MORGAN STANLEY CAPITAL I INC HOME EQ LN AS BK CER SER 1999-2
8-K, EX-99.1, 2000-09-25
ASSET-BACKED SECURITIES
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Banc One Financial Services Home Equity Loan Trust 1999-2
Monthly Servicing Report
For the Collection & Interest Period Ending  8/31/2000
For Distribution on 09/25/2000
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A. CURRENT PERIOD COLLECTIONS & OTHER AMOUNTS
(A) Principal and Interest Collections
    (i) Interest Collections                                                    $2,567,020.34
    (ii) Principal Collections                                                    $665,238.90
    (iii) Principal Curtailments                                                  $142,283.14
    (iv) Principal Prepayments in Full                                          $6,778,772.80
    (v) Count Principal Prepayments in Full                                               138
(B) Net Liquidation Proceeds net of related Foreclosure Profits                   $176,766.73
(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                                                               $520,989.53
(H) Termination Price                                                                   $0.00
(I) Total Collections (A+B+C+D+E+F+G+H)                                        $10,851,071.44
(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 Bankruptcy               Count             Amount         Percentage
    (i)  30-59 Days Delinquent                                         258     $13,035,496.70             4.974%
    (ii)  60-89 Days Delinquent                                        113      $5,145,585.58             1.963%
    (iii) 90 Days or More Delinquent                                   310     $19,354,705.61             7.385%
    (iv) Loans in REO status at end of Collection Period                37      $2,633,331.66             1.005%
    (v) Loans in Foreclosure                                           185     $12,911,131.91             4.926%
    (vi) Loans in Bankruptcy or Insolvency Proceedings                 109      $5,802,713.78             2.214%
    (vii) Total 60+ including REO, Foreclosure & Bankruptcy            423     $24,500,291.19             9.348%
    (viii) Total 90+ including REO, Foreclosure & Bankruptcy           310     $19,354,705.61             7.385%

(B) Liquidation Losses / Monthly Loss Rate (Annualized)                           $698,804.95             3.099%


C. CURRENT PERIOD INSURED PAYMENTS
(A) Required Payments                                                                             $1,380,101.77
(B) Net Available Distribution Amount                                                            $10,692,774.17
(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                                                               $7,586,294.84
    (ii) plus Principal Balance of Liquidated Home Equity Loans                                     $875,571.68
    (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                                              $8,461,866.52

(B) Unpaid Principal Shortfall                                                                            $0.00

(C) Formula Principal Distribution Amount (A+B)                                                   $8,461,866.52
(D) Formula Principal Distribution Amount required to maintain OC                                 $8,461,866.52
(E) Class A-7 Priority Amount                                                                             $0.00

E. CURRENT PERIOD AVAILABLE FUNDS
(A) Total Collections                                                                            $10,851,071.44
(B) Master Service Fee                                                                              $112,731.74
(C) Available Funds                                                                              $10,738,339.70
(D) Insured Payments                                                                                      $0.00
(E) Total Available Funds and Insured Payments                                                   $10,738,339.70


F. WATERFALL AMOUNTS


    (i) Trustee Fee                                              $3,043.76
    (ii) Premium Amount                                         $42,521.78

(B) Accrued and Unpaid Master Servicing Fee:                         $0.00

(C) Current Monthly Interest Amounts:
    (i) Class A-1 Certificate
        (a)  Current Monthly Interest Amount Due               $270,893.83
        (b)  Current Monthly Interest Amount Paid              $270,893.83
        (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         $1,380,101.77
    (ix) Total Current Montly Interest Amount Paid           $1,380,101.77
    (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
    (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                               $8,461,866.52
    (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
    (ix) Total Monthly Principal Distribution                $8,461,866.52

(F) Reimbursement Amount owed to Certificate Insurer:                $0.00

(G) Non Recoverable Advances not previously reimbursed
    to Master Servicer:                                              $0.00

(H) Excess Spread:                                             $850,805.88

(I) Distributable Excess Spread Allocation:
    (i) Class A-1 Certificate                                        $0.00
    (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            $0.00

(J) Other Amounts owed to Certificate Insurer:                       $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
    (x) Total Remaining Prepayment Interest Shortfall                $0.00

(L) Other Amounts owed to Master Servicer
    (i) Reimbursement of Compensating Interest                       $0.00
    (ii) Reimbursement of Unreimbursed Servicing Advances            $0.00
    (iii) Reimbursement of Unreimbursed Monthly Advances       $520,989.53

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

(N) Amount released to Class R Certificateholder                $329,816.35

G. CALCULATION OF OC TARGET AMOUNT
(A) Twelve Month Average Monthly Loss Rate
    (Not applicable until 12th Distribution Date)                                      0.437%
(B) Is Rolling Twelve Month Loss Rate greater than Trigger Values?                         No

(C) Cumulative Losses / Cumulative Loss Rate                  $1,227,615.62            0.315%
(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               End of
                                                                  Collection Period     Collection Period
(A) Certificate Balances and Factors
    (i) Class A-1 Certificate Balance                                $50,320,834.77        $41,858,968.25
    (ii) Class A-1 Certificate Factor                                     0.2742519             0.2281342
    (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                              $240,398,834.77       $231,936,968.25
    (xvi) Aggregate Certificate Factor                                    0.6435313             0.6208794

(B) Collateral Pool
    (i)  Pool Principal Balance                                     $270,556,175.51       $262,094,308.99
    (ii)  Weighted Average Loan Rate                                        11.659%               11.642%
    (iii)  Weighted Average Original Term (months)                           213.00                213.00
    (iv)  Weighted Average Remaining Term (months)                           196.29                196.06
    (v)  Loan Count                                                           5,104                 4,930
    (vi)  3 Largest Loan Pool Balances                                $1,089,622.16         $1,087,601.65

(C) Overcollateralization Amount                                     $30,157,340.74        $30,157,340.74


I. MASTER SERVICER TERMINATION & OTHER TRIGGER TESTS
(A) Twelve Month Average Monthly Loss Rate (Not applicable until 12th Distribution Date)                      0.437%
(B) Is Rolling Twelve Month Loss Rate greater than Trigger Values                                                 No

(C) Six Month Average of Pool Delinquency Rate (Not applicable until 6th Distribution Date)                   6.505%
(D) Is Rolling Six Month Delinquency Rate greater than 5.00%?                                                    Yes

(E) Has Deposit Event Occurred?                                                                                   No


J. SUMMARY STATEMENT OF AMOUNTS DUE TO CERTIFICATEHOLDERS

                                                                                        Dollars          Per $1000 of
                                                                                                             Original
                                                                                                          Certificate
                                                                                                            Principal
(A) Amount of distribution allocable to Current Monthly Interest & Unpaid Interest Shortfall
    (i) Class A-1 Certificate                                                       $270,893.83            1.47638937
    (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                                                                     $1,380,101.77            3.69443832

(B) Amount of distribution allocable to Formula Principal Distributable Amount
    (i) Class A-1 Certificate                                                     $8,461,866.52           46.11773517
    (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                                                                     $8,461,866.52           22.65183964

(C) Amount of distribution allocable to Distributable Excess Spread
    (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

(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                                                     $8,732,760.35           47.59412454
    (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                                                                     $9,841,968.29           26.34627796

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