COMMERCIAL MORTGAGE PASS THROUGH CERT SERIES 1998 GL II
8-K, 1998-12-18
ASSET-BACKED SECURITIES
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SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
       
FORM 8-K
CURRENT REPORT

Pursuant to Section 13 or 15(d) of the
Securities Exchange Act of 1934
                        
Date of Report: June 15, 1998
(Date of earliest event reported)

GS Mortgage Securities Corporation II 
Sponsor)
(Issuer in Respect of Commercial Mortgage Pass-Through 
Certificates Series 1998-GL 2)
Exact name of registrant as specified in charter) 
 
Delaware                33-99774-02  22-3442024
(State or other juris-  (Commission  (I.R.S. Employer 
diction of organization) File No.)   Identification No.)

85 Broad Street, New York, New York       10004
(Address of principal executive offices) (Zip Code)

Registrant's Telephone Number, including area code 
(212) 902-1000

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

ITEM 5.	OTHER EVENTS
		
		This Current Report on Form 8-K relates to the 
Trust Fund formed, and the Commercial Mortgage Pass-Through 
Certificates Series 1998-GL2 issued pursuant to, a Pooling 
and Servicing Agreement, dated as of May 11, 1998 (the 
"Pooling and Servicing Agreement"), by and among GS Mortgage 
Securities Corporation II, as sponsor, GMAC Commercial Mortgage 
Corporation, as master servicer and special servicer, LaSalle 
National Bank, as trustee and REMIC administrator, and ABN AMRO 
Bank, N.V., as fiscal agent.  The Class A-1, Class A-2, Class X, 
Class B, Class C, Class D, and class E Certificates have been 
registered pursuant to the Act under a Registration Statement 
on Form S-3(File No.333-27083) the "Registration Statement").

		Capitalized terms used herein and not defined 
herein have the same meanings ascribed to such terms in the 
Pooling and Servicing Agreement.

		Pursuant to Section 3.20 of the Pooling and 
Servicing Agreement, the Trustee is filing this Current 
Report containing the December 14, 1998 monthly distribution 
report.

		
This Current Report is being filed by the Trustee, 
in its capacity as such under the Pooling and Servicing Agreement, 
on behalf of the Registrant.  The information reported and 
contained herein has been supplied to the Trustee by one or 
more of the Master Servicer, the Special Servicer or other 
third parties without independent review or investigation 
by the Trustee.  

Pursuant to the Pooling and Servicing Agreement, 
the Trustee is not responsible for the accuracy or completeness 
of such information.

ITEM 7.  FINANCIAL STATEMENTS, PRO FORMA FINANCIAL  
   INFORMATION AND 

EXHIBITS
	  
Exhibit No.	Description
		
99.1         Monthly distribution report pursuant to 
Section 4.02 of the Pooling and Servicing 
Agreement for the distribution on 
December 14, 1998.


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

LASALLE NATIONAL BANK, IN ITS CAPACITY AS TRUSTEE
UNDER THE POOLING AND SERVICING AGREEMENT ON 
BEHALF OF GS MORTGAGE SECURITIES CORPORATION II, 
REGISTRANT

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


Date: December 24, 1998
                        














ABN AMRO
LaSalle National Bank

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

GMAC Commercial Mortgage Corporation, as Servicer
Commerical Mortgage Pass-Through Certificates
Series 1998-GL II



Payment Date:              12/15/98
Prior Payment:             11/13/98
Record Date:               11/27/98

WAC:                      7.046162%
WAMM:                           280


                                        Number Of Pages

Table Of Contents                                     1

REMIC Certificate Report                              4

Other Related Information                             3

Asset Backed Facts Sheets                             1

Delinquency Loan Detail               			0

Loan Level Listing                                    1


Total Pages Included  In This Package                10


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


LaSalle Web Site                            www.lnbabs.com
LaSalle Bulletin Board                      (714) 282-3990
LaSalle ASAP Fax System                      312) 904-2200
ASAP #:                                                334
Monthly Data File Name:                       0334MMYY.EXE

ABN AMRO Acct: 67-7936-601
                Original            Opening         Principal
Class           Face Value (1)      Balance         Payment
CUSIP           Per $1,000          Per $1,000      Per $1,000

Q                            0.0001            0.00             0.00
9ABSB397             1000.000000000      0.000000000     0.000000000

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

Q                             0.00             0.00            0.00
9ABSB397                0.000000000     0.000000000       0.00000000

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

Q                             0.00             0.00     0.000000000%
9ABSB397                 0.00000000      0.00000000     0.000000000%

