY8        6.750000%     9,691,000.00     9,691,000.00                0.00
   F        589929QP6        6.250000%    58,147,000.00    58,147,000.00                0.00
   G        589929QQ4        6.250000%     3,230,000.00     3,230,000.00                0.00
   H        589929QR2        6.250000%     4,846,000.00     4,846,000.00                0.00
   J        589929QS0        6.250000%     1,615,000.00     1,615,000.00                0.00
   K        589929QT8        6.250000%     6,461,530.05     6,461,530.05                0.00
  R-I          NA            0.000000%             0.00             0.00                0.00
 R-II          NA            0.000000%             0.00             0.00                0.00
 R-III         NA            0.000000%             0.00             0.00                0.00
Totals                                   646,080,530.05   641,654,981.05          864,652.37                          


</TABLE>
<TABLE>
<CAPTION>
          
                                                                     Realized Loss/                      
                                Interest           Prepayment        Additional Trust      Total         
 Class        CUSIP             Distribution       Premium           Fund Expenses         Distribution  
 <C>           <C>                <C>                  <C>              <C>                   <C> 
                                                                               

   A-1       589929PS1              675,193.33           0.00             0.00             1,537,466.30
   A-2       589929PT9              443,329.20           0.00             0.00               443,329.20
   A-3       589929PU6            1,320,860.80           0.00             0.00             1,320,860.80
  A-PO       589929QU5                    0.00           0.00             0.00                 2,379.40
    B        589929PV4              218,053.12           0.00             0.00               218,053.12
    C        589929PW2              181,710.00           0.00             0.00               181,710.00
    D        589929PX0              218,053.12           0.00             0.00               218,053.12
    E        589929PY8               54,511.88           0.00             0.00                54,511.88
    F        589929QP6              302,848.96           0.00             0.00               302,848.96
    G        589929QQ4               16,822.92           0.00             0.00                16,822.92
    H        589929QR2               25,239.58           0.00             0.00                25,239.58
    J        589929QS0                8,411.46           0.00             0.00                 8,411.46
    K        589929QT8               32,802.01           0.00             0.00                32,802.01
   R-I          NA                        0.00           0.00             0.00                     0.00
  R-II          NA                        0.00           0.00             0.00                     0.00
  R-III         NA                        0.00           0.00             0.00                     0.00
 Totals                           3,497,836.38           0.00             0.00             4,362,488.75                    






            
                                                          Current         
                                Ending                  Subordination  
 Class        CUSIP              Balance                   Level (1)      
 <S>          <C>                <C>                        <C>    

  A-1       589929PS1            127,542,163.81           30.25%                                                          
  A-2       589929PT9             82,098,000.00           30.25%                                                            
  A-3       589929PU6            235,868,000.00           30.25%                                                           
 A-PO       589929QU5              1,457,634.82           30.25%                                                          
   B        589929PV4             38,765,000.00           24.20%                                                       
   C        589929PW2             32,304,000.00           19.16%                                                         
   D        589929PX0             38,765,000.00           13.11%                                                              
   E        589929PY8              9,691,000.00           11.59%                                                             
   F        589929QP6             58,147,000.00            2.52%                                                             
   G        589929QQ4              3,230,000.00            2.02%                                                        
   H        589929QR2              4,846,000.00            1.26%                                                          
   J        589929QS0              1,615,000.00            1.01%                                                            
   K        589929QT8              6,461,530.05            0.00%                                                            
  R-I          NA                          0.00            0.00%                                                          
 R-II          NA                          0.00            0.00%                                                        
 R-III         NA                          0.00            0.00%                                                             
Totals                           640,790,328.68                                                                        
                                                                                                                  
                                                                     
                                                                     
                                                                    
                                                                                                            
                                                                                                            
                                         Original            Beginning                                                    
                              Pass-Through        Notional            Notional                                                     
Class     Cusip               Rate                Amount              Amount                                                       
<S>        <C>                <C>                 <C>                  <C>                                                          
                                                                                                                     
 IO        589929PZ5           0.902285%          644,610,863.45        640,194,966.83
                                                                                                                     
                                                                                                           
                                                                   
                                                                     
                              Interest           Prepayment        Total      
Class     Cusip               Distribution       Premium           Distribution
<S>        <C>                <C>                <C>               <C>    
                          
 IO        589929PZ5          481,365.39          0.00              481,365.39


</TABLE>
<TABLE>
<CAPTION>
                        Notional 
Class       Cusip       Amount
<S>         <C>         <C>    
                         
 IO       589929PZ5     639,332,693.86

                                                                                 
<FN>           
(1)  Calculated by taking (A) the sum of the ending  certificate  balance of all
classes less (B) the sum of (i) the ending certificate balance of the designated
class and (ii) the  ending  certificate  balance  of all  classes  which are not
subordinate  to the  designated  class and  dividing  the  result by (A).  
</FN>
</TABLE>
<TABLE>
<CAPTION>

                              Certificate Factor Detail

                                                                             
Class\                              Beginning             Principal                Interest         
Component      CUSIP                Balance               Distribution             Distribution     
<S>            <C>                   <C>                  <C>                     <C>             

  A-1           589929PS1            966.75285698           6.49202534             5.08350877
  A-2           589929PT9          1,000.00000000           0.00000000             5.40000000
  A-3           589929PU6          1,000.00000000           0.00000000             5.60000000
 A-PO           589929QU5            993.43226552           1.61900665             0.00000000
   B            589929PV4          1,000.00000000           0.00000000             5.62499987
   C            589929PW2          1,000.00000000           0.00000000             5.62500000
   D            589929PX0          1,000.00000000           0.00000000             5.62499987
   E            589929PY8          1,000.00000000           0.00000000             5.62500052
   F            589929QP6          1,000.00000000           0.00000000             5.20833336
   G            589929QQ4          1,000.00000000           0.00000000             5.20833437
   H            589929QR2          1,000.00000000           0.00000000             5.20833265
   J            589929QS0          1,000.00000000           0.00000000             5.20833437
   K            589929QT8          1,000.00000000           0.00000000             5.07650816
  R-I              NA                  0.00000000           0.00000000             0.00000000
 R-II              NA                  0.00000000           0.00000000             0.00000000
 R-III             NA                  0.00000000           0.00000000             0.00000000


                                                          Realized Loss/           
Class\                              Prepayment            Additional Trust          Ending  
Component       CUSIP               Premium               Fund Expenses             Balance 
<S>              <C>                   <C>                   <C>                   <C>    

  A-1           589929PS1              0.00000000           0.00000000           960.26083164                                  
  A-2           589929PT9              0.00000000           0.00000000         1,000.00000000                                     
  A-3           589929PU6              0.00000000           0.00000000         1,000.00000000                               
 A-PO           589929QU5              0.00000000           0.00000000           991.81325887                               
   B            589929PV4              0.00000000           0.00000000         1,000.00000000                                
   C            589929PW2              0.00000000           0.00000000         1,000.00000000                            
   D            589929PX0              0.00000000           0.00000000         1,000.00000000                                
   E            589929PY8              0.00000000           0.00000000         1,000.00000000                                 
   F            589929QP6              0.00000000           0.00000000         1,000.00000000                                
   G            589929QQ4              0.00000000           0.00000000         1,000.00000000                              
   H            589929QR2              0.00000000           0.00000000         1,000.00000000                               
   J            589929QS0              0.00000000           0.00000000         1,000.00000000                                  
   K            589929QT8              0.00000000           0.00000000         1,000.00000000                                 
  R-I              NA                  0.00000000           0.00000000             0.00000000                                 
 R-II              NA                  0.00000000           0.00000000             0.00000000                                   
 R-III             NA                  0.00000000           0.00000000             0.00000000                                  
                                                                                                                                
                                                                                                         
</TABLE>                                                                      
<TABLE>                                                                       
<CAPTION>                                                                                                                       
                                                                                                                                
                       Beginning                                            Ending                                          
Class                  Notional            Interest           Prepayment    Notional                                     
          CUSIP        Balance             Distribution       Premium       Amount                                               
<S>       <C>          <C>                 <C>                <C>           <C>                                                   
                                                                                                                                
