CONTIMORTGAGE HOME EQUITY TRUST 1999-3
8-K, 1999-11-01
ASSET-BACKED SECURITIES
Previous: BLACKROCK PENNSYLVANIA STRATEGIC MUNICIPAL TRUST, 497, 1999-11-01
Next: ENTERPRISE CONSOLIDATION CORP, 10SB12G/A, 1999-11-01




                       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

                   ContiMortgage Home Equity Loan Trust 1999-3
                   -------------------------------------------
             (Exact name of registrant as specified in its charter)

                                                           16-6491815
                                                           16-6491818
       New York                       33-339505            16-6491819
       --------                       ---------            ----------
(State or Other Jurisdiction        (Commission        (I.R.S. Employer
 of Incorporation)                   File Number)      Identification No.)

   c/o Manufacturers & Traders Trust
   One M&T Plaza
   Buffalo, New York
   Attn: Corporate Trust Department                        14240-2599
   --------------------------------                     ----------------
   (Address of Principal)                                  (Zip Code)

        Registrant's telephone number, including area code (716) 842-5589

                                    No Change
          -------------------------------------------------------------
          (Former name or former address, if changed since last report)

    ------------------------------------------------------------------
    Note: Please see page 5 for Exhibit Index                   Page 1

<PAGE>

Item 5.  Other Events.

     On October 25, 1999 a scheduled distribution was made from the Trust to
holders of the Class A, B and C Certificates. The information contained in the
Trustee's Monthly Servicing Report for the month of September 1999 dated October
25, 1999 attached hereto as Exhibit 19 is hereby incorporated by reference.

     In addition to the information included in the Trustee's Monthly Report,
the gross servicing compensation paid to the Servicer for the month of September
1999 was $301,758.02.

                                                                         Page  2
<PAGE>

Item 7. Financial Statements, Pro Forma Financial Information and
        Exhibits.

(a)  Not applicable

(b)  Not applicable

(c)  Exhibits:

19. Trustee's Monthly Servicing Report for the month of September 1999.

                                                                          Page 3

<PAGE>

                                   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.

                           By:   CONTISECURITIES ASSET FUNDING CORP.,
                                 As Depositor


                                   By: /s/ Joy B. Tolbert
                                       -----------------------------------------
                                   Name:  Joy B. Tolbert
                                   Title: Vice President and Assistant Secretary

Dated: November 1, 1999

                                                                          Page 4

<PAGE>

                                  EXHIBIT INDEX

Exhibit No. Description

19.  Trustee's Monthly Servicing Report for the Month of September 1999.

                                                                          Page 5


- --------------------------------------------------------------------------------
                            ContiMortgage Corporation
                   Home Equity Loan Pass-Through Certificates
                                  Series 1999-3
- --------------------------------------------------------------------------------

Distribution Period:         25-Oct-99

<TABLE>
<CAPTION>
- -------------------------------------------------------------------------------------------------------------------
                          Original       Beginning                                                      Ending
                         Certificate    Certificate     Principal       Interest         Total       Certificate
   CUSIP       Class     Face Value       Balance      Distribution   Distribution    Distribution     Balance
- -------------------------------------------------------------------------------------------------------------------
<S>             <C>    <C>             <C>              <C>             <C>            <C>          <C>
 21075WKP9      A-1     209,100,000.00 190,812,010.46   6,662,465.11    1,020,844.26   7,683,309.37 184,149,545.35
 21075WKQ7      A-2     126,300,000.00 126,300,000.00           0.00      712,542.50     712,542.50 126,300,000.00
 21075WKR5      A-3      72,700,000.00  72,700,000.00           0.00      419,842.50     419,842.50  72,700,000.00
 21075WKS3      A-4      41,500,000.00  41,500,000.00           0.00      246,233.33     246,233.33  41,500,000.00
 21075WKT1      A-5      40,900,000.00  40,900,000.00           0.00      250,853.33     250,853.33  40,900,000.00
 21075WKU8      A-6      72,700,000.00  72,700,000.00           0.00      465,280.00     465,280.00  72,700,000.00
 21075WKV6      A-7      44,800,000.00  44,800,000.00           0.00      271,786.67     271,786.67  44,800,000.00
 21075WKW4      A-8     152,000,000.00 146,571,822.55   2,059,755.19      645,526.74   2,705,281.93 144,512,067.36
 21075WKY0       B       40,000,000.00  40,000,000.00           0.00      233,333.33     233,333.33  40,000,000.00
 21075X2V4       C                0.00           0.00           0.00       12,600.49      12,600.49           0.00
                 R                0.00           0.00           0.00            0.00           0.00           0.00
             ------------------------------------------------------------------------------------------------------
             Total      800,000,000.00 776,283,833.01   8,722,220.30    4,278,843.15  13,001,063.45 767,561,612.71
             ------------------------------------------------------------------------------------------------------

