MORGAN STANLEY CAPITAL I INC HOME EQ LN AS BK CER SER 1999-2
8-K, 1999-11-08
ASSET-BACKED SECURITIES
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                                  UNITED STATES
                       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):  October 25, 1999

                          BANC ONE FINANCIAL SERVICES
                         Home Equity Loan Trust 1999-2



New York (governing law of          333-62911-06   52-2182699
Pooling and Servicing Agreement)    (Commission    IRS EIN
(State or other                     File Number)
jurisdiction


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


       Registrant's telephone number, including area code:  (410) 884-2000


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


ITEM 5.  Other Events

On October 25, 1999 a distribution was made to holders of BANC ONE FINANCIAL
Services Home Equity Loan Trust 1999-2




  ITEM 7.  Financial Statements and Exhibits

        (c)  Exhibits furnished in accordance with Item 601(a) of
             Regulation S-K

             Exhibit Number                      Description
                                 Monthly report distributed to holders of
             EX-99.1             BANC ONE FINANCIAL Services Home Equity Loan
                                 Trust 1999-2, relating to the October 25,
                                 1999 distribution.


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



                          BANC ONE FINANCIAL SERVICES
                         Home Equity Loan Trust 1999-2

              By:   Norwest Bank Minnesota, N.A., as Trustee
              By:   /s/ Edward Frere, Vice President
              By:   Edward Frere, Vice President
              Date: 11/05/1999


                                INDEX TO EXHIBITS

Exhibit Number                   Description

EX-99.1        Monthly report distributed to holders of Banc One Financial
               Services Home Equity Loan Trust 1999-2, relating to the
               October 25, 1999 distribution.









Banc One Financial Services Home Equity Loan Trust 1999-2
Monthly Servicing Report
For the Collection & Interest Period Ending 09/30/1999
For Distribution on 10/25/1999
<TABLE>

A. CURRENT PERIOD COLLECTIONS & OTHER AMOUNTS
<S>                                                                         <C>
(A) Principal and Interest Collections
(i) Interest Collections                                                    $3,453,085.41
(ii) Principal Collections                                                  $1,063,488.25
(iii) Principal Curtailments                                                  $134,007.03
(iv) Principal Prepayments in Full                                          $8,870,006.66
(v) Count Principal Prepayments in Full                                            149

(B) Net Liquidation Proceeds net of related Foreclosure Profits                     $0.00
(C) Insurance Proceeds to extent not included in Net Liquidation Proceeds           $0.00
(D) Proceeds from Loan Repurchases or Substitution Adjustments                      $0.00
(E) Released Mortgaged Property Proceeds                                            $0.00
(F) Other Amounts
(i) Net REO Revenue                                                                 $0.00
(ii) Compensating Interest                                                          $0.00
(iii) Net Loss on Eligible Investments                                              $0.00

(G) Monthly Advance                                                           $374,210.96

(H) Termination Price                                                               $0.00

(I) Total Collections (A+B+C+D+E+F+G+H)                                    $13,894,798.31

(J) Civil Relief Act Shortfall                                                      $0.00
(K) Prepayment Interest Shortfall                                                   $0.00

B. CURRENT PERIOD DELINQUENCIES & LIQUIDATION LOAN LOSSES
(A) Delinquent Loans, REO, Foreclosures and Bankruptcies                          Count           Amount           Percentage
(i)  30-59 Days Delinquent                                                          98      $6,686,849.74             1.893%
(ii)  60-89 Days Delinquent                                                         39      $2,545,258.78             0.721%
(iii) 90 Days or More Delinquent                                                    53      $3,436,976.38             0.973%
(iv) Loans Entering REO at end of Collection Period                                  2        $131,939.31             0.037%
(v) Loans in Foreclosure                                                             0              $0.00             0.000%
(vi) Loans in Bankruptcy or Insolvency Proceedings                                   0              $0.00             0.000%
(vii) Total 60+ including REO, Foreclosure & Bankruptcy                             94      $6,114,174.47             1.731%
(viii) Total 90+ including REO, Foreclosure & Bankruptcy                            55      $3,568,915.69             1.011%

(B) Liquidation Losses                                                                              $0.00             0.000%

C. CURRENT PERIOD INSURED PAYMENTS
(A) Required Payments                                                       $1,928,128.49
(B) Net Available Distribution Amount                                      $13,676,631.34
(C) Insured or Deficiency Amount (max(0,(A-B))                                      $0.00
(D) Preference Amount                                                               $0.00
(E) Insured Payments (C+D)                                                          $0.00

