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) : December 27,1999
Saxon Asset Securities Trust 1999-2
Mortgage Loan Asset Backed Certificates, Series 1999-2
(Exact name of registrant as specified in its charter)
Virginia 333-59479 52-1785164
(State or other jurisdiction (Commission File Number) (IRS Employer
of incorporation or organization) Identification No.)
4880 Cox Road, Glen Allen, Virginia 23060
(Address of principal executive offices) (Zip Code)
Registrant's telephone number, including area code : (804) 967-7400
N/A
(Former name or former address, if changed since last report.)
Page 1 of 4
This report consists of 8 consecutively numbered pages.
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Item 5. Other Events.
On December 27,1999 distributions were made to the Certificateholders.
Specific information with respect to the distributions is
filed as Exhibit 99.1. No other reportable transactions or
matters have occurred during the current reporting period.
Item 7. Financial Statements and Exhibits.
(c) The following exhibits are filed as part of this report:
Monthly Payment Report on December 27,1999 filed
as Exhibit 99.1 hereto.
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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.
SAXON ASSET SECURITIES TRUST 1999-2
MORTGAGE LOAN ASSET BACKED CERTIFICATES
SERIES 1999-2
Date: By: /s/ Bradley D. Adams
---------------
Bradley D. Adams
Vice President
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INDEX TO EXHIBITS
Exhibit
Number Description of Exhibits
99.1 Monthly Payment Report Statement on
December 27,1999
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Exhibit 99.1
Monthly Payment Report on December 27,1999
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<S> <C> <C> <C> <C> <C> <C>
PAYMENT DISTRIBUTION STATEMENT
SAXON ASSET SECURITIES TRUST 1999-2
MORTGAGE LOAN ASSET BACKED CERTIFICATES
SERIES 1999-2
STATEMENT TO CERTIFICATEHOLDERS
Distribution Date: 27-Dec-99
Cer- Certit-
tifi- cates
Interest cates Carry Applied
Original Beginning Carry Carry Over Realized Total Ending
Certificate Certificate Principal Interest Forward over Amount Loss Distri-Total Certificate
Class Cusip # Balance Balance Distribution Distribution Amount Amount Paid Amount bution Balance
AF-1 805564DM0 80,000,000.00 59,981,395.76 2,586,455.93 293,375.67 - N/A N/A N/A 2,879,831.60 57,394,939.83
AF-2 805564DN8 33,000,000.00 33,000,000.00 - 164,175.00 - N/A N/A N/A 164,175.00 33,000,000.00
AF-3 805564DP3 36,000,000.00 36,000,000.00 - 183,150.00 - N/A N/A N/A 183,150.00 36,000,000.00
AF-4 805564DQ1 27,000,000.00 27,000,000.00 - 145,012.50 - N/A N/A N/A 145,012.50 27,000,000.00
AF-5 805564DR9 16,713,000.00 16,713,000.00 - 94,915.91 - N/A N/A N/A 94,915.91 16,713,000.00
AF-6 805564DS7 21,412,800.00 21,412,800.00 - 114,469.26 - N/A N/A N/A 114,469.26 21,412,800.00
MF-1 805564DT5 12,449,000.00 12,449,000.00 - 70,336.85 - N/A N/A - 70,336.85 12,449,000.00
MF-2 805564DU2 9,337,000.00 9,337,000.00 - 55,827.48 - N/A N/A - 55,827.48 9,337,000.00
BF-1 805564DV0 8,092,000.00 8,092,000.00 - 56,711.43 - N/A N/A - 56,711.43 8,092,000.00
BF-1A 805564DW8 4,980,000.00 3,302,026.95 239,725.38 21,807.14 - N/A N/A - 261,532.52 3,062,301.57
AV-1 805564DX6 177,840,800.00 151,204,021.87 2,876,931.01 757,784.16 - - - N/A 3,634,715.17 148,327,090.86
MV-1 805564DY4 16,884,000.00 16,884,000.00 - 87,815.56 - - - - 87,815.56 16,884,000.00
MV-2 805564DZ1 14,070,000.00 14,070,000.00 - 79,237.55 - - - - 79,237.55 14,070,000.00
BV-1 805564EA5 9,567,000.00 9,567,000.00 - 68,295.09 - - - - 68,295.09 9,567,000.00
BV-1A 805564EB3 6,704,000.00 4,887,990.09 284,977.17 33,828.96 - - - - 318,806.13 4,603,012.92
C 80556C2 N/A N/A N/A 526,160.82 N/A N/A N/A N/A 526,160.82 N/A
R 80556R2 N/A N/A N/A - N/A N/A N/A N/A - N/A
TOTALS 474,049,600.00 423,900,234.66 5,988,089.49 2,752,903.39 8,740,992.88 417,912,145.18
Group I 248,983,800.00 227,287,222.71 2,826,181.31 1,199,781.24 4,025,962.55 224,461,041.40
Group II 225,065,800.00 196,613,011.96 3,161,908.18 1,026,961.32 4,188,869.50 193,451,103.78