ABN AMRO Acct: 67-7936-601

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

M                    19,663,552.00    19,256,010.55       73,734.02
36228CBL6            1000.000000000    979.27427100      3.749781321
MX                   19,663,552.00    19,256,010.55             0.00
36228CBN2            1000.000000000   979.274270996      0.000000000

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

M                             0.00             0.00        19,182,27
36228CBL6              0.000000000       0.000000000     975.5244897
MX                            0.00              0.00       19,182,27
36228CBN2              0.000000000       0.000000000     975.5244897

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

M                       126,463.85              0.00     7.88100000%
36228CBL6               6.431383811     0.000000000      7.88100000%
MX                                39            0.00     2.43500000%
36228CBN2               1.987109959     0.000000000      2.43500000%

ABN AMRO Acct: 67-7936-601

                Original            Opening         Principal
Class           Face Value (1)      Balance         Payment
CUSIP           Per $1,000          Per $1,000      Per $1,000
A-1                 278,000,000.00   266,059,800.27         2,358,07
36228CAZ6            1000.000000000    957.049641259     8.482289065
A-2                       694,315,00 694,315,000.00             0.00
36228CBA0            1000.000000000   1000.000000000     0.000000000
X                      1,148,459,0001,136,518,800.27            0.00
36228CBB8            1000.000000000    989.603286029     0.000000000
B                           91,595,0  91,595,000.00             0.00
36228CBC6            1000.000000000   1000.000000000     0.000000000
C                           84,549,0  84,549,000.00             0.00
36228CBD4            1000.000000000   1000.000000000     0.000000000
D                           98,641,0  98,641,000.00             0.00
36228CBE2            1000.000000000   1000.000000000     0.000000000
E                           70,458,0  70,458,000.00             0.00
36228CBF9            1000.000000000   1000.000000000     0.000000000
F                           63,411,0  63,411,000.00             0.00
36228CB67            1000.000000000   1000.000000000     0.000000000
G                           28,183,9  28,183,997.00             0.00
36228CBJ1            1000.000000000   1000.000000000     0.000000000
R                                              0.00             0.00
9ABSB389             1000.000000000      0.000000000     0.000000000

                Principal           Negative        Closing
Class           Adj. or Loss        Amortization    Balance
CUSIP           Per $1,000          Per $1,000      Per $1,000
A-1                           0.00              0.00 263,701,723.91
36228CAZ6               0.000000000     0.000000000      948.5673522
A-2                            0.00             0.00     694,315,000
36228CBA0               0.000000000     0.000000000   1000.000000000
X                              0.00             0.00  1,134,160,723.
36228CBB8               0.000000000     0.000000000      987.5500335
B                              0.00            0.00        91,595,00
36228CBC6               0.000000000     0.000000000   1000.000000000
C                              0.00             0.00       84,549,00
36228CBD4               0.000000000     0.000000000   1000.000000000
D                              0.00             0.00       98,641,00
36228CBE2               0.000000000     0.000000000   1000.000000000
E                              0.00             0.00       70,458,00
36228CBF9               0.000000000     0.000000000   1000.000000000
F                              0.00             0.00       63,411,00
36228CBG7               0.000000000     0.000000000   1000.000000000
G                              0.00             0.00       28,183,99
36228CBJ1               0.000000000     0.000000000   1000.000000000
R                              0.00             0.00            0.00
9ABSB389                0.000000000     0.000000000      0.000000000

                Interest            Interest        Pass-Through
Class           Payment             Adjustment      Rate (2)
CUSIP           Per $1,000          Per $1,000      Next Rate (3)
A-1                   1,399,474.55              0.00      6.3120000%
36228CAZ6               5.034081115      0.000000000Fixed
A-2                           3,796,            0.00      6.5620000%
36228CBA0               5.468333336      0.000000000Fixed
X                                427            0.00      0.4513460%
36228CBB8               0.372211206      0.000000000      0.4509346%
B                                502            0.00      6.5776736%
36228CBC6               5.481394618      0.000000000      6.5776945%
C                                475            0.00      6.7446736%
36228CBD4               5.620561331      0.000000000      6.7446945%
D                                572            0.00      6.9696736%
36228CBE2               5.808061354      0.000000000      6.9696945%
E                                409            0.00      6.9696736%
36228CBF9               5.808061398      0.000000000      6.9696945%
F                                368            0.00      6.9696736%
36228CBG7               5.808061377      0.000000000      6.9696945%
G                                163            0.00      6.9696736%
36228CBJ1                5.80806051      0.000000000      6.9696945%
R                              0.00             0.00      0.0000000%
9ABSB389                0.000000000      0.000000000      0.0000000%