IO        589929PZ5      993.14951567        0.74675346       0.0000000      991.81185132                                       
                                                                                                                                
                                                                                                                                
</TABLE>                                                                      
<TABLE>                                                                        
<CAPTION>

                                    Reconciliation Detail


                                     Advance Summary

<S>                                                                 <C>       
P & I Advances Outstanding                                      394,287.52
Servicing Advances Outstanding                                        0.00
Reimbursement for Interest on P& I                                    0.00
Advances paid from general collections                               
Reimbursement for Interest on Servicing                               0.00
Advances paid from general collections
</TABLE>
<TABLE>
<CAPTION>


                        Master Servicing Fee Summary

<S>                                                                 <C>      
Current Period Accrued Master Servicing Fees                    21,388.50                 
Less Master Servicing Fees on Delinquent Payments                  928.88 
Less Reductions to Master Servicing Fees                             0.00
Plus Master Servicing Fees for Delinquent Payments Received          0.00
Plus Adjustments for Prior Master Servicing Calculation              0.00
Total Master Servicing Fees Collected                           20,459.62

</TABLE>
<TABLE>
<CAPTION>

                       Certificate Interest Reconciliation


             Accrued            Net Aggregate             Distributable                  Distributable                     
            Certificate         Prepayment                Certificate                    Certificate Interest                    
Class       Interest            Interest Shortfall        Interest                       Adjustment           
<S>         <C>                 <C>                          <C>                            <C>  

 A-1        675,193.33            0.00                    675,193.33                        0.00 
 A-2        443,329.20            0.00                    443,329.20                        0.00 
 A-3      1,320,860.80            0.00                  1,320,860.80                        0.00 
  IO        481,365.39            0.00                    481,365.39                        0.00 
  B         218,053.12            0.00                    218,053.12                        0.00 
  C         181,710.00            0.00                    181,710.00                        0.00 
  D         218,053.12            0.00                    218,053.12                        0.00 
  E          54,511.88            0.00                     54,511.88                        0.00 
  F         302,848.96            0.00                    302,848.96                        0.00 
  G          16,822.92            0.00                     16,822.92                        0.00 
  H          25,239.58            0.00                     25,239.58                        0.00 
  J           8,411.46            0.00                      8,411.46                        0.00 
  K          33,653.80            0.00                     33,653.80                        0.00 
Total     3,980,053.56            0.00                  3,980,053.56                        0.00


</TABLE>
<TABLE>
<CAPTION>
             Additional                           Remaining Unpaid
             Trust Fund     Interest              Distributable
Class        Expenses       Distribution          Certificate Interest
<S>          <C>            <C>                   <C>    

 A-1          0.00         675,193.33             0.00
 A-2          0.00         443,329.20             0.00
 A-3          0.00       1,320,860.80             0.00
  IO          0.00         481,365.39             0.00
  B           0.00         218,053.12             0.00
  C           0.00         181,710.00             0.00
  D           0.00         218,053.12             0.00
  E           0.00          54,511.88             0.00
  F           0.00         302,848.96             0.00
  G           0.00          16,822.92             0.00
  H           0.00          25,239.58             0.00
  J           0.00           8,411.46             0.00
  K         851.79          32,802.01         3,947.79
Total       851.79       3,979,201.77         3,947.79


</TABLE>
<TABLE>
<CAPTION>

              
                                                          
                           Other Required Information


<S>                                                              <C>         

Available Distribution Amount                                 4,843,854.14              
Aggregate Number of Outstanding Loans                               105
Aggregate Unpaid Principal Balance of Loans                 640,788,005.12
Aggregate Stated Principal Balance of Loans                 640,790,328.67
Aggregate Amount of Master Servicing Fee                         20,459.62        
Aggregate Amount of Special Servicing Fee                             0.00
Aggregate Amount of Trustee Fee                                   2,673.57       
Aggregate Trust Fund Expenses                                       851.79
Specially Serviced Loans not Delinquent                                     
Number of Outstanding Loans                                             0
Aggregate Unpaid Principal Balance                                    0.00

</TABLE>
<TABLE>
<CAPTION>

                                     Appraisal Reduction Amount


                             Appraisal                   Date Appraisal
Loan                         Reduction                   Reduction
Number                       Effected                    Effected
<S>                               <C>                   <C>   
None

</TABLE>
<TABLE>
<CAPTION>


                                 Ratings Detail

                   Original Ratings               Current Ratings (1)
Class  CUSIP     DCR   Fitch  Moody's  S & P    DCR   Fitch    Moody's  S&P
<S>    <C>        <C>   <C>    <C>      <C>     <C>    <C>      <C>      <C>  
A-1    589929PS1   NR    X     Aaa       AAA     NR     X       Aaa      AAA
A-2    589929PT9   NR    X     Aaa       AAA     NR     X       Aaa      AAA
A-3    589929PU6   NR    X     Aaa       AAA     NR     X       Aaa      AAA
A-PO   589929QU5   NR    X     Aaa       NR      NR     X       Aaa       NR
 IO    589929PZ5   NR    X     Aaa      AAAr     NR     X       Aaa      AAAr
 B     589929PV4   NR    X     Aa2       AA      NR     X       Aa2       AA
 C     589929PW2   NR    X     A2         A      NR     X       A2        A
 D     589929PX0   NR    X    Baa2       BBB     NR     X      Baa2      BBB
 E     589929PY8   NR    X    Baa3      BBB-     NR     X      Baa3      BBB-
 F     589929QP6   BB    X     NR        NR      BB     X       NR        NR
 G     589929QQ4   BB-   X     NR        NR     BB-     X       NR        NR
 H     589929QR2    B    X     NR        NR      B      X       NR        NR
 J     589929QS0   B-    X     NR        NR      B-     X       NR        NR
 K     589929QT8   NR    X     NR        NR      NR     X       NR        NR




<FN>
NR - Designates  that the class was not rated by the above  agency at the 
time of  original  issuance.  
X- Designates  that the above rating  agency  did not  rate any  classes  
in this  transaction  at the time of original issuance.  
N/A- Data not available this period. 

1) For any class not rated at the time of original issuance by any particular 
rating agency, no request has been made subsequent to issuance to obtain rating
information, if any, from such rating agency.  The current  ratings were 
obtained  directly from the applicable rating agency  within 30 days of the 
payment date listed above.  The ratings may have changed since they were 
obtained. Because the ratings may have changed, you may want to obtain 
current ratings directly from the rating agencies.



Duff & Phelps Credit Rating Co.
55 East Monroe Street  
Chicago,  Illinois  60603
(312) 368- 3100 

Fitch IBCA, Inc.
 One State Street Plaza 
New York, New York 10004
(212) 908- 0500 

Moody's  Investors  Service
99 Church Street 
New York,  New York  10007 
(212) 553- 0300  

Standard & Poor's  Rating  Services 
26 Broadway 
New York, New York 10004 
(212) 208- 8000
</FN>
</TABLE>
<TABLE>
<CAPTION>



                    TENANT/GUARANTOR RATINGS DETAIL

                                                Ending                    Original Ratings
                                                Scheduled           
Tenant/Guarantor                                Balance          Moody's (1)  S&P  (2)
<S>                                               <C>             <C>         <C>   