             ------------------------------------------------------------------------------------------------------
                          Original       Beginning
                          Notional        Notional      Principal       Interest         Total         Notional
               Class       Amount          Amount      Distribution   Distribution    Distribution      Amount
             ------------------------------------------------------------------------------------------------------
 21075WKX2     A-9IO    185,000,000.00 120,000,000.00           0.00      600,000.00     600,000.00 120,000,000.00
- -------------------------------------------------------------------------------------------------------------------

             -------------------------------------------------------------------------------------------------------------
                                          AMOUNTS PER $1,000 UNIT                             PASS THROUGH RATES
             -------------------------------------------------------------------------------------------------------------
                                                                         Ending
                          Principal       Interest        Total        Certificate                      Current Pass
               Class    Distribution    Distribution   Distribution      Balance         Class        Thru Rate
- -------------------------------------------------------------------------------------------------------------------
 21075WKP9      A-1        31.86257824     4.88208637    36.74466461    880.67692659      A-1             6.42000%
 21075WKQ7      A-2         0.00000000     5.64166667     5.64166667  1,000.00000000      A-2             6.77000%
 21075WKR5      A-3         0.00000000     5.77500000     5.77500000  1,000.00000000      A-3             6.93000%
 21075WKS3      A-4         0.00000000     5.93333325     5.93333325  1,000.00000000      A-4             7.12000%
 21075WKT1      A-5         0.00000000     6.13333325     6.13333325  1,000.00000000      A-5             7.36000%
 21075WKU8      A-6         0.00000000     6.40000000     6.40000000  1,000.00000000      A-6             7.68000%
 21075WKV6      A-7         0.00000000     6.06666674     6.06666674  1,000.00000000      A-7             7.28000%
 21075WKW4      A-8        13.55102099     4.24688645    17.79790743    950.73728526      A-8             5.66250%
 21075WKY0       B          0.00000000     5.83333325     5.83333325  1,000.00000000     A-9IO            6.00000%
             ------------------------------------------------------------------------
               Total       10.90277538     5.33280333    16.23557870    959.45201589       B              7.00000%
- -------------------------------------------------------------------------------------------------------------------

                                                                                             LIBOR:       5.38250%
                                                                                                    ---------------
                                                                                     Uncapped A-8 Rate:   5.66250%
                                                                                                    ---------------

             ------------------------------------------------------------------------
                                                                         Ending
                          Principal       Interest        Total         Notional
               Class    Distribution    Distribution   Distribution      Amount
             ------------------------------------------------------------------------
 21075WKX2     A-9IO        0.00000000     3.24324324     3.24324324    648.64864865
- -------------------------------------------------------------------------------------


PLEASE DIRECT ANY QUESTIONS OR COMMENTS TO THE FOLLOWING ADMINISTRATOR:
</TABLE>

                            Neil Witoff
                            M & T Corporate Trust Department
                            One M & T Plaza-7th Floor
                            Buffalo, NY 14240