ABN AMRO Acct: 67-7936-601

                Original            Opening         Principal
Class           Face Value (1)      Balance         Payment
CUSIP           Per $1,000          Per $1,000      Per $1,000
LA-1                      278,000,00     266,059,800        2,358,07
None                 1000.000000000    957.049641259         8.48228
LA-2                      694,315,00     694,315,000           0.00
None                 1000.000000000   1000.000000000    0.000000000
LB                          91,595,0       91,595,00           0.00
None                 1000.000000000   1000.000000000    0.000000000
LC                          84,549,0       84,549,00           0.00
None                 1000.000000000   1000.000000000    0.000000000
LD                          98,641,0       98,641,00           0.00
None                 1000.000000000   1000.000000000    0.000000000
LE                          70,458,0       70,458,00           0.00
None                 1000.000000000   1000.000000000    0.000000000
LF                          63,411,0       63,411,00           0.00
None                 1000.000000000   1000.000000000    0.000000000
LG                          28,183,9       28,183,99           0.00
None                 1000.000000000   1000.000000000    0.000000000
LR                                              0.00           0.00
9ABSB390             1000.000000000                0    0.000000000
LR

                Principal           Negative        Closing
Class           Adj. or Loss        Amortization    Balance
CUSIP           Per $1,000          Per $1,000       Per $1,000
LA-1                           0.00             0.00 263,701,723.91
None                    0.000000000      0.000000000  948.567352194
LA-2                           0.00             0.00 694,315,000.00
None                    0.000000000      0.000000000  1000.000000000
LB                             0.00             0.00  91,595,000.00
None                    0.000000000      0.000000000  1000.000000000
LC                             0.00             0.00  84,549,000.00
None                    0.000000000      0.000000000  1000.000000000
LD                             0.00             0.00  98,641,000.00
None                    0.000000000      0.000000000  1000.000000000
LE                            0.00              0.00  70,458,000.00
None                    0.000000000      0.000000000  1000.000000000
LF                             0.00             0.00  63,411,000.00
None                    0.000000000      0.000000000  1000.000000000
LG                             0.00             0.00  28,183,997.00
None                    0.000000000      0.000000000  1000.000000000
LR                             0.00             0.00           0.00
9ABSB390                0.000000000      0.000000000    0.000000000

                Interest            Interest        Pass-Through
Class           Payment             Adjustment      Rate (2)
CUSIP           Per $1,000          Per $1,000      Next Rate (3)
LA-1                  1,545,291.64              0.00     6.96967360%
None                    5.558603022      0.000000000     6.96969448%
LA-2                          4,032,           0.00      6.96967360%
None                    5.808061327      0.000000000     6.96969448%
LB                               531           0.00      6.96967360%
None                    5.808061357      0.000000000     6.96969448%
LC                               491           0.00      6.96967360%
None                    5.808061361      0.000000000     6.96969448%
LD                               572           0.00      6.96967360%
None                    5.808061354      0.000000000     6.96969448%
LE                               409           0.00      6.96967360%
None                    5.808061398      0.000000000     6.96969448%
LF                               368           0.00      6.96967360%
None                    5.808061377      0.000000000     6.96969448%
LG                               163            0.00     6.96967360%
None                     5.80806051      0.000000000     6.96969448%
LR                             0.00             0.00     0.00000000%
9ABSB390                0.000000000      0.000000000     0.00000000%

Other Related Information

Stated Principal Balance Of The Mortgage Pool Prior to Current 
Distribution Day; 1,416,468,807.
Stated Principal Balance Of The Mortgage Pool Subsequent to 
Current Distribution: 1,414,036,997.

Current Period Accrued Servicing Fees             36,588.91
Less Delinquent Servicing Fees                         0.00
Plus Additional Servicing Fees                         0.00
Less Reductions To Servicing Fees                      0.00
Total Servicing Fees Collected                    36,588.91

Special Servicing Fees                                 0.00
Trustee Fees                                       3,541.17

                      Advances (Interest at Gross)
                      Prior Outstanding
                      Principal      Interest

 Master Servicer:               0.00         0.00
 Special Servicer               0.00         0.00
 Trustee/Fiscal Agent:          0.00         0.00

     Totals:                    0.00        0.00

                      Current Month
                      Principal      Interest

 Master Servicer:               0.00        0.00
 Special Servicer               0.00        0.00
 Trustee/Fiscal Agent:          0.00        0.00

     Totals:                    0.00        0.00

                      Recovered
                      Principal      Interest

 Master Servicer:               0.00        0.00
 Special Servicer               0.00        0.00
 Trustee/Fiscal Agent:          0.00        0.00