Rite Aid Corporation                          117,114,457.28      Baa1        BBB+
Allegheny General Hospital                    102,334,932.81       A3          A
Circuit City Stores                            68,387,017.87       -3          -3
Nine West Group, Inc.                          45,340,267.91       Ba2         BB
Fred Meyer, Inc.                               44,568,468.32       Ba2        BB+
Q Clubs Inc.                                   43,245,994.51       -3          -3
Northwestern Human Services, Inc.              33,806,584.87       -3         BBB
Heilig-Meyers Company                          32,323,316.86     Ba1 (4)      BB+
Baptist Hospital, Inc.                         23,168,980.43       Aa3        AA-
Kmart Corp.                                    22,520,225.92       Ba2         BB
Home Depot U.S.A., Inc.                        21,005,949.12       -3          -3
Federal Insurance Company                      17,607,155.76       Aaa        AAA
County of Monroe                               15,851,828.93       Aa2         AA
Health Insurance Plan of Greater New York      15,250,031.55       -3         BB-
The Golub Corporation (Price Chopper)          11,556,251.77       -3          -3
Allegheny Hospitals, Centennial                9,185,913.22        -3          BB
Giant Foods, Inc.                              4,679,474.51        -3          -3
Office Depot, Inc.                             4,476,000.35       Baa2        BB+
The Times Mirror Company                       3,518,439.85        A2          A+
Time Warner Entertainment, L.P.                2,998,177.94       Baa3        BBB-
Eckerd Corp.                                   1,850,858.89        -3          A

</TABLE>
<TABLE>
<CAPTION>

                                                                Current Ratings
                                                   Moody's (1)                             S&P  (2)
Tenant/Guarantor                                   Ratings     (5)                         Ratings    (6)
<S>                                                 <C>                                     <C>

                                                  
Rite Aid Corporation                                  Baa1                                  BBB+
Allegheny General Hospital                            B1         X                           B          X
Circuit City Stores                                  (3)                                    (3)         
Nine West Group, Inc.                                 Ba2                                    BB         X 
Fred Meyer, Inc.                                      Ba2                                    BB+
Q Clubs Inc.                                         (3)                                    (3) 
Northwestern Human Services, Inc.                    (3)                                    BBB 
Heilig-Meyers Company                               Ba1 (4)                                 BB+ 
Baptist Hospital, Inc.                               Aa3                                    AA-         
Kmart Corp.                                          Ba2                                     BB         
Home Depot U.S.A., Inc.                              (3)                                    (3)
Federal Insurance Company                            Aaa                                    AAA
County of Monroe                                     Aa2                                     AA
Health Insurance Plan of Greater New York            (3)                                     BB-
The Golub Corporation (Price Chopper)                (3)                                    (3)
Allegheny Hospitals, Centennial                      (3)                                    CCC
Giant Foods, Inc.                                    (3)                                    (3) 
Office Depot, Inc.                                   Baa2                                   BB+         X
The Times Mirror Company                              A2                                     A+   
Time Warner Entertainment, L.P.                      Baa2                                   BBB-   
Eckerd Corp.                                         (3)                                      A         X
                              
<FN>
1) Long Term Debt Rating
2) Corporate Credit Rating
3) No public rating abailable
4) Such rating reflects the rating assigned to MacSaver Financial Services, Inc.
   a subsidiary of Heilig-Meyers company, for which Heilig-Meyers company has
   Guaranteed its long term debt.
5) "X" indicates tenant/guarantor is on Review
6) "X" indicates tenant/guarantor is on Credit Watch   


Moody's Investors Service 
99 Church Street  
New York, New York 10007                    
(212)553-0300                               
                                            
Standard & Poor's Rating Services           
26 Broadway                                 
New York, New York 10004                    
(212)208-8000                               
                                            
                                            
</FN>                                       
</TABLE>                                    
<TABLE>                                     
<CAPTION>                                   


                         Tenant/Guarantor Ratings Stratification Tables             
                                                                            
                                      Moody's Ratings                       
                                                                            
                                                % of                                
                            # of       Scheduled               Agg.           WAM                  
Rating                      Loans      Balance                 Bal.           (1)         WAC      
<S>                          <C>       <C>                    <C>             <C>         <C>      

Aaa                            1         17,607,155.76          2.75           165        6.9000
Aa2                            1         15,851,828.93          2.47           239        6.6400
Aa3                            2         23,168,980.43          3.62           265        6.9794
A1                             0                  0.00          0.00             0        0.0000
A2                             1          3,518,439.85          0.55           151        6.6300
A3                             0                  0.00          0.00             0        0.0000
Baa1                          42        117,114,457.28         18.28           252        6.7992
Baa2                           2          7,474,178.29          1.17           202        8.2331
Baa3                           0                  0.00          0.00             0        0.0000
Investment Grade Subtotal     49        184,735,040.54         28.83           240        6.8725
Ba1                           20         32,323,316.86          5.04           250        7.4800
Ba2                            8        112,428,962.15         17.55           243        8.2430
Ba3                            0                  0.00          0.00             0        0.0000
B1                             2        102,334,932.81         15.97           237        6.9381
B2                             0                  0.00          0.00             0        0.0000
B3                             0                  0.00          0.00             0        0.0000
Caa1                           0                  0.00          0.00             0        0.0000
Caa2                           0                  0.00          0.00             0        0.0000
Caa3                           0                  0.00          0.00             0        0.0000
Non-investment Grade Subtotal 30        247,087,211.82         38.56           242        7.6028  
No Public Rating              26        208,968,076.31         32.61           228        7.8972   
No Available Ratings Subtotal 26        208,968,076.31         32.61           228        7.8972 
Totals                       105        640,790,328.67        100.00           237        7.4883 

</TABLE>                                                                     
<TABLE>                                                                      
<CAPTION>                                                                    
                                                                             
                           Standard & Poors Ratings                          
                                                                             
                                                                  % of                            
                             # of            Scheduled             Agg.             WAM              
Ratings                      Loans            Balance              Bal.             (1)         WAC   
<S>                           <C>              <C>                 <C>              <C>         <C>  

AAA                             1               17,607,155.76        2.75           165        6.9000
AA                              1               15,851,828.93        2.47           239        6.6400
AA-                             2               23,168,980.43        3.62           265        6.9794
A+                              1                3,518,439.85        0.55           151        6.6300
A                               1                1,850,858.89        0.29           213        7.1900
A-                              0                        0.00        0.00             0        0.0000
BBB+                           42              117,114,457.28       18.28           252        6.7992
BBB                             3               33,806,584.87        5.28           115        7.3193
BBB-                            1                2,998,177.94        0.47           173        7.3600     
Investment Grade Subtotal      52              215,916,483.95       33.70           221        6.9049 
BB+                            24               81,367,785.53       12.70           254        7.6807
BB                              5               67,860,493.83       10.59           232        8.5917
BB-                             1               15,250,031.55        2.38           292        8.3500
B+                              0                        0.00        0.00             0        0.0000
B                               2              102,334,932.81       15.97           237        6.9381
B-                              0                        0.00        0.00             0        0.0000
CCC+                            0                        0.00        0.00             0        0.0000
CCC                             1                9,185,913.22        1.43           228        7.8700
CCC-                            0                        0.00        0.00             0        0.0000
Non-Investment Grade Subtotal  33              275,999,156.94       43.07           244        7.6726 
No Public rating               20              148,874,687.78       23.23           247        7.9926 
No Available ratings Subtotal  20              148,874,687.78       23.23           247        7.9926      
Totals                        105              640,790,328.67      100.00           237        7.4883         

<FN>                                                                            
(1) Anticipated  Remainging Term and WAM are each calculated based upon the term
    from the current month to the earlier of the Anticipated  Repayment Date, if
    applicable, and the maturity date.                                          
</FN>                                                                           
</TABLE>                                                                        
<TABLE>                                                                         
<CAPTION>                                                                       

            Current Mortgage Loan and Property Stratification Tables            
                                                                                
                         Scheduled Balance                                                                                
                                                                 % of                          
    Scheduled                      # of       Scheduled           Agg       WAM                    Weighted 
     Balance                       Loans      Balance             Bal.      (2)         WAC       Avg DCSR (1)
      <S>                           <C>       <C>                  <C>      <C>        <C>          <C> 