D. CURRENT PERIOD FORMULA PRINCIPAL DISTRIBUTION AMOUNT
(A) Principal Distributable Amount
(i) Total Principal Collections                                            $10,067,501.94
(ii) plus Principal Balance of Liquidated Home Equity Loans                         $0.00
(iii) plus Insurance Proceeds received                                              $0.00
(iv) plus Portion of Purchase Price allocable to Principal of Defective
     Home Equity loans                                                              $0.00
(v) plus Principal Portion of Substitution Adjustments not
    previously distributed                                                          $0.00
(vi) equals Total Principal Distributable Amount                           $10,067,501.94

(B) Unpaid Principal Shortfall                                                      $0.00

(C) Formula Principal Distribution Amount (A+B)                            $10,067,501.94
(D) Formula Principal Distribution Amount required to maintain OC          $10,067,501.94
(E) Class A-7 Priority Amount                                                       $0.00

E. CURRENT PERIOD AVAILABLE FUNDS
(A) Total Collections                                                      $13,894,798.31
(B) Master Service Fee                                                        $151,344.11
(C) Available Funds                                                        $13,743,454.20
(D) Insured Payments                                                                $0.00
(E) Total Available Funds and Insured Payments                             $13,743,454.20
</TABLE>

<TABLE>

F. WATERFALL AMOUNTS                                                      REMAINING               REMAINING          TOTAL REMAINING
                                                                         AVAILABLE FUNDS         AVAILABLE FUNDS     AVAILABLE FUNDS
                                                                        (interest only)          (principal only)

<S>                                                                   <C>                 <C>                         <C>
 (A) Trustee Fee and Premium Amount:                                        $3,675,952.26      $10,067,501.94         $13,743,454.20

 (i) Trustee Fee                                             $4,086.29      $3,671,865.97
 (ii) Premium Amount                                        $62,736.57      $3,609,129.40

 (B) Accrued and Unpaid Master Servicing Fee:                    $0.00      $3,609,129.40

 (C) Current Monthly Interest Amounts:
(i) Class A-1 Certificate
(a)  Current Monthly Interest Amount Due                   $818,920.55
(b)  Current Monthly Interest Amount Paid                  $818,920.55
(c)  Interest Shortfall                                          $0.00
(ii) Class A-2 Certificate
(a)  Current Monthly Interest Amount Due                   $314,363.10
(b)  Current Monthly Interest Amount Paid                  $314,363.10
(c)  Interest Shortfall                                          $0.00
(iii) Class A-3 Certificate
(a)  Current Monthly Interest Amount Due                   $272,875.02
(b)  Current Monthly Interest Amount Paid                  $272,875.02
(c)  Interest Shortfall                                          $0.00
(iv) Class A-4 Certificate
(a)  Current Monthly Interest Amount Due                    $91,140.33
(b)  Current Monthly Interest Amount Paid                   $91,140.33
(c)  Interest Shortfall                                          $0.00
(v) Class A-5 Certificate
(a)  Current Monthly Interest Amount Due                   $122,643.53
(b)  Current Monthly Interest Amount Paid                  $122,643.53
(c)  Interest Shortfall                                          $0.00
(vi) Class A-6 Certificate
(a)  Current Monthly Interest Amount Due                    $75,362.50
(b)  Current Monthly Interest Amount Paid                   $75,362.50
(c)  Interest Shortfall                                          $0.00
(vii) Class A-7 Certificate
(a)  Current Monthly Interest Amount Due                   $232,823.47
(b)  Current Monthly Interest Amount Paid                  $232,823.47
(c)  Interest Shortfall                                          $0.00

(viii) Total Current Monthly Interest Amount Due         $1,928,128.49
(ix) Total Current Montly Interest Amount Paid           $1,928,128.49             $1,681,000.91
(x) Total Interest Shortfall                                     $0.00

 (D) Unpaid Interest Shortfall and Interest on Unpaid Interest Shortfall:
(i) Class A-1 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00
(ii) Class A-2 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00
(iii) Class A-3 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00
(iv) Class A-4 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00
(v) Class A-5 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00
(vi) Class A-6 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00
(vii) Class A-7 Certificate
    (a)  Unpaid Interest Shortfall Due                           $0.00
    (b)  Unpaid Interest Shortfall Paid                          $0.00
    (c)  Remaining Unpaid Interest Shortalls                     $0.00

(viii) Total Unpaid Interest Shortfall Due                       $0.00
(ix)  Total Unpaid Interest Shortfall Paid                       $0.00             $1,681,000.91
(x) Total Remaining Unpaid Interest Shortfall                    $0.00