     Totals:                    0.00        0.00

                      Advances Outstanding
                      Principal      Interest

 Master Servicer:               0.00        0.00
 Special Servicer               0.00        0.00
 Trustee/Fiscal Agent:          0.00        0.00

     Totals:

                 0.00
                      Accrued        Prepayment  Beginning
                      Certificate    Interest    Unpaid
Class                 Interest       Shortfall   Interest
A-1                      1,399,474.55       0.00        0.00
A-2                        3796745.86       0.00        0.00
X                           427469.31       0.00        0.00
B                         502,068.34        0.00        0.00
C                         475,212.84        0.00        0.00
D                         572,912.98        0.00        0.00
E                         409,224.39        0.00        0.00
F                         368,294.98        0.00        0.00
G                         163,694.38        0.00        0.00
R                               0.00        0.00        0.00
M                         126,463.85        0.00        0.00
MX                         39,073.65        0.00        0.00
Q                               0.00        0.00        0.00

                                                             Ending
                      Interest                               Unpaid
                       Loss          Expenses    DistributablInterest
Class                           0.00        0.00 1,399,474.55   0.00
A-1                             0.00        0.00 3,796,745.86   0.00
A-2                             0.00        0.00    427469.31   0.00
X                               0.00        0.00    502068.34   0.00
B                               0.00        0.00    475212.84   0.00
C                               0.00        0.00    572912.98   0.00
D                               0.00        0.00   409,224.39   0.00
E                               0.00        0.00  368,294.98    0.00
F                               0.00        0.00  163,694.36    0.00
G                               0.00        0.00        0.00    0.00
R                               0.00        0.00  126,463.85    0.00
M                               0.00        0.00   39,073.64    0.00
MX                              0.00        0.00        0.00    0.00
Q                               0.00        0.00        0.00    0.00


                        Allocation of Additional Interest Proceeds
                                                 Net
                      Prepayment     Default     Default     Excess
Class                 Premiums       Interest    Interest    Interest
A-1                             0.00        0.00        0.00    0.00
A-2                             0.00        0.00        0.00    0.00
X                               0.00        0.00        0.00    0.00
B                               0.00        0.00        0.00    0.00
C                               0.00        0.00        0.00    0.00
D                               0.00        0.00        0.00    0.00
E                               0.00        0.00        0.00    0.00
F                               0.00        0.00        0.00    0.00
G                               0.00        0.00        0.00    0.00
R                               0.00        0.00        0.00    0.00
M                               0.00        0.00        0.00    0.00
MX                              0.00        0.00        0.00    0.00
Q                               0.00        0.00        0.00    0.00

Distribution          Delinq 1 Month             Delinq 2 Months
Date                  #              Balance     #           Balance
              12/15/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              11/13/98              0           0           0      0
                                0.00%      0.000%       0.00%  0.000%
              10/14/98              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
               9/15/98              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
               8/13/98              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
               7/14/98              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
               6/15/98              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0           0           0       0
                                0.00%       0.00%       0.00%   0.00%


Distribution          Delinq 3+  Months          Foreclosure/Bankruptcy
Date                  #              Balance     #           Balance
              12/15/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
              11/13/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
              10/14/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
               9/15/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
               8/13/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
               7/14/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
               6/15/98              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%
                1/0/00              0          0            0      0
                                0.00%       0.00%       0.00%   0.00%


Distribution          REO                        Modifications
Date                  #              Balance     #           Balance
              12/15/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              11/13/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              10/14/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              09/15/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              08/13/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              07/14/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              06/15/98              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%
              01/00/00              0          0           0       0
                                0.00%      0.000%       0.00%  0.000%


Distribution          Prepayments                Curr Weighted Avg.
Date                  #              Balance     Coupon      Remit
              12/15/98             0           0       7.046%  7.015%
                                0.00%      0.000%
              11/13/98             0           0       7.269%  7.238%
                                0.00%      0.000%
              10/14/98             0           0       7.046%  7.015%
                                0.00%      0.000%
              09/15/98             0           0       7.269%  7.238%
                                0.00%      0.000%
              08/13/98             0           0       7.269%  7.238%
                                0.00%      0.000%
              07/14/98             0           0       7.047%  7.016%
                                0.00%      0.000%
              06/15/98             0           0       7.269%  7.238%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%
              01/00/00             0           0       0.000%  0.000%
                                0.00%      0.000%

Delinquent Loan Detail

                      Paid                       Outstanding
Disclosure Doc        Thru           Current P&I P&I
Control #             Date           Advance     Advances**