       Below 1,000,000                2         1,735,942.54      0.27      250        7.4800       NAP
   1,000,001 to 2,000,000            26        42,127,324.78      6.57      246        7.3082       NAP
   2,000,001 to 3,000,000            21        52,516,868.70      8.20      248        6.8553       NAP
   3,000,001 to 4,000,000            14        47,084,739.63      7.35      235        6.9538       NAP
   4,000,001 to 5,000,000             8        36,063,593.52      5.63      254        7.3688       NAP
   5,000,001 to 6,000,000             6        33,318,353.25      5.20      259        8.0155       NAP
   6,000,001 to 7,000,000             6        39,048,445.48      6.09      258        8.1300       NAP
   7,000,001 to 8,000,000             3        21,922,875.91      3.42      229        8.0474       NAP
   8,000,001 to 9,000,000             3        24,705,030.06      3.86      244        8.3892       NAP
   9,000,001 to 10,000,000            2        18,633,507.91      2.91      237        7.7534       NAP
  10,000,001 to 15,000,000            4        52,758,694.08      8.23      222        7.5363       NAP
  15,000,001 to 20,000,000            6       102,193,802.97     15.95      223        7.3372       NAP
  20,000,001 to 25,000,000            1        21,005,949.12      3.28      228        6.9600       NAP
  25,000,001 to 30,000,000            0                 0.00      0.00        0        0.0000      0.000000
  30,000,001 to 40,000,000            1        35,164,844.72      5.49      216        7.0300       NAP
  40,000,001 to 50,000,000            1        45,340,267.91      7.08      221        9.0000       NAP
  50,000,001 to 60,000,000            0                 0.00      0.00        0        0.0000      0.000000
   60,000,001 and greater             1        67,170,088.09     10.48      248        6.8900       NAP
       Totals                       105       640,790,328.67    100.00      237        7.4883      0.000000      

</TABLE>
<TABLE>
<CAPTION>

                                    State (3)

                                                          % of                                 
                           # of        Scheduled          Agg     WAM                 Weighted    
State                      Props.      Balance            Bal.   (2)       WAC       Avg DCSR (1)
 <S>                        <C>        <C>                <C>    <C>       <C>         <C>      

    California              11        39,407,532.81      6.15    241         7.2298       NAP
     Colorado                1         6,822,919.70      1.06    252         8.6100       NAP
    Connecticut              1         2,853,963.78      0.45    254         6.7390       NAP
      Florida                6        40,366,573.10      6.30    237         8.0571       NAP
       Idaho                 3         7,180,041.14      1.12    252         7.0737       NAP
     Illinois                4        29,182,645.41      4.55    235         7.2978       NAP
       Iowa                  4         7,819,929.60      1.22    250         7.4800       NAP
      Kansas                 1         5,677,814.29      0.89    252         8.6100       NAP
     Kentucky                2         4,310,469.77      0.67    254         6.7390       NAP
     Louisiana               1           791,123.57      0.12    250         7.4800       NAP
       Maine                 1         1,799,906.68      0.28    218         7.6200       NAP
     Michigan                5        24,887,157.57      3.88    252         7.5550       NAP
      Montana                1           944,818.97      0.15    250         7.4800       NAP
      Nevada                 1         4,920,626.31      0.77    254         6.7390       NAP
   New Hampshire             2         4,330,151.10      0.68    254         6.7390       NAP
    New Jersey               5        23,088,875.58      3.60    178         6.9008       NAP
     New York               10        96,560,976.59     15.07    243         8.1036       NAP
       Ohio                  7        22,421,548.69      3.50    245         7.3942       NAP
      Oregon                 7        33,006,423.21      5.15    257         7.4280       NAP
   Pennsylvania             44       161,322,184.98     25.18    213         7.1139       NAP
  South Carolina             1         3,305,493.46      0.52    245         7.6400       NAP
     Tennessee               3        25,078,183.86      3.91    265         6.9611       NAP
       Texas                 4        26,721,141.36      4.17    243         8.7600       NAP
       Utah                  1         3,346,026.70      0.52    254         6.7390       NAP
      Vermont                3         9,554,438.41      1.49    275         7.5047       NAP
     Virginia                4        12,454,064.59      1.94    265         7.0700       NAP
    Washington               8        41,405,140.86      6.46    258         7.4419       NAP
   West Virginia             1         1,230,156.58      0.19    254         6.7390       NAP
      Totals               142       640,790,328.67    100.00    237         7.4883   0.000000    

</TABLE>
<TABLE>
<CAPTION>

            

                                       Note Rate 

                                                     % of
 Note                  # of        Scheduled          Agg      WAM               Weighted  
 Rate                 Loans        Balance            Bal.     (2)      WAC      Avg DCSR (1)
 <S>                   <C>         <C>                <C>      <C>      <C>      <C>   

  6.999% or Less        43       236,323,201.12      36.88      241      6.8029    NAP
  7.000% to 7.499%      29       129,125,269.12      20.15      205      7.2343    NAP
  7.500% to 7.999%      21       149,566,706.71      23.34      254      7.7059    NAP
  8.000% to 8.499%       1        15,250,031.55       2.38      292      8.3500    NAP
  8.500% to 8.999%      10        65,184,852.26      10.17      244      8.7238    NAP
  9.000% to 9.499%       1        45,340,267.91       7.08      221      9.0000    NAP
  9.500% to 9.999%       0                 0.00       0.00        0      0.0000    0.000000
 10.000% or greater      0                 0.00       0.00        0      0.0000    0.000000
       Totals          105       640,790,328.67     100.00      237      7.4883    0.000000

</TABLE>
<TABLE>
<CAPTION>

                                    Seasoning
                                                    % of                             
                   # of          Scheduled          Agg       WAM                 Weighted 
Seasoning          Loans         Balance            Bal.      (2)      WAC        Avg DCSR (1
 <S>                <C>           <C>                <C>       <C>      <C>        <C> 

 12 months or less   60       355,426,042.03       55.47       238       7.2424     NAP
  13 to 24 months    45       285,364,286.64       44.53       235       7.7946     NAP
  25 to 36 months     0                 0.00        0.00         0       0.0000     0.000000
  37 to 48 months     0                 0.00        0.00         0       0.0000     0.000000
  49 and greater      0                 0.00        0.00         0       0.0000     0.000000
      Totals        105       640,790,328.67      100.00       237       7.4883     0.000000



</TABLE>
<TABLE>
<CAPTION>


                                    Property Type (3)
                                                  % of                                  
 Property           # of         Scheduled         Agg      WAM                 Weighted    
  Type              Props.       Balance           Bal.     (2)      WAC        Avg DCSR (1)
  <S>               <C>          <C>               <C>      <C>      <C>        <C>      

  Office             11       235,255,728.40      36.71      233       7.4453    NAP
  Other              40        33,806,584.87       5.28      115       7.3193    NAP
  Retail             91       371,728,015.40      58.01      251       7.5308    NAP
  Totals            142       640,790,328.67     100.00      237       7.4883    0.000000  


</TABLE>
<TABLE>
<CAPTION>


                 Anticipated Remaining Term (ARD and Balloon Loans)
                                                         % of                            
Anticipated Remaining       # of      Scheduled          Agg     WAM                Weighted    
     Term (2)               Loans     Balance            Bal     (2)     WAC        Avg DCSR (1)
     <S>                    <C>       <C>                <C>     <C>     <C>         <C>     

  72 months or less          0                 0.00      0.00     0       0.0000       0.000000
   73 to 84 months           0                 0.00      0.00     0       0.0000       0.000000
   85 to 96 months           0                 0.00      0.00     0       0.0000       0.000000
  97 to 108 months           2        19,671,030.52      3.07   106       7.4482       NAP
  109 to 120 months          0                 0.00      0.00     0       0.0000       0.000000
  121 to 180 months          1        14,135,554.35      2.21   128       7.1400       NAP
  181 to 204 months          0                 0.00      0.00     0       0.0000       0.000000
205 months or greater       38       128,767,679.34     20.10   250       6.7751       NAP
        Totals              41       162,574,264.21     25.37   222       6.8882       0.000000  

</TABLE>
<TABLE>
<CAPTION>


                 Remaining Stated Term (Fully Amortizing Loans)

                                                          % of
   Remaining                 # of         Scheduled        Agg     WAM                  Weighted
   Stated Term               Loans        Balance          Bal.    (2)        WAC       Avg DCSR (1)
   <S>                       <C>          <C>               <C>     <C>        <C>       <C>       

