ASSET BACKED SEC CORP HOME EQUITY LOAN TR 1999-LB1
8-K, 1999-11-24
ASSET-BACKED SECURITIES
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                       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) : November 22, 1999


                     ASSET BACKED SECURITIES CORPORATION
             (Exact name of registrant as specified in its charter)


       Delaware                     333-64351-03              13-3354848
     (State or other          (Commission File Number)       (IRS Employer
     jurisdiction of                                       Identification No.)
     incorporation)


11 Madison Avenue
Park Avenue Plaza
New York, New York                                             10010
(Address of principal executive offices)                       (Zip Code)


       Registrant's telephone number, including area code : (212) 325-1811

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



                                   Page 1 of 4
                                                  This report consists of 12
                                                 consecutively numbered pages.

<PAGE>



Item 5.    Other Events.
     This report and the attached exhibit is being filed pursuant to "no-action"
positions  taken by the  Securities  and  Exchange  Commission  with  respect to
alternative means of satisfying the Registrant's reporting obligations under the
Securities  Exchange Act of 1934, as amended,  with respect to the  Registrant's
Home Equity Loan Trust, Series 1999-LB1 (the  "Certificates") . The Certificates
were issued,  and this report and exhibit is being filed,  pursuant to the terms
of the  Pooling  and  Servicing  Agreement,  dated  as of  June  1 ,  1999 ( the
"Agreement"),  among Asset Back Securities Corporation, as depositor, Long Beach
Mortgage  Company,  as servicer,  and The Chase  Manhattan Bank, as trustee (the
Trustee). On  November 22, 1999 distribution was made to the Certificateholders.
Specific  information with respect to the distribution 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.

           (a)   Not applicable

           (b)   Not applicable

           (c)   The following exhibit is filed as part of this report:

                 Statement to Certificateholders on November 22, 1999,
                 as Exhibit 99.1.


<PAGE>


     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 CHASE MANHATTAN BANK,
                                     not in its individual capacity but solely
                                     as Trustee under the Agreement referred
                                     to herein



Date:    November 23, 1999          By:  /s/ Thomas J. Provenzano
                                        Thomas J. Provenzano
                                        Vice President


<PAGE>
INDEX TO EXHIBITS


      Exhibit
      Number                  Description of Exhibits                    Page

        99.1             Monthly Certificateholder Statement on             5
                         November 22, 1999.


<PAGE>



                                  Exhibit 99.1

              Monthly Certificateholder Statement on November 22, 1999

<PAGE>

<TABLE>
- -----------------------------------------------------------------------------------------------------------------------------------
                       ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST 1999-LB1
                                      STATEMENT TO CERTIFICATEHOLDERS
                                             NOVEMBER 22, 1999
- -----------------------------------------------------------------------------------------------------------------------------------
<S>       <C>       <C>

                                                                                                                       PAGE #1
- -----------------------------------------------------------------------------------------------------------------------------------
                                        DISTRIBUTION IN DOLLARS
- -----------------------------------------------------------------------------------------------------------------------------------
           ORIGINAL        PRIOR                                                                                      CURRENT
           FACE            PRINCIPAL                                                  REALIZED         DEFERRED       PRINCIPAL
CLASS      VALUE           BALANCE        PRINCIPAL       INTEREST        TOTAL       LOSSES           INTEREST       BALANCE

- -----------------------------------------------------------------------------------------------------------------------------------
A_1F    166,900,000.00   158,094,386.39    1,682,117.83     936,709.24    2,618,827.07       0.00          0.00      156,412,268.56
A_2F     48,600,000.00    46,000,937.43      119,865.58     273,705.58      393,571.16       0.00          0.00       45,881,071.85
A_3A    292,900,000.00   272,246,114.05    4,769,081.19   1,371,425.88    6,140,507.07       0.00          0.00      267,477,032.86
A_4A    164,850,000.00   151,410,488.87    1,418,743.18     777,527.18    2,196,270.36       0.00          0.00      149,991,745.69
A_5A    200,000,000.00   185,103,922.62    2,703,582.47     955,486.70    3,659,069.17       0.00          0.00      182,400,340.15
X_A               0.00             0.00            0.00           0.00            0.00       0.00          0.00                0.00
X_F               0.00             0.00            0.00           0.00            0.00       0.00          0.00                0.00
B_1F     13,364,763.00    13,364,763.00            0.00      96,904.99       96,904.99       0.00          0.00       13,364,763.00
B_1A     42,500,702.00    42,500,702.00            0.00     308,163.33      308,163.33       0.00          0.00       42,500,702.00
R                 0.00             0.00            0.00           0.00            0.00       0.00          0.00                0.00