A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
              01/00/00
                 0.00%
**  Outstanding P&I Advances include the current period P&I Advance

                      Out. Property              Special
Disclosure Doc        Protection     Advance     Servicer
Control #             Advances       Description Transfer Date



A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
                 0.00%
              01/00/00
**  Outstanding P&I Advances include the current period P&I Advance


Disclosure Doc        Foreclosure    Bankruptcy  REO
Control #             Date           Date        Date



A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month delinq
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
              01/00/00
              01/00/00
**  Outstanding P&I Advances include the current period P&I Advance

Loan Level Detail

                                     Property
Disclosure                           Type        Maturity
Control #             Group          Code        Date
                     4GO98GL2A       Retail          02/11/28
                     1GO98GL2A       Warehouse       05/11/23
                     5GO98GL2A       Warehouse       05/11/23
                     3GO98GL2A       Lodging         02/11/23
                     2GO98GL2A       Lodging         02/11/23
                     6GO98GL2A       Retail          02/11/28
                     7GO98GL2A       Office          09/11/02
                     7GO98GL2A       Office          04/11/28
                     8GO98GL2A       Lodging         12/11/22
                     9GO98GL2A       Retail          11/11/25
                    10GO98GL2A       Office          11/11/27
                    11GO98GL2B       Lodging         06/12/10

    *  NOI and DSCR, if available and reportable under the terms of the trust
 agreement, are accuracy or methodology used to determine such figures.
(1)   Legend:
A.  P&I Adv -  in Grace Period
B.  P&I Adv -  < one month delinq
1.  P&I Adv -  delinquent 1 month
2.  P&I Adv -  delinquent 2 months
3.  P&I Adv -  delinquent 3+ months
4.  Mat. Balloon/Assumed  P&I
5. Prepaid in Full
6. Specially  Serviced
7. Foreclosure
8. Bankruptcy
9. REO
10. DPO
11. Modification

                                     Operating
Disclosure                           Statement
Control #             DSCR           Date        State
                     4                           NY
                     1                           AL
                     5                           CO
                     3                           AR
                     2                           CO
                     6                           CA
                     7                           PA
                     7
                     8       01/01/00    12/05/97CA
                     9       01/00/00    12/31/97NV
                    10       01/01/00    12/31/97VA
                    11                           AL
                      Ending
Disclosure            Principal      Note        Scheduled
Control #             Balance        Rate        P&I
                     4158,574,558.60        6.75%  1,047,747.33
                     1   250,825,489.       6.89%1,786,497.40
                     5   147,223,656.       6.89%1,048,596.30
                     3   176,934,013.       6.88%1,265,463.44
                     2   181,724,393.       6.88%1,299,195.88
                     6   116,024,789.       7.11%  794,634.38
                     7     79,484,625       7.00%  537,202.33
                     7     27,790,331       7.00%  705,032.26
                     8   101,631,525.       7.80%  788,726.24
                     9     78,506,999       7.52%  573,552.91
                    10     76,134,338       6.90%  507,328.13
                    11     19,182,276      10.37%  240,057.81



Disclosure                           Prepayment  Status
Control #             Prepayment     Date        Code (1)
                     4              0
                     1              0
                     5              0
                     3         155000
                     2              0
                     6              0
                     7              0
                     7              0
                     8              0
                     9              0
                    10              0
                    11              0


Specially Serviced Loan Detail

                      Beginning
Disclosure            Scheduled      Interest    Maturity
Control #             Balance        Rate        Date



Disclosure            Property       Serviced
Control #             Type           Status Code Comments

(1)                   Legend :
1)  Request for waiver of Prepayment Penalty
2)   Payment default
3)   Request for Loan Modification or Workout
4)  Loan with Borrower Bankruptcy
5)  Loan in Process of Foreclosure
6)  Loan now REO Property
7)  Loans Paid Off
8)  Loans Returned to Master Servicer
Modified Loan Detail

Disclosure            Modification   Modification
Control #             Date           Description



Realized Loss Detail

Disclosure            Dist.          Disclosure  Appraisal   Appraisal
Control #             Date           Control #   Date        Value



Current Total
Cumulative

                      Beginning                  Gross ProceeAggregate
Disclosure            Scheduled      Gross       as a % of   Liquidation
Control #             Balance        Proceeds    Sched PrinciExpenses *



Current Total
Cumulative

                      Net            Net Proceeds
Disclosure            Liquidation    as a % of   Realized
Control #             Proceeds       Sched. BalanLoss



Current Total
Cumulative

  *     Aggregate liquidation expenses also include outstanding P&I advances 
and unpaid serv
_



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