  108 months or less          0                 0.00        0.00     0        0.0000       0.000000
   109 to 120 months          0                 0.00        0.00     0        0.0000       0.000000
   121 to 228 months         11       130,893,783.90       20.43   208        7.8633       NAP
   229 to 240 months          2        18,521,676.35        2.89   238        6.7885       NAP
   241 to 258 months         40       217,866,234.49       34.00   247        7.6646       NAP
   259 to 280 months          7        79,619,347.22       12.43   265        7.5479       NAP
   281 to 292 months          3        25,970,616.59        4.05   290        8.1254       NAP
 293 months or greater        1         5,344,405.91        0.83   293        7.8100       NAP
        Totals               64       478,216,064.46       74.63   242        7.6923       0.000000


</TABLE>
<TABLE>
<CAPTION>

              Remaining Amortization Term (ARD and Balloon Loans)
                                                       % of                             
 Remaining                  # of          Scheduled     Agg     WAM               Weighted    
 Amortization Term         Loans          Balance      Bal.    (2)     WAC       Avg DCSR (1)
 <S>                         <C>             <C>         <C>    <C>     <C>         <C>     

 180 months or less            0              0.00      0.00     0      0.0000       0.000000
  181 to 192 months            0              0.00      0.00     0      0.0000       0.000000
  193 to 204 months            0              0.00      0.00     0      0.0000       0.000000
  205 to 228 months            0              0.00      0.00     0      0.0000       0.000000
  229 to 240 months            2     19,671,030.52      3.07   106      7.4482       NAP
  241 to 252 months            1     14,135,554.35      2.21   128      7.1400       NAP
  253 to 288 months            0              0.00      0.00     0      0.0000       0.000000
289 months or greater         38    128,767,679.34     20.10   250      6.7751       NAP
        Totals                41    162,574,264.21     25.37   222      6.8882       0.000000  

<FN>

(1) Debt Service Coverage Ratios are calculated as described in the prospectus,
values are updated periodically as new NOI figures become available from 
borrowers on an asset level. The Trustee makes no representations as to the 
accuracy of the data provided by the borrower for this calculation. "NAP" means
not applicable and relates to the ommission of credit lease loans in the 
calculation of DSCR.
(2) Anticipated Remaining Term and WAM are each calculated based upon the term 
from the current month to the earlier of the Anticipated Repayment Date, if 
applicable, and the maturity date.
(3) Data in this table was calculated by allocating pro- rata the current loan 
information to the properties based upon the Cut- off Date balance of each 
property as disclosed in the offering document.
</FN>

</TABLE>
<TABLE>
<CAPTION>




                              Mortgage Loan Detail
  
 Loan                                                             Interest           Principal      Gross  
 Number        ODCR   Type   City               State             Payment            Payment        Coupon  
 <S>           <C>    <C>    <C>                <C>                <C>                <C>            <C>     

  987004863     1      OF    Wayne               PA                 60,294.88          7,715.36      7.87%                       
  987004864     2      OF    Pittsburgh          PA                206,356.22         59,546.20      7.03%
  987004865     3      OF    Pittsburgh          PA                385,668.26              0.00      6.89%
  987004866     4      OF    Nashville           TN                116,275.18         30,549.43      7.05%
  987004867     5      OF    Nashville           TN                 18,692.20          6,091.95      6.57%
  987004868     6      RT    Denver              CO                 49,023.38          9,606.62      8.61%
  987004869     7      RT    Orlando             FL                 76,417.37         20,298.38      7.64%
  987004870     8      RT    West Palm Beach     FL                 44,707.55         11,875.45      7.64%
  987004871     9      RT    Crystal Lake        IL                 35,653.36          6,986.64      8.61%
  987004872     10     RT    Wichita             KS                 40,795.68          7,994.32      8.61%
  987004873     11     RT    Westland            MI                 52,168.68         13,857.32      7.64%
  987004874     12     RT    Kentwood            MI                 35,692.04          9,480.71      7.64%
  987004875     13     RT    Boardman            OH                 34,448.52          9,150.40      7.64%
  987004876     14     RT    Wilkins Township    PA                 60,251.58         16,004.34      7.64%
  987004877     15     RT    Anderson            SC                 21,080.63          5,599.54      7.64% 
  987004878     16     RT    Neptune Beach       FL                 11,112.04          3,724.36      7.19%
  987004879     17     OF    Florham Park        NJ                101,496.61         44,428.96      6.90%
  987004880     18     RT    Portland            OR                115,654.82         26,417.68      7.73%
  987004881     19     RT    Vancouver           WA                 86,037.71         19,810.46      7.70%
  987004882     20     RT    Bonney Lake         WA                 85,159.78         19,608.30      7.70%
  987004883     21     RT    Fairfax             VA                 29,751.90          5,863.52      7.62%
  987004884     24     OF    Forest Hills        NY                106,175.10          8,665.76      8.35%
  987004885     25     RT    Antioch             CA                 14,836.36          3,948.53      7.48%
  987004886     26     RT    Vallejo             CA                  7,589.72          2,019.91      7.48%
  987004887     27     RT    Redding             CA                  7,976.83          2,122.94      7.48%
  987004888     28     RT    Burlington          IA                 19,605.80          5,217.85      7.48%
  987004889     29     RT    Cedar Rapids        IA                 10,292.52          2,739.23      7.48%
  987004890     30     RT    Dubuque             IA                  9,253.55          2,462.73      7.48%
  987004891     31     RT    Waterloo            IA                  9,673.36          2,574.45      7.48%
  987004892     32     RT    Twin Falls          ID                  7,831.10          2,084.16      7.48%
  987004893     33     RT    Boise               ID                 12,420.55          3,305.59      7.48%
  987004894     34     RT    Moline              IL                  9,971.68          2,653.85      7.48%
  987004895     35     RT    Quincy              IL                 10,099.12          2,687.76      7.48%
  987004896     36     RT    Baton Rouge         LA                  4,939.53          1,314.60      7.48%
  987004897     37     RT    Billings            MT                  5,899.16          1,569.99      7.48%
  987004898     38     RT    Tigard              OR                 10,444.25          2,779.61      7.48%
  987004899     39     RT    Eugene              OR                 10,444.25          2,779.61      7.48%