 (E) Monthly Principal Distribution:
(i) Class A-7 Certificate Priority Amount                        $0.00
(ii) Class A-1 Certificate                              $10,067,501.94
(iii) Class A-2 Certificate                                      $0.00
(iv) Class A-3 Certificate                                       $0.00
(v) Class A-4 Certificate                                        $0.00
(vi) Class A-5 Certificate                                       $0.00
(vii) Class A-6 Certificate                                      $0.00
(viii) Other Class A-7 Certificate Amounts                       $0.00

(vi) Total Monthly Principal Distribution               $10,067,501.94                                  $0.00

 (F) Reimbursement Amount owed to Certificate
     Insurer:                                                    $0.00             $1,681,000.91

 (G) Non Recoverable Advances not previously
     reimbursed to Master Servicer:                              $0.00             $1,681,000.91

 (H) Excess Spread:                                      $1,681,000.91

 (I) Distributable Excess Spread Allocation:
(i) Class A-1 Certificate                                $1,681,000.91
(ii) Class A-2 Certificate                                       $0.00
(iii) Class A-3 Certificate                                      $0.00
(iv) Class A-4 Certificate                                       $0.00
(v) Class A-5 Certificate                                        $0.00
(vi) Class A-6 Certificate                                       $0.00
(vii) Class A-7 Certificate                                      $0.00

(viii) Total Certificate  Distributable
       Excess Spread                                     $1,681,000.91                     $0.00

 (J) Other Amounts owed to Certificate Insurer:                  $0.00                     $0.00

 (K) Prepayment Interest Shortfall owed to Certificateholders
(i) Class A-1 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00
(ii) Class A-2 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00
(iii) Class A-3 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00
(iv) Class A-4 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00
(v) Class A-5 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00
(vi) Class A-6 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00
(vii) Class A-7 Certificate
    (a)  Prepayment Interest Shortfall Due                       $0.00
    (b)  Prepayment Interest Shortfall Paid                      $0.00
    (c)  Remaining Prepayment Interest Shortfall                 $0.00

(viii) Total Prepayment Interest Shortfall Due                   $0.00
(ix) Total Prepayment Interest Shortfall Paid                    $0.00                     $0.00
(x) Total Remaining Prepayment Interest Shortfall                $0.00

 (L) Other Amounts owed to Master Servicer
(i) Reimbursement of Compensating Interest                       $0.00                     $0.00
(ii) Reimbursement of Unreimbursed Servicing Advances            $0.00                     $0.00
(iii) Reimbursement of Unreimbursed Monthly Advances             $0.00                     $0.00

 (M) Other termination/transfer amounts due to Trustee           $0.00                     $0.00

 (N) Amount released to Class R Certificateholder                $0.00

G. CALCULATION OF OC TARGET AMOUNT
(A) Twelve Month Average Monthly Loss Rate (Not applicable until 12th
    Distribution Date                                                                0.000%
(B) Is Rolling Twelve Month Loss Rate greater than Trigger Values?                  No

(C) Cumulative Loss Rate                                                             0.000%
(D) Is Cumulative Loss Rate greater than 6.50%?                                     No

(E) Has OC Stepdown Date been reached?                                              No

(F) Overcollateralization Target Amount                                    $30,157,340.74

H. COMPARATIVE POOL AND CERTIFICATE CHARACTERISTICS
                                                               Begin of Collection Period                   End of Collection Period
(A) Certificate Balances and Factors
(i) Class A-1 Certificate Balance                                         $152,121,463.97                            $140,372,961.12
(ii) Class A-1 Certificate Factor                                               0.8290721                                  0.7650420
(iii) Class A-2 Certificate Balance                                        $56,388,000.00                             $56,388,000.00
(iv) Class A-2 Certificate Factor                                               1.0000000                                  1.0000000
(v) Class A-3 Certificate Balance                                          $47,183,000.00                             $47,183,000.00
(vi) Class A-3 Certificate Factor                                               1.0000000                                  1.0000000
(vii) Class A-4 Certificate Balance                                        $15,404,000.00                             $15,404,000.00
(viii) Class A-4 Certificate Factor                                             1.0000000                                  1.0000000
(ix) Class A-5 Certificate Balance                                         $20,133,000.00                             $20,133,000.00
(x) Class A-5 Certificate Factor                                                1.0000000                                  1.0000000
(xi) Class A-6 Certificate Balance                                         $12,058,000.00                             $12,058,000.00
(xii) Class A-6 Certificate Factor                                              1.0000000                                  1.0000000
(xiii) Class A-7 Certificate Balance                                       $38,912,000.00                             $38,912,000.00
(xiv) Class A-7 Certificate Factor                                              1.0000000                                  1.0000000
(xv) Aggregate Certificate Balance                                        $342,199,463.97                            $330,450,961.12
(xvi) Aggregate Certificate Factor                                              0.9160446                                  0.8845947