<PAGE>

Distribution Period:         25-Oct-99

<TABLE>
<CAPTION>
                                                                         Group I        Group II        Total
                                                                         -------        --------        -----
<S>                    <C>                                              <C>             <C>           <C>
SEC. 7.09 (a) (ii)     Scheduled Principal Received                       477,663.34      66,671.62     544,334.96
                       Prepayments (incl. Curtailments)                 5,197,352.23   1,733,409.54   6,930,761.77
                       Purchased Principal                                      0.00           0.00           0.00
                       Liquidation Proceeds applied to principal                0.00           0.00           0.00
                       Realized Loss of Principal                               0.00           0.00           0.00
                       Realized Loss of Interest                                0.00           0.00           0.00
                       Extra Principal Distribution                       987,449.54     259,674.03   1,247,123.57
SEC. 7.09 (a) (iv)     Total Certificate Interest Carry-Forward Amount          0.00
                         Class A-1 Interest Carry-Forward Amount                0.00
                         Class A-2 Interest Carry-Forward Amount                0.00
                         Class A-3 Interest Carry-Forward Amount                0.00
                         Class A-4 Interest Carry-Forward Amount                0.00
                         Class A-5 Interest Carry-Forward Amount                0.00
                         Class A-6 Interest Carry-Forward Amount                0.00
                         Class A-7 Interest Carry-Forward Amount                0.00
                         Class A-8 Interest Carry-Forward Amount                0.00
                         Class A-9IO Interest Carry-Forward Amount              0.00
                         Class B Interest Carry-Forward Amount                  0.00
                                                                         Group I        Group II        Total
                                                                         -------        --------        -----
SEC. 7.09 (a) (vi)     Outstanding Loan Balance:                      618,783,521.66 152,566,542.81 771,350,064.47
SEC. 7.09 (a) (vii)    Code Section 6049(d)(7)(C) Information-Required Market Discount Information Provided at Calendar Year End.
                                                                         Group I        Group II        Total
SEC. 7.09 (a) (viii)   Loan Purchase Prices                                     0.00           0.00           0.00
                       Substitution Amounts                                     0.00           0.00           0.00
SEC. 7.09 (a) (ix)&(x) Weighted Average Coupon                              10.1957%       10.0349%       10.1638%
SEC. 7.09 (a) (xi)     Weighted Average Remaining Term to Maturity               257            354            276
SEC. 7.09 (a) (xii)    Cumulative Realized Loss Trigger Event Occurrence          NO
                       Cumulative Realized Loss Termination Trigger Occurrence    NO
SEC. 7.09 (a) (xiii)   Overcollateralization Amount                     3,788,451.76
                       Targeted Overcollateralization Amount           19,600,000.00
                       Class A Optimal Balance                        711,750,064.47
                       Class B Optimal Balance                         40,000,000.00
SEC. 7.09 (a) (xiv)                                   Applied Realized     Realized Loss    Unpaid Realized
                                                       Loss Amount   Amortization Amount      Loss Amount
                                                       -----------   -------------------      -----------
                       Class B                                  0.00            0.00           0.00
SEC. 7.09 (a) (xvi)                                                      Group I        Group II
                                                                         -------        --------
                       Available Funds Cap                                  8.29836%       8.78997%
SEC. 7.09 (a) (xvii)   Insured Payment                                          0.00
SEC. 7.09 (a) (xviii)  Reimbursement Amount Paid                                0.00
                       Remaining Reimbursement Amount Unpaid                    0.00
SEC. 7.09 (a) (xx)     Largest Home Equity Loan Balance Outstanding       497,363.16
                       2nd Largest Home Equity Loan Balance Outstanding   439,291.33
                       3rd Largest Home Equity Loan Balance Outstanding   415,222.39
</TABLE>

Distribution Period:         25-Oct-99


<TABLE>
<CAPTION>
                                       -----------------------------------------------------------------------------
SEC. 7.09 (b) (i)      Delinquencies(1)    Period         Number       Percentage    Prin. Balance    Percentage
                                       -----------------------------------------------------------------------------
<S>                    <C>               <C>                    <C>       <C>        <C>                <C>
                                         30-59 Days              124        1.43618%   8,098,582.69       1.30879%
                           Group I       60-89 Days               45        0.52120%   3,194,260.79       0.51622%
                                          90+ Days                39        0.45170%   2,204,193.37       0.35621%
                       --------------------------------------------------------------------------------------------
                                         30-59 Days               38        2.64440%   3,862,499.23       2.53168%
                          Group II       60-89 Days                8        0.55672%     758,076.92       0.49688%
                                          90+ Days                25        1.73974%   2,459,945.93       1.61238%
                       --------------------------------------------------------------------------------------------
                                         30-59 Days              162        1.60858%  11,961,081.92       1.55067%
                            TOTAL        60-89 Days               53        0.52626%   3,952,337.71       0.51239%
                                          90+ Days                64        0.63549%   4,664,139.30       0.60467%
                       --------------------------------------------------------------------------------------------
                                       Total Group I           8,634      100.00000% 618,783,521.66     100.00000%
                                       ----------------------------------------------------------------------------
                                       Total Group II          1,437      100.00000% 152,566,542.81     100.00000%
                                       ----------------------------------------------------------------------------
                                       Total                  10,071      100.00000% 771,350,064.47     100.00000%
                                       ----------------------------------------------------------------------------
                      (1) Includes Bankruptcies,  Foreclosures and REOs ; Based on each respective Group's loan count and balance.