- -----------------------------------------------------------------------------------------------------------------------------------
TOTALS  929,115,465.00   868,721,314.36    10,693,390.25  4,719,922.90   15,413,313.15       0.00          0.00      858,027,924.11
- -----------------------------------------------------------------------------------------------------------------------------------
A_IOF    22,000,000.00    22,000,000.00            0.00     100,833.33      100,833.33       0.00          0.00       22,000,000.00
A_IOA    67,000,000.00    67,000,000.00            0.00     307,083.33      307,083.33       0.00          0.00       67,000,000.00
B_IOA    27,000,000.00    27,000,000.00            0.00     157,500.00      157,500.00       0.00          0.00       27,000,000.00
B_IOF    11,000,000.00    11,000,000.00            0.00      64,166.67       64,166.67       0.00          0.00       11,000,000.00
P_A             100.00           100.00            0.00     142,129.71      142,129.71       0.00          0.00              100.00
P_F             100.00           100.00            0.00      25,770.94       25,770.94       0.00          0.00              100.00

- -----------------------------------------------------------------------------------------------------------------------------------


                                                                                (C) COPYRIGHT 1999, CHASE MANHATTAN CORPORATION



</TABLE>
<PAGE>
<TABLE>
 ----------------------------------------------------------------------------------------------------------------------------------
                        ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST 1999-LB1
                                      STATEMENT TO CERTIFICATEHOLDERS
                                                  NOVEMBER 22, 1999
 ----------------------------------------------------------------------------------------------------------------------------------

                                                                                                                        PAGE #2

<S>       <C>       <C>

- -----------------------------------------------------------------------------------------     -------------------------------------
             FACTOR INFORMATION PER $1,000 OF ORIGINAL FACE                                            PASS-THROUGH RATES

            PRIOR                                                             CURRENT                              CURRENT
            PRINCIPAL                                                         PRINCIPAL                            PASS-THRU
CLASS       FACTOR         PRINCIPAL           INTEREST          TOTAL         FACTOR               CLASS          RATE

- -------------------------------------------------------------------------------------------    ------------------------------------
A_1F     947.24018209   10.07859694          5.61239808        15.69099503    937.16158514          A_1F        7.110000 %
A_2F     946.52134630    2.46636996          5.63180206         8.09817202    944.05497634          A_2F        7.140000 %
A_3A     929.48485507   16.28228470          4.68223243        20.96451714    913.20257037          A_3A        5.667130 %
A_4A     918.47430312    8.60626739          4.71657373        13.32284113    909.86803573          A_4A        5.777130 %
A_5A     925.51961310   13.51791235          4.77743350        18.29534585    912.00170075          A_5A        5.807130 %
B_1F   1,000.00000000    0.00000000          7.25078252         7.25078252  1,000.00000000          B_1F        8.157130 %
B_1A   1,000.00000000    0.00000000          7.25078212         7.25078212  1,000.00000000          B_1A        8.157130 %
- ------------------------------------------------------------------------------------------     ------------------------------------
TOTALS   934.99822905   11.50921565          5.08001758        16.58923323    923.48901340
- ------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------     ------------------------------------
A_IOF  1,000.00000000    0.00000000          4.58333318         4.58333318  1,000.00000000          A_IOF       5.500000 %
A_IOA  1,000.00000000    0.00000000          4.58333328         4.58333328  1,000.00000000          A_IOA       5.500000 %
B_IOA  1,000.00000000    0.00000000          5.83333333         5.83333333  1,000.00000000          B_IOA       7.000000 %
B_IOF  1,000.00000000    0.00000000          5.83333364         5.83333364  1,000.00000000          B_IOF       7.000000 %
P_A    1,000.00000000    0.00000000  1,421,297.10000000 1,421,297.10000000  1,000.00000000          P_A         0.000000 %
P_F    1,000.00000000    0.00000000    257,709.40000000   257,709.40000000  1,000.00000000          P_F         0.000000 %
- ------------------------------------------------------------------------------------------     ------------------------------------


