CIT HOME EQUITY LOAN TRUST 1998-1
8-K, 1998-12-18
ASSET-BACKED SECURITIES
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                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549


                                   F O R M 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):  December 15, 1998
                                            --------------------------------


                        CIT Home Equity Loan Trust 1998-1
    ------------------------------------------------------------------------
              Exact name of registrant as specified in its charter)

                                    New York
    ------------------------------------------------------------------------
                 (State or other jurisdiction of incorporation)

            001-14393                                   22-3599147
    ------------------------------------------------------------------------
         (Commission File Number)         (IRS Employer Identification No.)

                    c/o The CIT Group/Consumer Finance, Inc.
                   650 CIT Drive, Livingston, New Jersey 07039
    ------------------------------------------------------------------------
              (Address of principal executive offices and zip code)


Registrant's telephone number, including area code:  (973) 740-5000
                                              ------------------------------

                                       N/A
    ------------------------------------------------------------------------
         (Former name or former address, if changed since last report.)


<PAGE>


Item 5.     Other Events.
            ------------
   
            On  December  15,  1998,  The Bank of New  York (a New York  Banking
Corporation),  as Trustee,  made the monthly  distribution to the holders of CIT
Home Equity  Loan Trust  1998-1,  Class A-1 5.88% Home Equity Loan Asset  Backed
Certificates,  Class A-2 6.01% Home Equity Loan Asset Backed Certificates, Class
A-3 6.08% Home  Equity  Loan  Asset  Backed  Certificates,  Class A-4 6.20% Home
Equity Loan Asset  Backed  Certificates,  Class A-5 6.36% Home Equity Loan Asset
Backed Certificates, Class A-6 6.70% Home Equity Loan Asset Backed Certificates,
Class A-7 6.30% Home  Equity  Loan  Asset  Backed  Certificates,  Class A-8 Home
Equity Loan Asset  Backed  Certificates,  Class M-1 6.44% Home Equity Loan Asset
Backed Certificates, Class M-2 6.72% Home Equity Loan Asset Backed Certificates,
and Class B-1 7.37% Home Equity Loan Asset Backed Certificates.


Item 7.     Financial Statements and Exhibits.
            ---------------------------------
   
            (c)   Exhibits.

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

      Exhibit No.       Description                         Page
      ----------        -----------                         ---- 

      28                Monthly Report delivered by            3
                        the Trustee to Certificateholders
                        in connection with distributions
                        on December 15, 1998

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 hereunto duly authorized.

                                       THE CIT GROUP/CONSUMER
                                       FINANCE, INC., as master servicer



                                       By: /s/ Frank J. Madeira
                                           --------------------
                                       Name:    Frank J. Madeira
                                       Title:   Vice President
Dated:  December 18, 1998
<PAGE>


                      THE CIT GROUP/CONSUMER FINANCE, INC.

                        CERTIFICATE OF SERVICING OFFICER



The undersigned  certifies that he is a Vice President of The CIT Group/Consumer
Finance, Inc., a corporation organized under the laws of Delaware ("CITCF"), and
that as such he is duly  authorized to execute and deliver this  certificate  on
behalf of CITCF pursuant to Section 6.02 of the Pooling and Servicing Agreement,
dated  as of July  1,  1998  (the  "Agreement"),  among  CITCF,  The  CIT  Group
Securitization  Corporation  III  and The  Bank Of New  York,  as  Trustee  (all
capitalized terms used herein without definition having the respective  meanings
specified in the Agreement), and further certifies that:

1. The Monthly  Report for the period from November 1, 1998 to November 31, 1998
   attached to this  certificate  is complete and accurate in accordance  with
   the requirements of Sections 6.01 and 6.02 of the Agreement; and

2. As of the date hereof, no Event of Termination or event that with notice or
   lapse of time or both would become an Event of Termination has
   occurred.


IN WITNESS  WHEREOF,  he has affixed  hereunto  his  signature  this 11th day of
December 1998.


                                   THE CIT GROUP/CONSUMER FINANCE, INC.