<CAPTION>
                                                                         Group I        Group II        Total
                                                                         -------        --------        -----
<S>                    <C>                                              <C>            <C>            <C>
SEC. 7.09 (b) (ii)     Loans in Foreclosure (LIF): Count                          24             17             41
                       Loans in Foreclosure (LIF): Balance              1,416,702.73   1,662,014.99   3,078,717.72
SEC. 7.09(b)(iii)      Loans in Bankruptcy:  Count                                19              4             23
                       Loans in Bankruptcy:  Balance                    1,389,935.19     353,815.25   1,743,750.44
SEC. 7.09 (b)(iv)&(v)  REO Properties:  Count                                      0              0              0
                       REO Properties:  Balance                                 0.00           0.00           0.00
                       Loans in Loss Mitigation: Count                            12              7             19
                       Loans in Loss Mitigation: Balance                  651,332.02     716,022.58   1,367,354.60
                       Loans in Forbearance: Count                                 1              2              3
                       Loans in Forbearance: Balance                       40,926.69     111,272.36     152,199.05
SEC. 7.09 (b) (vi)     Cumulative Realized Losses                             863.23           0.00         863.23
SEC. 7.09 (b) (vii)    Loan Balance of 90+ Day Delinquent Loans         2,204,193.37   2,459,945.93   4,664,139.30
SEC. 7.09 (b) (viii)   Six-Month Rolling Average 90+ Day Delinquency Rate  0.302365%
                       Six-Month Rolling Average Excess Spread             0.113377%
                       Cumulative Realized Loss Trigger Event Occurrence          NO
SEC. 7.09 (b) (ix)     Optional Buyout Loans                                    0.00           0.00
</TABLE>

                                                                          Page 3


<PAGE>

Distribution Period:         25-Oct-99

<TABLE>
<CAPTION>
<S>                    <C>                                                            <C>            <C>
SEC. 7.08(b)(i)        Amount on Deposit in the Certificate Account                   13,759,735.15

SEC. 7.08(b)(ii) & (iv)                                                                Amount Due        Amount Paid
                                                                                       ----------        -----------
                         Class A-1 Allocation                                          7,683,309.37   7,683,309.37
                         Class A-2 Allocation                                            712,542.50     712,542.50
                         Class A-3 Allocation                                            419,842.50     419,842.50
                         Class A-4 Allocation                                            246,233.33     246,233.33
                         Class A-5 Allocation                                            250,853.33     250,853.33
                         Class A-6 Allocation                                            465,280.00     465,280.00
                         Class A-7 Allocation                                            271,786.67     271,786.67
                         Class A-8 Allocation                                          2,705,281.93   2,705,281.93
                         Class A-9IO Allocation                                          600,000.00     600,000.00

                                                                                     ------------------------------
                         Class A Distribution Amount                                  13,355,129.63  13,355,129.63
                                                                                     ==============================

                         Class B Allocation                                              233,333.33     233,333.33

SEC. 7.08(b)(iii)      Insured Payment made by the Certificate Insurer                         0.00

SEC. 7.08(b)(v)                                         Beginning       Principal        Ending
                                           Class        Balance *     Distribution     Balance *
                                       -------------------------------------------------------------
                                            A-1       190,812,010.46    6,662,465.11 184,149,545.35
                                            A-2       126,300,000.00            0.00 126,300,000.00
                                            A-3        72,700,000.00            0.00  72,700,000.00
                                            A-4        41,500,000.00            0.00  41,500,000.00
                                            A-5        40,900,000.00            0.00  40,900,000.00
                                            A-6        72,700,000.00            0.00  72,700,000.00
                                            A-7        44,800,000.00            0.00  44,800,000.00
                                            A-8       146,571,822.55    2,059,755.19 144,512,067.36
                                           A-9IO      120,000,000.00              NA 120,000,000.00
                                             B         40,000,000.00            0.00  40,000,000.00
                                             * Denotes Notional Amounts for Class A-9IO.

                                                                             Group I       Group II          Total
SEC. 7.08(b)(vi)       Current Period Realized Losses (Recoveries)              0.00           0.00           0.00
                       Cumulative Realized Losses                             863.23           0.00         863.23

SEC. 7.08(b)(vii)      Six-Month Rolling Average 90+ Day Delinquency Rate  0.302365%
                       Six-Month Rolling Average Excess Spread             0.113377%
</TABLE>

Distribution Period:         25-Oct-99
                                                      REO Status

SEC. 7.09 (b) (v&vi)      Loan Number    Book Value     Status      Loan Number
                          -----------    ----------     ------      -----------

                                                                          Page 4

<PAGE>

Insurer's Report

Distribution Period:         25-Oct-99

<TABLE>
<CAPTION>
                                                 Group I        Group II         Total
                                                 -------        --------         -----
<S>                                            <C>             <C>          <C>
* Monthly Excess Cashflow Amount               743,847.58      503,276.00   1,247,123.57

* Premium paid from cash flow (1)              102,033.67       25,289.61     127,323.28

* Master Servicing Fee paid from cash flow (1)  23,417.20        5,788.75      29,205.95

* Trustee Fee paid from cash flow (1)            1,717.82          424.65       2,142.47

* Interest Collected on Mortgage
       Loans (net of Service Fee)            5,045,484.48    1,226,553.46   6,272,037.93

* Current Period Realized Losses:
            Principal                                0.00            0.00           0.00
            Interest                                 0.00            0.00           0.00

   (1) Allocated based upon the related Certificate Balances.
</TABLE>



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission