CWMBS INC ASSET SEC TRUST 1998-A7
8-K, 2000-02-09
ASSET-BACKED SECURITIES
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                      SECURITIES AND EXCHANGE COMMISSION

                            Washington, D.C. 20549

                                   FORM 8-K

                                CURRENT REPORT

                    Pursuant to Section 13 or 15(d) of the

                        Securities Exchange Act of 1934

        Date of Report (Date of earliest event reported): June 25, 1999

                                  CWMBS, INC.

                                  (Depositor)

    (Issuer in respect of Mortgage Pass-Through Certificates, Series 1998-G)

                (Exact name of registrant as specified in charter)

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



155 N. Lake Avenue, Pasadena, CA                            91110-7137
(Address of principal executive offices)                    (Zip Code)


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

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



Item 5.  Other Events

                                  CWMBS, INC.
                       Mortgage Pass-Through Certificates
                                 Series 1998-G

On  June  25,  1999,  The Bank of New York, as Trustee for CWMBS, INC., Mortgage
Pass-Through  Certificates  Series  1998-G,  made  a  monthly  distribution  to
Certificate  holders  of  principal  and/or interest pursuant to the Pooling and
Servicing  Agreement,  dated  as of May 1, 1998, among CWMBS, INC. as Depositor,
Independent  National  Mortgage  Corporation, Seller and Master Servicer and The
Bank of New York, as Trustee.

Item 7.  Financial Statements and Exhibits

                    (c) Exhibits

Exhibit No.                               Description

99                  Report  to  Holders  of  CWMBS,  INC., Mortgage Pass-Through
                    Certificates Series 1998-G relating to the distribution date
                    of  June  25,  1999  prepared  by  The  Bank of New York, as
                    Trustee  under  the Pooling and Servicing Agreement dated as
                    of May 1, 1998.



<PAGE>



                                   SIGNATURES

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

Dated: June 25, 1999


                                  CWMBS, INC.


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



<PAGE>



                                 EXHIBIT INDEX



Exhibit


99                  Monthly Remittance Statement dated June 25, 1999



                             Payment Date: 06/25/99


          ------------------------------------------------------------
                   Independent National Mortgage Corporation
               Mortgage Pass-Through Certificates, Series 1998-G
                Residential Asset Securitization Trust, 1998-A7
          ------------------------------------------------------------
<TABLE>
<CAPTION>

Class Information                                Current Payment Information

- ----------------------------------------------------------------------------------------------------------------------------------
                                 Beginning       Pass Thru     Principal       Interest      Total           Principal  Interest
Type       Class Code   Name     Cert. Bal.      Rate          Dist. Amt.      Dist. Amt.    Dist.           Losses     Shortfalls
- ----------------------------------------------------------------------------------------------------------------------------------
<S>        <C>          <C>      <C>             <C>           <C>             <C>           <C>             <C>        <C>
Senior                  A         150,510,397.83    6.500000%     2,344,869.70    815,264.65    3,160,134.35       0.00       0.00
                        PO            169,655.61    0.000000%           651.73          0.00          651.73       0.00       0.00
                        X         140,263,026.63    0.674613%             0.00     78,852.69       78,852.69       0.00       0.00
                        B1          1,924,646.09    6.500000%         6,754.67     10,425.17       17,179.84       0.00       0.00
                        B2            962,322.57    6.500000%         3,377.33      5,212.58        8,589.91       0.00       0.00
                        B3            962,321.60    6.500000%         3,377.33      5,212.58        8,589.91       0.00       0.00
                        B4            673,625.31    6.500000%         2,364.13      3,648.80        6,012.94       0.00       0.00
                        B5            384,929.03    6.500000%         1,350.93      2,085.03        3,435.97       0.00       0.00
                        B6            384,928.72    6.500000%         1,350.93      2,085.03        3,435.96       0.00       0.00
Residual                AR                  0.00    6.500000%             0.00          0.00            0.00       0.00       0.00
- ----------------------------------------------------------------------------------------------------------------------------------
- ----------------------------------------------------------------------------------------------------------------------------------
- ----------------------------------------------------------------------------------------------------------------------------------
Totals          -        -        155,972,826.76     -            2,364,096.76    922,786.54    3,286,883.30     -          -
- ----------------------------------------------------------------------------------------------------------------------------------
Class Information

- --------------------------------------------------------------------------------
                                             Ending Cert.          Unpaid
Type             Class Code     Name         Notional Bal.         Interest
- --------------------------------------------------------------------------------
Senior                          A         148,165,528.13              0.00
                                PO            169,003.88              0.00
                                X         137,959,136.29              0.00
                                B1          1,917,891.42              0.00
                                B2            958,945.23              0.00
                                B3            958,944.27              0.00
                                B4            671,261.18              0.00
                                B5            383,578.10              0.00
                                B6            383,577.79              0.00
Residual                        AR                  0.00              0.00
- --------------------------------------------------------------------------------
- --------------------------------------------------------------------------------
- --------------------------------------------------------------------------------
Totals            -              -        153,608,730.00     -
- --------------------------------------------------------------------------------