  987004900     40     RT    Hillsboro           OR                 10,444.25          2,779.61      7.48%
  987004901     41     RT    Salem               OR                 10,584.90          2,817.05      7.48%
  987004902     42     RT    Vancouver           WA                 10,101.67          2,688.44      7.48%
  987004903     43     RT    North Spokane       WA                 11,817.52          3,145.10      7.48%
  987004904     44     RT    Yakima              WA                  7,590.70          2,020.17      7.48%
  987004905     45     RT    Bedford Park        IL                121,971.81         23,673.84      6.96%
  987004906     48     RT    Taft                CA                 34,822.70          6,072.44      7.81%
  987004907     49     RT    Ukiah               CA                 47,668.53         18,173.50      7.71%
  987004908     50     RT    Riverside           CA                 19,657.07          3,857.36      7.80%
  987004909     51     RT    Sterling Heights    MI                 43,906.46          9,052.27      7.79%
  987004910     52     OF    Laguna Hills        CA                 19,487.21          8,657.81      6.63%
  987004911     53     OF    Rochester           NY                 87,891.54         32,185.02      6.64%
  987004912     54     OF    White Plains        NY                340,652.75         80,098.24      9.00%
  987004913     55     OT    Various             PA                 23,940.65          7,294.13      7.40%
  987004914     56     OT    Various             PA                 98,390.75         30,872.98      7.46%
  987004915     57     OT    Northumberland      PA                 84,106.55              0.00      7.14%
  987004916     58     RT    Brooklyn            OH                 32,904.47          1,813.55      8.82%
  987004917     59     RT    Wallkill            NY                 34,823.06          4,297.86      7.57%
  987004918     60     RT    St. Albans          VT                 40,048.25          3,908.00      7.95%
  987004919     61     RT    Coral Springs       FL                 61,342.32         12,522.19      8.76%
  987004920     62     RT    Plantation          FL                 59,469.14         12,139.81      8.76%
  987004921     64     RT    Mesquite            TX                 47,379.61          9,671.90      8.76%
  987004922     65     RT    Richardson          TX                 50,782.25         10,366.50      8.76%
  987004923     66     RT    Plano               TX                 54,916.29         11,210.41      8.76%
  987004924     67     RT    Willow Brook        TX                 42,277.29          8,630.33      8.76%
  987004925     68     RT    Brentwood           CA                 26,011.03          6,341.03      6.74%
  987004926     69     RT    Elk Grove           CA                 22,690.47          5,531.54      6.74%
  987004927     70     RT    Newman              CA                 18,263.06          4,452.22      6.74%
  987004928     74     RT    Truckee             CA                 18,816.49          4,587.13      6.74%
  987004929     75     RT    Watertown           CT                 16,049.36          3,912.55      6.74%
  987004930     76     RT    Caldwell            ID                 22,137.05          5,396.62      6.74%
  987004931     77     RT    Carrolton           KY                 12,728.80          3,103.06      6.74%
  987004932     78     RT    Salyersville        KY                 11,511.26          2,806.25      6.74%
  987004933     79     RT    Madison Hgts.       MI                 15,772.64          3,845.10      6.74%
  987004934     80     RT    Merrimack           NH                 11,345.23          2,765.77      6.74%
  987004935     81     RT    Milford             NH                 13,005.51          3,170.52      6.74%
  987004936     82     RT    Carteret            NJ                 23,797.32          5,801.37      6.74%
  987004937     83     RT    Las Vegas           NV                 27,671.30          6,745.78      6.74%
  987004938     84     RT    Brentwood           NY                 19,923.34          4,856.96      6.74%
  987004939     85     RT    Brooklyn            NY                 17,156.21          4,182.38      6.74%
  987004940     86     RT    Catskill            NY                 13,558.94          3,305.43      6.74%
  987004941     87     RT    Champlain           NY                 10,515.09          2,563.40      6.74%
  987004942     88     RT    Ravena              NY                 11,621.95          2,833.23      6.74%
  987004943     89     RT    Cleveland           OH                 14,527.44          3,541.53      6.74%
  987004944     90     RT    Dayton              OH                 15,219.22          3,710.18      6.74%
  987004945     91     RT    N. Ridgeville       OH                 14,527.44          3,541.53      6.74%
  987004946     92     RT    Woodmere            OH                 16,879.49          4,114.93      6.74%
  987004947     93     RT    Lake Oswego         OR                 13,282.23          3,237.97      6.74%
  987004948     94     RT    Salem               OR                 33,758.99          8,229.85      6.74%
  987004949     95     RT    Bethel Park         PA                 14,638.12          3,568.52      6.74%
  987004950     96     RT    Philadelphia        PA                 14,195.38          3,460.58      6.74%
  987004951     97     RT    Elizbethton         TN                 10,736.47          2,617.36      6.74%
  987004952     98     RT    West Valley         UT                 18,816.49          4,587.13      6.74%
  987004953     99     RT    Roanoke             VA                 14,389.07          3,507.81      6.74%
  987004954    100     RT    Staunton            VA                 13,282.23          3,237.97      6.74%
  987004955    101     RT    Virginia Beach      VA                 16,049.36          3,912.55      6.74%
  987004956    102     RT    Essex Junction      VT                 10,625.78          2,590.38      6.74%
  987004957    103     RT    Middlebury          VT                  9,131.53          2,226.11      6.74%
  987004958    104     RT    Ellensburg          WA                 18,816.49          4,587.13      6.74%
  987004959    105     RT    Pullman             WA                 14,389.07          3,507.81      6.74%
  987004960    106     RT    Yakima              WA                 23,243.89          5,666.46      6.74%
  987004961    107     RT    Belle               WV                  6,917.83          1,686.44      6.74%
  987004962    108     RT    Vermilion           OH                  9,824.79          2,954.67      7.05%
  987004963    109     RT    Traverse City       MI                  9,396.55          3,483.53      7.25%
  987004964    110     RT    Old Orchard Beach   ME                 11,453.65          3,818.10      7.62%
  987004965    111     RT    Landsdale           PA                 17,082.17          2,721.38      7.67%
  987004966    112     RT    Schenectady         NY                 10,740.50          2,735.96      7.74%
  987004967    113     OF    Auburndale          FL                 18,448.45          9,721.13      7.36%
 Totals                                                          4,004,116.69        864,652.37                                