                                   BY /s/ Frank J. Madeira
                                      ---------------------------  
                                      Frank J. Madeira
                                      Vice President


<PAGE>


                                INDEX TO EXHIBITS

Exhibit No.                   Description
- - ----------                    -----------

20.1                          Monthly Reports with respect to
                              the December 15, 1998 distribution.


<TABLE>
<CAPTION>


                         CIT Home Equity Loan Trust 1998-1
       Home Equity Loan Asset Backed Certificates, Series 1998-1
                             Master Servicer's Certificate

                                                                                                       Due Period   11/30/98
                                                                                                       Determination12/10/98
                                                                                                       Distribution 12/15/98

<S>                                                                                <C>                     <C>       <C>    

I      Available in Certificate Account

       Principal collected on Mortgage Loans                                        5,411,499.17
       All Liquidation Proceeds with respect to Principal                                   0.00
       Recoveries on previously Liquidated Mortgages with respect to Principal              0.00
       Principal portion of Purchase Price on Repurchased Mortgage Loans              223,274.24
       Substitution Adjustment with respect to Principal                                    0.00

                               Principal Distribution Amount                        5,634,773.41

       Interest collected on Mortgage Loans                                         2,579,211.07
       Interest portion of Purchase Price on Repurchased Mortgage Loans                 1,348.95
       Recoveries on previously Liquidated Mortgages with respect to Interest               0.00
       Substitution Adjustment with respect to Interest                                     0.00
       Master Servicer Monthly Advances (net of Compensating Interest)                358,227.41
       Reimbursement of previous months Servicer Advances                            -199,485.04
       Compensating Interest                                                            2,569.71
       Investment Earnings on Certificate Account                                           0.00

                               Interest Remittance Amount                           2,741,872.10

       Amount not Required to be deposited                                               (425.84)

                               Total available in the Certificate Account                                            8,376,219.67


II     Distributions                                                             Per $ 1,000                             Amount
                                                                              -------------------              -------------------

1.     Aggregate Class A-1 Distribution                                          82.14286341                         5,010,714.67

2.     Aggregate Class A-2 Distribution                                           5.00833333                           190,316.67

3.     Aggregate Class A-3 Distribution                                           5.06666667                           228,000.00

4.     Aggregate Class A-4 Distribution                                           5.16666667                           129,166.67

5.     Aggregate Class A-5 Distribution                                           5.30000000                            58,300.00

6.     Aggregate Class A-6 Distribution                                           5.58333333                            60,702.00

7.     Aggregate Class A-7 Distribution                                           5.25000000                            99,750.00

8.     Aggregate Class A-8 Distribution                                          20.51468664                         1,052,752.17

9.     Aggregate Class IOX1 Distribution                                                                               292,385.17

10     Aggregate Class IOX2 Distribution                                                                               148,213.29

11.    Aggregate Class M-1 Distribution                                           5.36666667                           123,680.20

12.    Aggregate Class M-2 Distribution                                           5.60000000                           109,939.20

13.    Aggregate Class B-1 Distribution                                           6.14166667                            73,392.92

14.    Aggregate Class B-2 Distribution                                           6.66666667                            68,280.00

15.    Aggregate Class B-3 Distribution                                           6.66666667                            45,526.67

16.    Aggregate Class B-4 Distribution                                           6.66666667                            56,906.67

17.    Aggregate Master Servicer Distribution                                                                          207,160.41

18.    Aggregate Class R Distribution                                                                                  421,032.97


                                                        Total Distributions =                                        8,376,219.67

<PAGE>


III    Certificate Class Balances                                                  Factor %                             Amount
                                                                              -------------------              -------------------

       Opening Class A Certificate Balances as reported in prior
       Monthly Master Servicer Report:
                         (a)  Class A-1                                             74.12855070%                    45,218,415.93
                         (b)  Class A-2                                            100.00000000%                    38,000,000.00
                         (c)  Class A-3                                            100.00000000%                    45,000,000.00
                         (d)  Class A-4                                            100.00000000%                    25,000,000.00
                         (e)  Class A-5                                            100.00000000%                    11,000,000.00
                         (f)  Class A-6                                            100.00000000%                    10,872,000.00
                         (g)  Class A-7                                            100.00000000%                    19,000,000.00
                         (h)  Class A-8                                             92.13994530%                    47,283,455.73
                                                                                                               -------------------
                                                                                                                   241,373,871.66
       Opening Class M Certificate Balances as reported in prior
       Monthly Master Servicer Report
                         (a)  Class M-1                                            100.00000000%                    23,046,000.00
                         (b)  Class M.2                                            100.00000000%                    19,632,000.00
                                                                                                               -------------------
                                                                                                                    42,678,000.00