One Month LIBOR RATE 5.59000%
Factor Information per $1,000 of the Original Balance
Certi-
Interes Certi- ticates
Principal Interest Carry ficates Carryover End Prin Current Pass
Class Cusip # Distribution Distribution Forward Carryover Paid Balance Through Rate
AF-1 805564DM0 32.33070 3.66720 0.00000 N/A N/A 717.43675 5.68000%
AF-2 805564DN8 0.00000 4.97500 0.00000 N/A N/A 1,000.00000 5.97000%
AF-3 805564DP3 0.00000 5.08750 0.00000 N/A N/A 1,000.00000 6.10500%
AF-4 805564DQ1 0.00000 5.37083 0.00000 N/A N/A 1,000.00000 6.44500%
AF-5 805564DR9 0.00000 5.67917 0.00000 N/A N/A 1,000.00000 6.81500%
AF-6 805564DS7 0.00000 5.34583 0.00000 N/A N/A 1,000.00000 6.41500%
MF-1 805564DT5 0.00000 5.65000 0.00000 N/A N/A 1,000.00000 6.78000%
MF-2 805564DU2 0.00000 5.97917 0.00000 N/A N/A 1,000.00000 7.17500%
BF-1 805564DV0 0.00000 7.00833 0.00000 N/A N/A 1,000.00000 8.41000%
BF-1A 805564DW8 48.13763 4.37894 0.00000 N/A N/A 614.91999 7.92500%
AV-1 805564DX6 16.17700 4.26103 0.00000 0.00000 0.00000 834.04422 5.82000%
MV-1 805564DY4 0.00000 5.20111 0.00000 0.00000 0.00000 1,000.00000 6.04000%
MV-2 805564DZ1 0.00000 5.63167 0.00000 0.00000 0.00000 1,000.00000 6.54000%
BV-1 805564EA5 0.00000 7.13861 0.00000 0.00000 0.00000 1,000.00000 8.29000%
BV-1A 805564EB3 42.50853 5.04609 0.00000 0.00000 0.00000 686.60694 8.30500%
If there are any questions or comments, please contact:
Joan Dolce
Saxon Mortgage
4880 Cox Road
Richmond, VA 23060
(804) 967-5814
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PAYMENT DISTRIBUTION STATEMENT
SAXON ASSET SECURITIES TRUST 1999-2
MORTGAGE LOAN ASSET BACKED CERTIFICATES
SERIES 1999-2
STATEMENT TO CERTIFICATEHOLDERS
Group I Group II
Aggregate Scheduled Mortgage Principal Balance 226,378,739.83 195,552,090.86
Prepayment Amount 2,362,781.09 2,775,635.86
Substitution Shortfall Amount - -
Repurchase Amounts - -
Other Recoveries - -
Extra Principal Distribution Amount 56,458.92 -
Applied Realized Loss Amount - -
Unpaid Realized Loss Amount 56,458.92 -
Group I Group II
Net Rate 9.37651% 9.34446%
Largest Mortgage Loan Balance 497,698.67 994,396.06
Servicing Fees 96,352.28 82,678.89
Master Servicing Fees 9,540.22 8,267.88
The Number and Aggregate Principal Balances
of all Delinquent Mortgage Loans as of the Remittance Date
Group I Group II
Category Number Percentage Principal Balance Number Percentage Principal Balance
30-59 Days 95 3.94351% 8,927,277.21 89 5.27276% 10,310,998.18
60-89 Days 9 0.45165% 1,022,435.64 3 0.17306% 338,414.63
90+ Days 2 0.08612% 194,965.21 - 0.00000% -
Group I Group II
Number of Mortgage Loans in Foreclosure Proceedings 90 97
Scheduled Principal Balance of all Mortgage Loans in Foreclosure Proceedings 7,128,173.93 9,142,331.31
Number of Mortgage Loans in Foreclosure in Prior Month 84 83
Scheduled Principal Balance of all Mortgage Loans in Foreclosure in Prior Month 7,444,791.20 8,378,878.30
Group I Group II
Number of Mortgagors in Bankruptcy Proceedings 25 32
Scheduled Principal Balances of Mortgage Loans in Bankruptcy Proceedings 2,557,493.02 3,706,263.14
Group I Group II
Number of any REO Properties 5 4
Book Value of any REO Properties 359,445.73 223,874.47
Group I Group II
Servicer Number Principal Balance Number Principal Balance
Number of 60+ Delinquent Loans Meritech 127 10,595,627.58 125 12,396,509.58
Amount on Deposit in Asset Proceeds Account 8,740,992.88
Interest 3,334,064.86
Scheduled Principal 268,511.07
Unscheduled Principal 5,138,416.95
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PAYMENT DISTRIBUTION STATEMENT
SAXON ASSET SECURITIES TRUST 1999-2
MORTGAGE LOAN ASSET BACKED CERTIFICATES
SERIES 1999-2
STATEMENT TO CERTIFICATEHOLDERS
Group I Group II
Realized Losses for the current period 56,458.92 -
Cumulative Realized Losses 56,458.92 -
Applied Realized Losses - -
Unpaid Realized Losses - -
Group I Group II
Trigger Event Has not occurred Has not occurred
Subordinate Trigger Event Has not occurred Has not occurred
Overcollateralization Target Amount 4,980,038.67 6,704,192.51
Overcollateralization Amount 1,917,698.43 2,100,987.08
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