(B) Collateral Pool
(i)  Pool Principal Balance                                               $363,225,856.22                            $353,158,354.28
(ii)  Weighted Average Loan Rate                                                  11.775%                                    11.766%
(iii)  Weighted Average Original Term (months)                                     213.00                                     213.00
(iv)  Weighted Average Remaining Term (months)                                     207.96                                     206.92
(v)  Loan Count                                                                     6,583                                      6,434
(vi)  3 Largest Loan Pool Balances                                          $1,129,667.47                              $1,127,595.45

(C) Overcollateralization Amount                                           $21,026,392.25                             $22,707,393.16

I. MASTER SERVICER TERMINATION & OTHER TRIGGER TESTS
(A) Rolling Twelve Month Loss Rate                                                   0.000%
(B) Is Rolling Twelve Month Loss Rate greater than 4.00%?                           No

(C) Six Month Average of Pool Delinquency Rate (Not applicable until 6th Distribution0.289%
(D) Is Rolling Six Month Delinquency Rate greater than 5.00%?                       No

(E) Has Deposit Event Occurred?                                                     No


J. SUMMARY STATEMENT OF AMOUNTS DUE TO CERTIFICATEHOLDERS
(A) Amount of distribution allocable to Current Monthly Interest & Unpaid Interest Shortfall
                                                                          Dollars        Per $1000 of
                                                                                     Original Certificate
                                                                                          Principal
(i) Class A-1 Certificate                                            $818,920.55          4.46317144
(ii) Class A-2 Certificate                                           $314,363.10          5.57500000
(iii) Class A-3 Certificate                                          $272,875.02          5.78333333
(iv) Class A-4 Certificate                                            $91,140.33          5.91666667
(v) Class A-5 Certificate                                            $122,643.53          6.09166667
(vi) Class A-6 Certificate                                            $75,362.50          6.25000000
(vii) Class A-7 Certificate                                          $232,823.47          5.98333333
(v) Total                                                          $1,928,128.49          5.16146848

(B) Amount of distribution allocable to Formula Principal Distributable Amount
(i) Class A-1 Certificate                                         $10,067,501.94         54.86855497
(ii) Class A-2 Certificate                                                 $0.00          0.00000000
(iii) Class A-3 Certificate                                                $0.00          0.00000000
(iv) Class A-4 Certificate                                                 $0.00          0.00000000
(v) Class A-5 Certificate                                                  $0.00          0.00000000
(vi) Class A-6 Certificate                                                 $0.00          0.00000000
(vii) Class A-7 Certificate                                                $0.00          0.00000000
(v) Total                                                         $10,067,501.94         26.95001617

(C) Amount of distribution allocable to Distributable Excess Spread
(i) Class A-1 Certificate                                          $1,681,000.91          9.16156676
(ii) Class A-2 Certificate                                                 $0.00          0.00000000
(iii) Class A-3 Certificate                                                $0.00          0.00000000
(iv) Class A-4 Certificate                                                 $0.00          0.00000000
(v) Class A-5 Certificate                                                  $0.00          0.00000000
(vi) Class A-6 Certificate                                                 $0.00          0.00000000
(vii) Class A-7 Certificate                                                $0.00          0.00000000
(v) Total                                                          $1,681,000.91          4.49992482

(D) Amount of distribution allocable to Prepayment Interest Shortfall
(i) Class A-1 Certificate                                                  $0.00          0.00000000
(ii) Class A-2 Certificate                                                 $0.00          0.00000000
(iii) Class A-3 Certificate                                                $0.00          0.00000000
(iv) Class A-4 Certificate                                                 $0.00          0.00000000
(v) Class A-5 Certificate                                                  $0.00          0.00000000
(vi) Class A-6 Certificate                                                 $0.00          0.00000000
(vii) Class A-7 Certificate                                                $0.00          0.00000000
(v) Total                                                                  $0.00          0.00000000

(E) Total Principal and Interest Distributed to Certificateholders
(i) Class A-1 Certificate                                         $12,567,423.40         68.49329316
(ii) Class A-2 Certificate                                           $314,363.10          5.57500000
(iii) Class A-3 Certificate                                          $272,875.02          5.78333333
(iv) Class A-4 Certificate                                            $91,140.33          5.91666667
(v) Class A-5 Certificate                                            $122,643.53          6.09166667
(vi) Class A-6 Certificate                                            $75,362.50          6.25000000
(vii) Class A-7 Certificate                                          $232,823.47          5.98333333
(v) Total                                                         $13,676,631.34         36.61140947

</TABLE>



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