       Opening Class B Certificate Balances as reported in prior
       Monthly Master Servicer Report:
                         (a)  Class B-1                                            100.00000000%                    11,950,000.00
                         (b)  Class B-2                                            100.00000000%                    10,242,000.00
                         (c)  Class B-3                                            100.00000000%                     6,829,000.00
                         (d)  Class B-4                                            100.00000000%                     8,536,000.00
                                                                                                               -------------------
                                                                                                                    37,557,000.00

IV     Principal Distribution Amount

1.     Principal Remittance Amount                                                                     No.              Amount
                                                                                                     ------      -----------------
                         (a)  Stated principal collected                                                               442,561.30
                         (b)  Principal Prepayments                                                    90            4,968,937.87
                         (c)  Liquidation Proceeds                                                                           0.00
                         (d)  Repurchased Mortgage Loans                                                1              223,274.24
                         (e)  Substitution Adjustment related to Principal                                                   0.00
                                                                                                               -------------------
                         (f)   Recoveries on previously Liquidated Mortgages with respect to Principal                          0
                                                 Total Principal Distribution                                        5,634,773.41

2(a).  Class A Principal Distribution Amount
                                                                                 Per $ 1,000
                                                                              -------------------
                         1.   Class A-1                                          78.51056443                         4,789,144.43
                         2.  Class A-2                                            0.00000000                                 0.00
                         3.  Class A-3                                            0.00000000                                 0.00
                         4.  Class A-4                                            0.00000000                                 0.00
                         5.  Class A-5                                            0.00000000                                 0.00
                         6.  Class A-6                                            0.00000000                                 0.00
                         7.  Class A-7
                               (a)  Class A-7 Lockout Percentage                                       0.00%
                               (b)  Class A-7 Lockout Distribution Amount         0.00000000                                 0.00
                         8.  Class A-8                                           16.47853499                           845,628.98

2(b).  Class M Principal Distribution Amount
                         1.  Class M-1                                            0.00000000                                 0.00
                         2.  Class M-2                                            0.00000000                                 0.00

2(c).  Class B Principal Distribution Amount
                         1.  Class B-1                                            0.00000000                                 0.00
                         2.  Class B-2                                            0.00000000                                 0.00
                         3.  Class B-3                                            0.00000000                                 0.00
                         4.  Class B-4                                            0.00000000                                 0.00

2(d)   Class M Applied Realized Loss
                         1.  Class M-1                                            0.00000000                                 0.00
                         2.  Class M-2                                            0.00000000                                 0.00

2(e)   Class B Applied Realized Loss
                         1.  Class B-1                                            0.00000000                                 0.00
                         2.  Class B-2                                            0.00000000                                 0.00
                         3.  Class B-3                                            0.00000000                                 0.00
                         4.  Class B-4                                            0.00000000                                 0.00

                                                                                    Factor %                           Amount
                                                                              -------------------              -------------------
       Ending Class A Certificate Balances after distributions of
       principal in this Monthly Master Servicer Report:
                         (a)  Class A-1                                             66.27749426%                    40,429,271.50
                         (b)  Class A-2                                            100.00000000%                    38,000,000.00
                         (c)  Class A-3                                            100.00000000%                    45,000,000.00
                         (d)  Class A-4                                            100.00000000%                    25,000,000.00
<PAGE>

                         (e)  Class A-5                                            100.00000000%                    11,000,000.00
                         (f)  Class A-6                                            100.00000000%                    10,872,000.00
                         (g)  Class A-7                                            100.00000000%                    19,000,000.00
                         (h)  Class A-8                                             90.49209180%                    46,437,826.75
                                                                                                               -------------------
                                                                                                                   235,739,098.25