</TABLE>
<TABLE>
<CAPTION>

                              Mortgage Loan Detail

                Anticipated                              Beginning      Ending              Paid
Loan            Repayment       Maturity    Neg Amort    Scheduled      Scheduled           Thru
Number            Date          Date        (Y/N)        Balance        Balance             Date
<S>               <C>           <C>         <C>          <C>             <C>                 <C>  

                                                             
  987004863         N/A         10/10/2017   N     9,193,628.58      9,185,913.22         04/10/1998
  987004864         N/A         10/01/2016   N    35,224,390.92     35,164,844.72         10/01/1998
  987004865         N/A         06/10/2019   N    67,170,088.09     67,170,088.09         09/10/1998
  987004866         N/A         01/10/2021   N    19,791,520.71     19,760,971.28         10/10/1998
  987004867         N/A         10/2/2020    N     3,414,101.10      3,408,009.15         09/10/1998
  987004868         N/A         10/5/2019    N     6,832,526.32      6,822,919.70         10/05/1998
  987004869         N/A         03/5/2019    N    12,002,728.72     11,982,430.34         10/05/1998
  987004870         N/A         03/5/2019    N     7,022,128.23      7,010,252.78         10/05/1998
  987004871         N/A         10/5/2019    N     4,969,110.05      4,962,123.41         10/05/1998
  987004872         N/A         10/5/2019    N     5,685,808.61      5,677,814.29         10/05/1998
  987004873         N/A         03/5/2019    N     8,194,034.23      8,180,176.91         10/05/1998
  987004874         N/A         03/5/2019    N     5,606,080.32      5,596,599.61         10/05/1998
  987004875         N/A         03/5/2019    N     5,410,763.08      5,401,612.68         10/05/1998
  987004876         N/A         03/5/2019    N     9,463,599.03      9,447,594.69         10/05/1998
  987004877         N/A         03/5/2019    N     3,311,093.00      3,305,493.46         10/05/1998
  987004878         N/A         07/1/2016    N     1,854,583.25      1,850,858.89         10/01/1998
  987004879         N/A         07/1/2012    N    17,651,584.72     17,607,155.76         10/01/1998
  987004880         N/A         07/1/2020    N    17,954,176.61     17,927,758.93         10/01/1998
  987004881         N/A         07/1/2020    N    13,408,474.63     13,388,664.17         10/01/1998
  987004882         N/A         07/1/2020    N    13,271,653.52     13,252,045.22         10/01/1998
  987004883         N/A         06/1/2022    N     4,685,338.03      4,679,474.51         10/01/1998
  987004884         N/A         02/1/2023    N    15,258,697.31     15,250,031.55         09/01/1998
  987004885         N/A         08/10/2019   N     2,380,165.42      2,376,216.89         10/10/1998
  987004886         N/A         08/10/2019   N     1,217,601.43      1,215,581.52         10/10/1998
  987004887         N/A         08/10/2019   N     1,279,705.31      1,277,582.37         10/10/1998
  987004888         N/A         08/10/2019   N     3,145,314.85      3,140,097.00         10/10/1998
  987004889         N/A         08/10/2019   N     1,651,205.89      1,648,466.66         10/10/1998
  987004890         N/A         08/10/2019   N     1,484,527.42      1,482,064.69         10/10/1998
  987004891         N/A         08/10/2019   N     1,551,875.70      1,549,301.25         10/10/1998
  987004892         N/A         08/10/2019   N     1,256,326.71      1,254,242.55         10/10/1998
  987004893         N/A         08/10/2019   N     1,992,602.28      1,989,296.69         10/10/1998
  987004894         N/A         08/10/2019   N     1,599,735.21      1,597,081.36         10/10/1998
  987004895         N/A         08/10/2019   N     1,620,179.28      1,617,491.52         10/10/1998
  987004896         N/A         08/10/2019   N       792,438.17        791,123.57         10/10/1998
  987004897         N/A         08/10/2019   N       946,388.96        944,818.97         10/10/1998
  987004898         N/A         08/10/2019   N     1,675,547.43      1,672,767.82         10/10/1998
  987004899         N/A         08/10/2019   N     1,675,547.43      1,672,767.82         10/10/1998
  987004900         N/A         08/10/2019   N     1,675,547.43      1,672,767.82         10/10/1998
  987004901         N/A         08/10/2019   N     1,698,112.58      1,695,295.53         10/10/1998
  987004902         N/A         08/10/2019   N     1,620,588.54      1,617,900.10         10/10/1998
  987004903         N/A         08/10/2019   N     1,895,859.43      1,892,714.33         10/10/1998
  987004904         N/A         08/10/2019   N     1,217,758.57      1,215,738.40         10/10/1998
  987004905         N/A         10/10/2017   N    21,029,622.96     21,005,949.12         10/10/1998
  987004906         N/A         03/5/2023    N     5,350,478.35      5,344,405.91         10/05/1998
  987004907         N/A         06/5/2015    N     7,419,227.13      7,401,053.63         10/05/1998
  987004908         N/A         12/5/2021    N     3,024,165.26      3,020,307.90         10/05/1998
  987004909         N/A         06/5/2021    N     6,763,510.75      6,754,458.48         10/05/1998
  987004910         N/A         05/1/2011    N     3,527,097.66      3,518,439.85         10/01/1998
  987004911         N/A         09/1/2018    N    15,884,013.95     15,851,828.93         11/01/1998
  987004912         N/A         03/1/2017    N    45,420,366.15     45,340,267.91         10/01/1998
  987004913         N/A         10/5/2007    N     3,882,268.13      3,874,974.00         10/05/1998
  987004914         N/A         07/5/2007    N    15,826,929.50     15,796,056.52         10/10/1998
  987004915         N/A         06/5/2009    N    14,135,554.35     14,135,554.35         10/05/1998
  987004916         N/A         04/1/2017    N     4,477,813.90      4,476,000.35         10/01/1998
  987004917         N/A         09/1/2021    N     5,519,439.10      5,515,141.24         10/01/1998
  987004918         N/A         10/1/2022    N     6,045,018.53      6,041,110.53         10/01/1998
  987004919         N/A         01/10/2019   N     8,403,057.36      8,390,535.17         10/10/1998
  987004920         N/A         01/10/2019   N     8,146,457.79      8,134,317.98         10/10/1998
  987004921         N/A         01/10/2019   N     6,490,357.96      6,480,686.06         10/10/1998
  987004922         N/A         01/10/2019   N     6,956,472.78      6,946,106.28         10/10/1998
  987004923         N/A         01/10/2019   N     7,522,779.91      7,511,569.50         10/10/1998
  987004924         N/A         01/10/2019   N     5,791,409.85      5,782,779.52         10/10/1998
  987004925         N/A         12/10/2019   N     4,631,730.46      4,625,389.43         10/10/1998
  987004926         N/A         12/10/2019   N     4,040,445.75      4,034,914.21         10/10/1998
  987004927         N/A         12/10/2019   N     3,252,066.62      3,247,614.40         10/10/1998
  987004928         N/A         12/10/2019   N     3,350,613.83      3,346,026.70         10/10/1998
  987004929         N/A         12/10/2019   N     2,857,876.33      2,853,963.78         10/10/1998
  987004930         N/A         12/10/2019   N     3,941,898.52      3,936,501.90         10/10/1998
  987004931         N/A         12/10/2019   N     2,266,591.61      2,263,488.55         10/10/1998
  987004932         N/A         12/10/2019   N     2,049,787.47      2,046,981.22         10/10/1998
  987004933         N/A         12/10/2019   N     2,808,602.72      2,804,757.62         10/10/1998
  987004934         N/A         12/10/2019   N     2,020,222.17      2,017,456.40         10/10/1998
  987004935         N/A         12/10/2019   N     2,315,865.22      2,312,694.70         10/10/1998
  987004936         N/A         12/10/2019   N     4,237,540.17      4,231,738.80         10/10/1998
  987004937         N/A         12/10/2019   N     4,927,372.09      4,920,626.31         10/10/1998
  987004938         N/A         12/10/2019   N     3,547,708.24      3,542,851.28         10/10/1998
  987004939         N/A         12/10/2019   N     3,054,970.75      3,050,788.37         10/10/1998
  987004940         N/A         12/10/2019   N     2,414,412.45      2,411,107.02         10/10/1998
  987004941         N/A         12/10/2019   N     1,872,401.33      1,869,837.93         10/10/1998
  987004942         N/A         12/10/2019   N     2,069,497.19      2,066,663.96         10/10/1998
  987004943         N/A         12/10/2019   N     2,586,870.78      2,583,329.25         10/10/1998
  987004944         N/A         12/10/2019   N     2,710,055.51      2,706,345.33         10/10/1998
  987004945         N/A         12/10/2019   N     2,586,870.78      2,583,329.25         10/10/1998
  987004946         N/A         12/10/2019   N     3,005,697.15      3,001,582.22         10/10/1998
  987004947         N/A         12/10/2019   N     2,365,138.83      2,361,900.86         10/10/1998
  987004948         N/A         12/10/2019   N     6,011,394.28      6,003,164.43         10/10/1998
  987004949         N/A         12/10/2019   N     2,606,580.50      2,603,011.98         10/10/1998
  987004950         N/A         12/10/2019   N     2,527,741.59      2,524,281.01         10/10/1998
  987004951         N/A         12/10/2019   N     1,911,820.79      1,909,203.43         10/10/1998
  987004952         N/A         12/10/2019   N     3,350,613.83      3,346,026.70         10/10/1998
  987004953         N/A         12/10/2019   N     2,562,233.25      2,558,725.44         10/10/1998
  987004954         N/A         12/10/2019   N     2,365,138.83      2,361,900.86         10/10/1998
  987004955         N/A         12/10/2019   N     2,857,876.33      2,853,963.78         10/10/1998
  987004956         N/A         12/10/2019   N     1,892,111.07      1,889,520.69         10/10/1998
  987004957         N/A         12/10/2019   N     1,626,033.30      1,623,807.19         10/10/1998
  987004958         N/A         12/10/2019   N     3,350,613.83      3,346,026.70         10/10/1998
  987004959         N/A         12/10/2019   N     2,562,233.25      2,558,725.44         10/10/1998
  987004960         N/A         12/10/2019   N     4,138,992.96      4,133,326.50         10/10/1998
  987004961         N/A         12/10/2019   N     1,231,843.02      1,230,156.58         10/10/1998
  987004962         N/A         07/10/2019   N     1,672,304.28      1,669,349.61         10/10/1998
  987004963         N/A         10/10/2016   N     1,554,648.48      1,551,164.95         10/10/1998
  987004964         N/A         12/01/2016   N     1,803,724.78      1,799,906.68         10/01/1998
  987004965         N/A         01/01/2018   N     2,672,568.80      2,669,847.42         10/01/1998
  987004966         N/A         05/10/2019   N     1,665,194.36      1,662,458.40         10/10/1998
  987004967         N/A         03/10/2013   N     3,007,899.07      2,998,177.94         10/10/1998
 Totals                                          641,654,981.04    640,790,328.67                                              
 
<FN>


(1) Property Type Code
SS- Self Storage
MF- Multi- Family
RT- Retail
HC- Health Care
IC- Industrial
WH- Warehouse
MH- Mobile Home Park
OF- Office
LO- Lodging
MU- Mixed Use
OT- Other