</TABLE>
<PAGE>
                             Payment Date: 06/25/99


          ------------------------------------------------------------
                   Independent National Mortgage Corporation
               Mortgage Pass-Through Certificates, Series 1998-G
                Residential Asset Securitization Trust, 1998-A7
          ------------------------------------------------------------
<TABLE>
<CAPTION>

Class Information                                Current Payment Information

                                                      Factors per $1,000

- ------------------------------------------------------------------------------------------------------------------------
                                   Beginning     Pass Thru    CUSIP       Principal     Interest    Ending Cert./
Type        Class Code    Name   Cert. Bal.(Face)  Rate       Numbers       Dist.         Dist.     Notional Bal.
- ------------------------------------------------------------------------------------------------------------------------
<S>         <C>           <C>    <C>               <C>        <C>         <C>           <C>         <C>
- ------------------------------------------------------------------------------------------------------------------------
Senior                     A     150,510,397.83     6.500000% 12669AQV9    12.060722      4.193274    762.082111
                           PO        169,655.61     0.000000% 12669AQW7     3.662657      0.000000    949.780123
                           X     140,263,026.63     0.674613% 12669AQX5     0.000000      0.429626    751.664572
                           B1      1,924,646.09     6.500000% 12669AQZ0     3.375595      5.209897    958.451628
                           B2        962,322.57     6.500000% 12669ARA4     3.375595      5.209897    958.451631
                           B3        962,321.60     6.500000% 12669ARB2     3.375595      5.209897    958.451628
                           B4        673,625.31     6.500000% 12669ARJ5     3.375595      5.209897    958.451623
                           B5        384,929.03     6.500000% 12669ARK2     3.375595      5.209898    958.451636
                           B6        384,928.72     6.500000% 12669ARL0     3.375597      5.209897    958.451604
Residual                   AR              0.00     6.500000% 12669AQY3     0.000000      0.000000      0.000000
- ------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------
Totals       -             -     155,972,826.76       -            -           -             -           -
- ------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------
</TABLE>


<PAGE>

          ------------------------------------------------------------
                   Independent National Mortgage Corporation
               Mortgage Pass-Through Certificates, Series 1998-G
                Residential Asset Securitization Trust, 1998-A7
          ------------------------------------------------------------

- --------------------------------------------------------------------------------
                             COLLATERAL INFORMATION
- --------------------------------------------------------------------------------
                                                             Total
                                                             -----
Aggregated stated principal balance  153,608,730.00   153,608,730.00
Aggregated loan count                          1027             1027
Aggregated average loan rate              7.483595%             7.48
Aggregated prepayment amount           1,816,663.59     1,816,663.59

- --------------------------------------------------------------------------------
                                FEES AND ADVANCES
- --------------------------------------------------------------------------------
                                                             Total
                                                             -----
Monthly master servicing fees             10,125.98        10,125.98
Monthly sub servicer fees                 32,494.34        32,494.34
Monthly trustee fees                       1,169.80         1,169.80


Aggregate advances                              N/A              N/A
Advances this periods                     15,392.57        15,392.57

- --------------------------------------------------------------------------------
                          LOSSES & INSURANCE COVERAGES
- --------------------------------------------------------------------------------

                                                             Total
                                                             -----
Net realized losses (this period)              0.00             0.00
Cumulative losses (from Cut-Off)               0.00             0.00

Coverage Amounts                                             Total
- ----------------                                             -----
Bankruptcy                                     0.00             0.00
Fraud                                          0.00             0.00
Special Hazard                                 0.00             0.00


                         Aggregate Certificate Information
   -----------------------------------------------------------------------------
   Class            Aggregate           Aggregate                     Aggregate
   Type            Percentage           Prepay Pct.              End Cert. Bal.
   -----------------------------------------------------------------------------
   Senior          100.000000%           100.000000%            155,972,826.76
   -----------------------------------------------------------------------------
   Junior            0.000000%             0.000000%                      0.00
   -----------------------------------------------------------------------------

- --------------------------------------------------------------------------------
                          DELINQUENCY INFORMATION
- --------------------------------------------------------------------------------
Period                             Loan Count    Ending Stated Balance
- ------                             ----------    ---------------------
30 to 59 days                           9                 1,588,169.13
60 to 89 days                           0                         0.00
90 or more                              0                         0.00
Foreclosure                             0                         0.00

Totals:                                 9                 1,588,169.13
- --------------------------------------------------------------------------------


<PAGE>
- --------------------------------------------------------------------------------
                                REO INFORMATION
- --------------------------------------------------------------------------------
   REO Date        Loan Number     Ending Stated Balance          Book Value
   --------        -----------     ---------------------          ----------
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   N/A              #                   0                            N/A
   Totals:                              0                            N/A

Current Total Outstanding Balance:                                      0.00
Current Total Outstanding Number of Loans:                                 0



<PAGE>
- --------------------------------------------------------------------------------
                               OTHER INFORMATION
- --------------------------------------------------------------------------------
                                  Amount/Withdrawal     Total/Ending Bal.
                                  -----------------     -----------------
Available remittance amount            3,286,883.30          3,286,883.30
Principal remittance amount            2,364,096.76          2,364,096.76
Interest remittance amount               922,786.54            922,786.54





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