       Ending Class M Certificate Balances after distributions of
       principal in this Monthly Master Servicer Report:
                         (a)  Class M-1                                            100.00000000%                    23,046,000.00
                         (b)  Class M-2                                            100.00000000%                    19,632,000.00
                                                                                                               -------------------
                                                                                                                    42,678,000.00

       Ending Class B Certificate Balances after distributions of
       principal in this Monthly Master Servicer Report:
                         (a)  Class B-1                                            100.00000000%                    11,950,000.00
                         (b)  Class B-2                                            100.00000000%                    10,242,000.00
                         (b)  Class B-3                                            100.00000000%                     6,829,000.00
                         (b)  Class B-4                                            100.00000000%                     8,536,000.00
                                                                                                               -------------------
                                                                                                                    37,557,000.00

V      Interest Distribution Amount

       Fixed Rate Certificates

                         (b)  Fixed Rate Certificates applicable Pass-Through Rate
                                             1.     Class A-1                          5.88000%
                                             2.     Class A-2                          6.01000%
                                             3.     Class A-3                          6.08000%
                                             4.     Class A-4                          6.20000%
                                             5.     Class A-5                          6.36000%
                                             6.     Class A-6                          6.70000%
                                             7.     Class A-7                          6.30000%
                                             8.     Class M-1                          6.44000%
                                             9.     Class M-2                          6.72000%
                                            10.     Class B-1                          7.37000%
                                            11.     Class B-2                          8.00000%
                                            12.     Class B-3                          8.00000%
                                            12.     Class B-4                          8.00000%


       Variable Rate Certificates

                       (b)  LIBOR Rate                                                 5.27781%

                       (c)  Maximum Variable Rate                                     18.00000%

                       (d)  Variable Rate (Class A-8) applicable Pass Through Rate     5.43781%

       Interest Only Certificates

       The Lesser of :
       (a) Weighted Average Net Mortgage Rate of   9.329
       (b) 9.358%
                                                                                        Strip Rate               Component Rate
                       IO-X1  Class A-1                                                   2.170%                     1.279%
                       IO-X1  Class A-2                                                   2.040%                     1.279%
                       IO-X1  Class A-3                                                   1.970%                     1.279%
                       IO-X1  Class A-4                                                   1.850%                     1.279%
                       IO-X1  Class A-5                                                   1.690%                     1.279%
                       IO-X1  Class A-6                                                   1.350%                     1.279%
                       IO-X1  Class A-7                                                   1.750%                     1.279%
                       IO-X1  Class M-1                                                   1.610%                     1.279%
                       IO-X1  Class M-2                                                   1.330%                     1.279%
                       IO-X1  Class B-1                                                   0.680%                     1.279%
                       IO-X1  Class B-2                                                   0.050%                     1.279%
                       IO-X1  Class B-3                                                   0.050%                     1.279%
                       IO-X1  Class B-4                                                   0.050%                     1.279%

                       IO-X2  Class A-8                                                   0.000%                     3.891%

       INTEREST REMITTANCE AMOUNT
          1.  Interest collected on Mortgage Loans                                  2,579,211.07
          2.  Interest advanced on Mortgage Loans                                     158,742.37
          3.  Compensating Interest on Mortgage Loans                                   2,569.71
          4.  Substitution Adjustment interest                                              0.00
          5.  Purchase Price interest on repurchased accounts                           1,348.95
          6.  Liquidation Proceeds interest portion                                         0.00
          7.  Recoveries on previously Liquidated Mortgages with respect to Interest           0
                      TOTAL INTEREST REMITTANCE AMOUNT                                                               2,741,872.10