If there are any questions or problems with this statement, please contact the
Administrator listed below.

                     ---------------------------------------
                                DIANE E. WALLACE
               THE CHASE MANHATTAN BANK - STRUCTURED FINANCE SERVICES
                        450 WEST 33RD STREET, 14TH FLOOR
                            NEW YORK, NEW YORK 10001
                                 (212) 946-8583
                         EMAIL:  [email protected]
                     ---------------------------------------


                                                                                (C) COPYRIGHT 1999, CHASE MANHATTAN CORPORATION




</TABLE>
<PAGE>
<TABLE>
 ----------------------------------------------------------------------------------------------------------------------------------
                      ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST  1999-LB1
                                                  NOVEMBER 22, 1999
 ----------------------------------------------------------------------------------------------------------------------------------

                                                                                                                        PAGE #3

<S>       <C>       <C>

Ending Principal Pool Balance Of Group I                                                                           220,161,737.81
Ending Principal Pool Balance Of Group II                                                                          655,254,241.55


Sec.7.09 (a)(i)  Total Distribution Amount With Respect To Each Group

                     Group 1a                                                                                        2,817,197.06
                     Group 1b                                                                                          481,914.34
                     Group 11a                                                                                       8,963,608.87
                     Group 11b                                                                                       3,551,253.95

Sec.7.09 (a)(ii) Principal Allocation Amount With Respect To Each Group

                     Group 1a
                                   Scheduled Principal                                                                 124,937.48
                                   Curtailment                                                                          15,165.90
                                   Prepayment                                                                        1,292,478.61
                     Group 1b
                                   Scheduled Principal                                                                  30,023.50
                                   Curtailment                                                                           5,321.67
                                   Prepayment                                                                           66,738.80

                     Group 11a
                                   Scheduled Principal                                                                 221,087.61
                                   Curtailment                                                                          45,359.40
                                   Prepayment                                                                        5,401,980.92

                     Group 11b
                                   Scheduled Principal                                                                 131,334.93
                                   Curtailment                                                                           3,946.33
                                   Prepayment                                                                        1,646,996.40


                    Group 1 Subordinated Increase Amount                                                                     0.00
                    Group II Subordinated Increase Amount                                                                    0.00


Sec.7.09 (a)(iv) Interest Shortfall Amount
                     Class A-1F                                                                                              0.00
                     Class A-2F                                                                                              0.00
                     Class A-3A                                                                                     78,568,653.06
                     Class A-4A                                                                                     44,544,341.72
                     Class A-5A                                                                                              0.00
                     Class B-1A                                                                                     30,508,170.12
                     Class B-1F                                                                                      9,593,593.61
                     Class A-1OF                                                                                             0.00
                     Class B-1OF                                                                                         4,277.77
                     Class A-1OA                                                                                             0.00
                     Class B-1OF                                                                                        10,500.00



                                                                                (C) COPYRIGHT 1999, CHASE MANHATTAN CORPORATION


<PAGE>
- ----------------------------------------------------------------------------------------------------------------------------------
                                   ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST  1998-LB1
                                                           NOVEMBER 22, 1999
 ---------------------------------------------------------------------------------------------------------------------------------
                                                                                                                        PAGE #4


Sec.7.09 (a)(v) Insured Payment                                                                                              0.00


Sec.7.09 (a)(vii)Subordinated Amount
                         Group I                                                                                    17,601,079.95
                         Group II                                                                                   46,493,716.01

