GREENPOINT CREDIT LLC
8-K, 2000-03-28
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 report): February 29, 2000



                            GREENPOINT CREDIT, LLC
- --------------------------------------------------------------------------------
              (exact name of registrant as specified in charter)


                                   DELAWARE
- --------------------------------------------------------------------------------
                (state or other jurisdiction of incorporation)


                                   333-59731
- --------------------------------------------------------------------------------
                           (commission file number)


                                  33-0862379
- --------------------------------------------------------------------------------
                   (I..R.S. employer identification number)


                            10089 WILLOW CREEK ROAD
                         SAN DIEGO, CALIFORNIA  92131
                                (858) 530-9394
- --------------------------------------------------------------------------------
  (address and telephone number of registrant's principal executive offices)

    Item 5.  Other Events

       (a)   Monthly Report


    The following are filed herewith.  The exhibit numbers correspond with Item
    601 (b) of Regulation S-K.

       Exhibit No.       Description

      * 1.               Underwriting Agreement, dated November 17, 1998,
                         between Greenpoint Credit, LLC, as Contract Seller and
                         Credit Suisse First Boston, as the representative of
                         the several Underwriters

      * 4.               Pooling and Servicing Agreement, dated as of November
                         1, 1998, between Greenpoint Credit, LLC, as Contract
                         Seller and Servicer and The First National Bank of
                         Chicago as Trustee.

       99.               Monthly Investor Servicing Report.


      ------------
      *      Filed previously with the commission on November 30, 1998 as an
      exhibit to a report on Form 8-K.







    SIGNATURES

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

                         GREENPOINT CREDIT

                         BY:      /s/ Charles O. Ryan
                            ---------------------------------
                            Name:   Charles O. Ryan
                            Title:  Vice President

                            Dated:  March 25, 2000
                                  ---------------------------
                                    San Diego, California


GREENPOINT MANUFACTURED HOUSING CONTRACT TRUST
PASS THROUGH CERTIFICATES
SERIES 1998-1

                           MONTHLY REPORT - COMBINED

Determination Date:                       10-Mar-00
Remittance Date:                          15-Mar-00
Month End Date:                           29-Feb-00
<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
<S>              <C>                                                                      <C>                  <C>
(a)              Class I A Distribution Amount                                                                       5,109,557.17

(b)              Class I A Distribution Principal                                                                    2,747,501.47
                           Scheduled Payments of Principal                                       594,494.45
                           Partial Prepayments                                                   186,737.09
                           Scheduled Principal Balance Principal Prepayment in Full              845,399.12
                           Scheduled Principal Balance Liquidated Contracts                    1,120,870.81
                           Scheduled Principal Balance Repurchases                                     0.00

(c)              Class I A Interest Distribution                                                                     2,362,055.70
                 Class I A Interest Shortfall                                                                                0.00

(d)              Class I A Remaining Certificate Balance                                                           424,451,720.01
                 Class II A Remaining Certificate Balance                                                          213,873,161.09

(e)              Class II A Distribution Amount                                                                      3,072,760.34

(f)              Class II A Distribution Principal                                                                   1,950,507.24
                            Scheduled Payments of Principal                                      231,880.74
                            Partial Prepayments                                                   75,213.33
                            Scheduled Principal Balance Principal Prepayment in Full             484,207.92
                            Scheduled Principal Balance Liquidated Contracts                   1,159,205.25
                            Scheduled Principal Balance Repurchases                                    0.00

(g)              Class II A Interest Distribution                                                                    1,122,253.10
                 Class II A Interest Shortfall                                                                               0.00

(h)              Class I A Pass Through Rate                                                                            6.635000%
                 Class II A Pass Through Rate                                                                           6.455000%

(i)              Monthly Servicing Fee Class I A                                                                       355,999.35
                 Monthly Servicing Fee Class II A                                                                      179,853.06

(j)              Delinquency                                                         # of Contracts               Prin. Balance
                                                                                     --------------              ----------------
                            a)  One Monthly Payment Delinquent                             258                       9,582,597.08
                            b)  Two Monthly Payments                                        81                       3,095,199.72
                            c)  Three or more Monthly Payments                             128                       5,746,446.59
                                                                                     --------------              ----------------
                                                                                           467                      18,424,243.39
                                                                                     ==============              ================

(k)              Repurchased Contracts                                               # of Contracts              Repurchase Price
                 (see attached)                                                      --------------              ----------------
                                               Total Repurchases                             0                               0.00
                                                                                     ==============              ================

(l)              Repossessions or Foreclosures                                           Number                   Actual Balance
                                                                                     --------------              ----------------
                                               BOP Repossessions                           327                    $ 12,839,350.92
                                               Plus Repossessions this Month                77                       2,922,233.50
                                               Less Liquidations                           (74)                     (2,391,538.98)
                                                                                     --------------              ----------------
                                               EOP Repossessions                           330                    $ 13,370,045.44
                                                                                     ==============              ================

(m)              Group I Enhancement Payment                                                                            63,915.68
                 Group II Enhancement Payment                                                                          244,273.17

(n)              Monthly Advance Group I                                                                               (91,642.76)
                 Outstanding Amount Advanced Group I                                                                 1,944,747.97
                 Monthly Advance Group II                                                                              (27,612.61)
                 Outstanding Amount Advanced Group II                                                                  970,197.52

(o)              Group I Deposit to Special Account/ (Group I Withdrawal from Special Account)                               0.00
                 Group II Deposit to Special Account/ (Group II Withdrawal from Special Account)                             0.00

(p)              Amount Distributed to Class R Certificateholders                                                            0.00

(q)              Net Weighted Average Contract Rate Group I                                                                  9.44%
                 Net Weighted Average Contract Rate Group II                                                                 9.04%

( r)             Group I Pool Principal Balance percentage                                                              88.802249%
                 Group II Pool Principal Balance percentage                                                             85.635305%

(s)              Aggregate Deficiency Amounts                                                                           29,549.15
                 Servicer Deficiency Amounts received                                                                   10,342.20

(t)              Net Funds Carryover Amount paid to Class II A Certificateholders                                            0.00
                 Net Funds Carryover Amount remaining                                                                        0.00

</TABLE>


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