       Current Interest Requirement

                                             1.     Class A-1   @ applicable Pass-Through Rate                         221,570.24
                                             2.     Class A-2 @ applicable Pass-Through Rate                           190,316.67
                                             3.     Class A-3 @ applicable Pass-Through Rate                           228,000.00
                                             4.     Class A-4 @ applicable Pass-Through Rate                           129,166.67
                                             5.     Class A-5 @ applicable Pass-Through Rate                            58,300.00
                                             6.     Class A-6 @ applicable Pass-Through Rate                            60,702.00
                                             7.     Class A-7 @ applicable Pass-Through Rate                            99,750.00
                                             8.     Class A-8 @ applicable Pass-Through Rate                           207,123.19
                                             9.     Class A-8 Extra Interest  @ applicable Pass-Through Rate                 0.00
                                            10.     Class IOX1 @ applicable Strip Rate                                 292,385.17
                                            11.     Class IOX2  @ applicable Strip Rate                                148,213.29
                                            12.     Class M-1 @ applicable Pass-Through Rate                           123,680.20
                                            13.     Class M-2 @ applicable Pass-Through Rate                           109,939.20
                                            14.     Class B-1 @ applicable Pass-Through Rate                            73,392.92
                                            15.     Class B-2  @ applicable Pass-Through Rate                           68,280.00
                                            16.     Class B-3 @ applicable Pass-Through Rate                            45,526.67
                                            17.     Class B-4 @ applicable Pass-Through Rate                            56,906.67


       Interest Carry Forward Amount

                                             1.     Class A-1                           0.00
                                             2.     Class A-2                           0.00
                                             3.     Class A-3                           0.00
                                             4.     Class A-4                           0.00
                                             5.     Class A-5                           0.00
                                             6.     Class A-6                           0.00
                                             7.     Class A-7                           0.00
                                             8.     Class A-8                           0.00
                                             9.     Class IOX1                          0.00
                                            10.     Class IOX2                          0.00
                                            11.     Class M-1                           0.00
                                            12.     Class M-2                           0.00
                                            13.     Class B-1                           0.00
                                            14.     Class B-2                           0.00
                                            15.     Class B-3                           0.00
                                            16.     Class B-4                           0.00
                                            15.     Class B-4                           0.00


       Certificates Interest Distribution Amount
                                                                                 Per $ 1,000
                                                                              -------------------
                                             1.     Class A-1                     3.63229898                           221,570.24
                                             2.     Class A-2                     5.00833333                           190,316.67
                                             3.     Class A-3                     5.06666667                           228,000.00
                                             4.     Class A-4                     5.16666667                           129,166.67
                                             5.     Class A-5                     5.30000000                            58,300.00
                                             6.     Class A-6                     5.58333333                            60,702.00
                                             7.     Class A-7                     5.25000000                            99,750.00
                                             8.     Class A-8                     4.03615166                           207,123.19
                                             9.     Class IOX1                                                         292,385.17
                                            10.     Class IOX2                                                         148,213.29
                                            11.     Class M-1                     5.36666667                           123,680.20
                                            12.     Class M-2                     5.60000000                           109,939.20
                                            13.     Class B-1                     6.14166667                            73,392.92
                                            14.     Class B-2                     6.66666667                            68,280.00
                                            15.     Class B-3                     6.66666667                            45,526.67
                                            16.     Class B-4                     6.66666667                            56,906.67
                                                                                                               -------------------
                                                                                                                     2,113,252.88

VI     Trigger Information

                     1.  (a)  Delinquency Trigger percentage                                          2.44%
                          (b)  Delinquency Trigger in effect ?                                        NO

                     2.  (a)  Specified Senior Enhancement Percentage                                47.00%
                          (b)  Senior Enhancement Percentage                                         25.39%

VII    Pool Information                                                                               No.                Amount
                                                                                                    ------        -----------------

                         (a)  Closing Mortgage Loan Principal Balance:
                                 1.  Fixed Rate                                                     4,577            269,536,709.02
                                 2.  Adjustable Rate                                                  523             46,437,900.45

                                         Total Closing Mortgage Loan Principal Balance:             5,100            315,974,609.47

                         (b)  Weighted Average Mortgage Rate:
                                 1.  Fixed Rate                                                                            9.852%
                                 2.  Adjustable Rate                                                                       9.645%

                                         Total  Weighted Average Mortgage Rate                                             9.822%

                         (c)  Weighted Average Net Mortgage Rate:                                                          9.322%

                         (d)  Weighted Average Remaining Maturity:
                                 1.  Fixed Rate                                                                            267.94
                                 2.  Adjustable Rate                                                                       346.93

                         (e)  Weighted Average Original Maturity:
                                 1.  Fixed Rate                                                                            276.16
                                 2.  Adjustable Rate                                                                       355.17


VIII   Delinquency Information                                                                    No.      %           Amount
                                                                                                 ---------------------------------

       A.  Fixed Rate Mortgage Loans:
                         (a)  Delinquent Contracts:
                                             1.    31 - 59 Day Accounts                           152    3.08%       8,298,063.34
                                             2.    60 - 89 Day Accounts                           60     1.14%       3,068,703.16
                                             3.    90 - 119 Day Accounts                          22     0.43%       1,172,307.05
                                             4.    120 +  Day Accounts                            38     0.78%       2,098,265.90

                         (b)  Mortgage Loans - In Foreclosure                                      8     0.13%         343,685.25
                         (c)  REO Property Accounts                                                1     0.02%          63,977.42

       B.  Adjustable Rate Mortgage Loans:
                         (a)  Delinquent Contracts:
                                             1.    31 - 59 Day Accounts                           27     4.60%       2,135,228.89
                                             2.    60 - 89 Day Accounts                           11     1.64%         763,526.34
                                             3.    90 - 119 Day Accounts                           6     0.69%         321,871.28
                                             4.    120 +  Day Accounts                             9     0.94%         437,097.73

                         (b)  Mortgage Loans - In Foreclosure                                      4     0.49%         225,971.13
                         (c)  REO Property Accounts                                                0     0.00%               0.00

       C.  Total For All Mortgage Loans
                         (a)  Delinquent Contracts:
                                             1.    31 - 59 Day Accounts                           179    3.30%      10,433,292.23
                                             2.    60 - 89 Day Accounts                           71     1.21%       3,832,229.50
                                             3.    90 - 119 Day Accounts                          28     0.47%       1,494,178.33
                                             4.    120 +  Day Accounts                            47     0.80%       2,535,363.63

                         (b)  Mortgage Loans - In Foreclosure                                     12     0.18%         569,656.38
                         (c)  REO Property Accounts                                                1     0.02%          63,977.42



IX     Realized Losses                                                                            No.                 Amount
                                                                                                ------         -------------------

             1.   (a)  Gross Realized Losses during the period                                     0                         0.00

                  (b)  Realized Losses during the period
                                 1.   Fixed Rate                                                                                0
                                 2.  Adjustable Rate                                                                         0.00
                                                                                                                                0
                                                Total

                  (c)  Cumulative Gross Realized Losses                                            0                         0.00

                  (d)  Cumulative Realized Losses
                                 1.   Fixed Rate                                                                             0.00
                                 2.  Adjustable Rate                                                                         0.00

                                                Total                                                                        0.00

                  (e)  Cumulative Applied Realized Losses

                                           i.  Class B-4                                                                        0
                                          ii.  Class B-3                                                                        0
                                         iii.  Class B-2                                                                        0
X                                        iv.  Class B-1                                                                      0.00
                                          v.  Class M-2                                                                      0.00
                                         vi.  Class M-1                                                                         0

       Miscellaneous Information

       1.    (a)  Monthly Master Servicer Fee

                                           i.  Monthly Servicing Fee                                                  134003.9092
                                          ii.  Mortgage Fees                                                              73156.5
        
             (b)  Amount of prior unpaid Master Servicing Fees paid with this distribution                                      0

             (c)  Total Master Servicing Fees paid with this distribution                                             207160.4092

                                                                                                               -------------------
             (d)  Amount of unpaid Master Servicing Fees as of this distribution                                             0.00


       2.    (a)  Opening Master Servicer Advance Balance                                                              1210751.77

             (b)  Current Advance (exclusive of Compensating Interest)                                                  358227.41

             (c)  Reimbursement of prior Master Servicer Advances                                                      -199485.04

             (d)  Ending Master Servicer Advance Balance                                                               1369494.14


       3.   Current period Compensating Interest                                                                          2569.71
</TABLE>


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