(2) Resolution Strategy Code
1- Modification
2- Foreclosure
3- Bankruptcy
4- Extension
5- Note Sale
6- DPO
7- REO
8- Resolved
9- Pending Return to Master Servicer
10- Deed In Lieu Of Foreclosure


(3) Modification Code
1- Maturity Date Extension 
2- Amortization Change
3- Principal Write- Off
4- Combination

</FN>
</TABLE>

Principal Prepayment Detail
No Principal Prepayments this Period                                          
<TABLE>
<CAPTION>

                          Historical Detail

                 Delinquencies                                                   
Distribution    30-59 Days    60-89 Days       90 Days+       Foreclosure        REO          Modifications    
Date         #   Balance    #    Balance      #    Balance      #   Balance     #   Balance    #   Balance 
                                                                                   
<S>         <C>  <C>        <C> <C>           <C> <C>          <C>  <C>         <C> <C>         <C>    <C>
                                                                                      
10/19/1998   0  $0.00       0  $0.00          1  $9,185,913.22  0   $0.00       0  $0.00       0      $0.00
09/16/1998   0  $0.00       1  $9,193,628.58  0  $0.00          0   $0.00       0  $0.00       0      $0.00 
08/17/1998   0  $0.00       0  $0.00          0  $0.00          0   $0.00       0  $0.00       0      $0.00
07/16/1998   0  $0.00       0  $0.00          0  $0.00          0   $0.00       0  $0.00       0      $0.00
06/16/1998   0  $0.00       0  $0.00          0  $0.00          0   $0.00       0  $0.00       0      $0.00 
05/15/1998   0  $0.00       0  $0.00          0  $0.00          0   $0.00       0  $0.00       0      $0.00
04/16/1998   0  $0.00       0  $0.00          0  $0.00          0   $0.00       0  $0.00       0      $0.00
             


                        Prepayments                 
Distribution        Curtailments           Payoff          
Date              #       Amount         #    Amount       
                                                    
 <C>             <C>    <C>            <C>   <C>  

10/19/1998        0     $0.00           0    $0.00
09/16/1998        0     $0.00           0    $0.00 
08/17/1998        0     $0.00           0    $0.00
07/16/1998        0     $0.00           0    $0.00                            
06/16/1998        0     $0.00           0    $0.00  
05/15/1998        0     $0.00           0    $0.00  
04/16/1998        0     $0.00           0    $0.00                                          
                                                    
                    

</TABLE>
<TABLE>
<CAPTION>


                     Rate and Maturities
Distribution     Next Weighted Avg.
Date             Coupon        Remit           WAM
 <S>           <C>             <C>            <C>
         
10/19/1998     7.488278%       7.443278%      237                          
09/16/1998     7.488355%       7.443355%      238
08/17/1998     7.488531%       7.443531%      239
07/16/1998     7.488705%       7.443704%      240  
06/16/1998     7.488838%       7.443835%      241
05/15/1998     7.489007%       7.444007%      242
04/16/1998     7.489177%       7.444177%      243   

<FN>                                                                           
Note: Foreclosure and REO Totals are excluded from the delinquencies aging     
categories.                                                                    
</FN>                                                                                        
</TABLE>
<TABLE>
<CAPTION>


                                       Delinquency Loan Detail


                  Offering        # of                      Current               Outstanding           Status of
Loan Number       Document        Months     Paid Through   P&I                   P&I                   Mortgage 
                Cross Reference   Delinq.    Date           Advances              Advances**            Loan(1)     
                                                                                                            
<S>                    <C>        <C>        <C>            <C>                   <C>                   <C>

 987004863              1          5      04/10/1998        67,703.79            255,284.93             3
 987004867              5          0      09/10/1998        24,670.35            24,670.35              B
 987004884             24          0      09/01/1998       114,332.24            114,332.24             B
Totals                                                     206,706.38            394,287.52 



</TABLE>
<TABLE>
<CAPTION>

                Resolution     Servicing        Foreclosuse    Current     
Loan Number      Strategy    Transfer Date        Date        Servicing
                 Code(2)                                       Advances 
<S>               <C>            <C>               <C>          <C>

 987004863
 987004867
 987004884
 Totals                                                          0.00 
 
</TABLE>   
<TABLE>    
<CAPTION>  
           


               Outstanding     
               Servicing        Bankruptcy    REO
Loan Number    Advances         Date          Date      
<S>             <C>             <C>           <C>   
                                     
 987004863                    
 987004867
 987004884
 Totals          0.00
 


<FN>

 (1) Status of Mortgage Loan
A- Payment Not Received But Still in Grace Period
B- Late Payment But Less Than 1 Month Delinquent
0- Current
1- One Month Delinquent
2- Two Months Delinquent
3- Three Or More Months Delinquent
4- Assumed Scheduled Payment (Performing Matured Balloon)
7- Foreclosure
9- REO

 (2) Resolution Strategy Code         
1- Modification                       
2- Foreclosure                        
3- Bankruptcy                         
4- Extension                          
5- Note Sale                          
6- DPO                                
7- REO                                
8- Resolved                           
9- Pending Return to Master Servicer  
10- Deed In Lieu Of Foreclosure       

** Outstanding P & I Advances include the current period advance
</FN>
</TABLE>
<TABLE>
<CAPTION>

Specially Serviced Loan Detail - Part 1
                         Offering          Servicing   Resolution    
Distribution   Loan      Document          Transfer    Strategy       Scheduled    Property               Interest    Actual 
Date           Number  Cross-Reference     Date        Code (1)       Balance      Type (2)     State     Rate        Balance    
<S>            <C>         <C>             <C>          <C>             <C>         <C>          <C>       <C>         <C>       

10/19/1998     987004863    1              09/10/1998                 9,185,913.22   OF          PA         7.870%     9,201,195.07
   
                                Net                                                      Remaining
Distribution   Loan            Operating      NOI       DSCR     Note     Maturity       Amortization
Date           Number          Income         Date               Date      Date           Term         
<S>            <C>               <C>           <C>       <C>      <C>      <C>            <C>    
                       
10/19/1998     987004863                                                   10/10/2017     227


<FN>                                
                                    
                                  
(1) Resolution Strategy Code        
1- Modification                     
2- Foreclosure                      
3- Bankruptcy                       
4- Extension                        
5- Note Sale                        
6- DPO                              
7- REO                              
8- Resolved                         
9- Pending Return to Master Servicer
10- Deed In Lieu Of Foreclosure     


(2) Property Type Code
SS- Self Storage      
MF- Multi- Family     
RT- Retail            
HC- Health Care       
IC- Industrial        
WH- Warehouse         
MH- Mobile Home Park  
OF- Office            
LO- Lodging           
MU- Mixed Use         
OT- Other             

                                   
</FN>
</TABLE>
                                    

Specially Serviced Loan Detail - Part 2

                                   Offering        Resolution    Site         
Distribution        Loan           Document         Strategy    Inspection  
   Date            Number       Cross-Reference      Code(1)     Date       

              

10/19/1998         987004863           1



Distribution   Loan      Phase 1 date   Appraisal    Appraisal   Other REO     
   Date        Number                   Date         Value     Property Revenue
                                         
         
                             
10/19/1998   987004863 





                                                                       



Distribution        Loan                                Comment   
   Date            Number                                                  
                                                                     
                                                                           
                                                                          
10/19/1998         987004863         Lesee under CTL filed Chapter 11 on 7/21/98
                                     Loan Accelerated on 9/21/98 and motion  
                                     filed in BK Court to compel payment of post
                                     petition rent with hearing scheduled for  
                                     11/4/98.Relief motion filed in order to 
                                     serve tenant. LTM NOI reflects Tenants non-
                                     payment of rent due to BK. 



                                    
(1) Resolution Strategy Code        
1- Modification                     
2- Foreclosure                      
3- Bankruptcy                       
4- Extension                        
5- Note Sale                        
6- DPO                              
7- REO                              
8- Resolved                         
9- Pending Return to Master Servicer
10- Deed In Lieu Of Foreclosure     


Modified Loan Detail
No Modified Loans


Liquidated Loan Detail
No Liquidated Loans this Period



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