                      Specified Subordinated Amount
                         Group I                                                                                    20,149,973.09
                         Group II                                                                                   63,018,186.00

                      Subordinated Deficit
                         Group I                                                                                             0.00
                         Group II                                                                                            0.00


Sec.7.09 (a)(ix)Substitution Amounts And Loan Purchase Price
                         Group I                                                                                             0.00
                         Group II                                                                                            0.00


Sec.7.09 (a)(x) Weighted Average Coupon Rate Of The Home Equity Loans In Each Group
                         Group I                                                                                        10.05060 %
                         Group II                                                                                        9.66550 %



Sec.7.09 (a)(xi)The Amount Of Any Carry-Forward Amounts
                     Class A-1F                                                                                              0.00
                     Class A-2F                                                                                              0.00
                     Class A-3A                                                                                              0.00
                     Class A-4A                                                                                              0.00
                     Class A-5A                                                                                              0.00
                     Class B-1A                                                                                              0.00
                     Class B-1F                                                                                              0.00
                     Class A-1OF                                                                                             0.00
                     Class B-1OF                                                                                             0.00
                     Class A-1OA                                                                                             0.00
                     Class B-1OF                                                                                             0.00



Sec.7.09 (a)(xiv)The Weighted Average Gross Margin Of The Home Equity Loans In Group II                                 6.74460 %



Sec.7.09 (a)(xv)The Three Largest Home Equity Loan Balances In Each Group
                         Group I                                                                                       746,804.21
                                                                                                                       597,019.61
                                                                                                                       524,938.37

                         Group II                                                                                      846,378.16
                                                                                                                       700,173.61
                                                                                                                       645,846.77




                                                                                (C) COPYRIGHT 1999, CHASE MANHATTAN CORPORATION


<PAGE>
- ----------------------------------------------------------------------------------------------------------------------------------
                                   ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST 1998-LB1
                                                            NOVEMBER 22, 1999
 ---------------------------------------------------------------------------------------------------------------------------------
                                                                                                                        PAGE #4

Sec.7.09 (a)(xviii)Interest Index Carryover For Each Class Of Certificates
                     Class A-1F                                                                                              0.00
                     Class A-2F                                                                                              0.00
                     Class A-3A                                                                                              0.00
                     Class A-4A                                                                                              0.00
                     Class A-5A                                                                                              0.00
                     Class B-1A                                                                                              0.00
                     Class B-1F                                                                                              0.00
                     Class A-1OF                                                                                             0.00
                     Class B-1OF                                                                                             0.00
                     Class A-1OA                                                                                             0.00
                     Class B-1OF                                                                                             0.00

Sec.7.09(a)(xix)Loans That Are Fixed For Two Years (2/28)

                    Group 11a                                                                                      371,848,310.04
                    Group IIb                                                                                      203,302,147.12

                    Loans That Are Fixed For Three Years (3/27)

                    Group 11a                                                                                       26,869,021.32
                    Group 11b                                                                                       13,431,629.42




Sec.7.09 (b)(i) Loans Delinquent


                 --------------------------------------------------------------------
                                        Group Totals
                 --------------------------------------------------------------------
                  Period            Number        Principal Balance        Percentage
                 --------------------------------------------------------------------
                31-60 days           187         16,698,011.52               1.91 %
                61-90 days            94          8,886,379.70               1.02 %
                91 +  days            31          2,459,450.69               0.28 %
                  Total              312         28,043,841.91               3.21 %
                 --------------------------------------------------------------------

                 --------------------------------------------------------------------
                                        Group 1
                 --------------------------------------------------------------------
                  Period            Number        Principal Balance        Percentage
                 --------------------------------------------------------------------
                31-60 days            57          3,540,583.37               1.61 %
                61-90 days            28          1,822,891.92               0.83 %
                91 +  days            18          1,042,185.39               0.47 %
                  Total              103          6,405,660.68               2.91 %
                 --------------------------------------------------------------------

                 --------------------------------------------------------------------
                                        Group 2
                 --------------------------------------------------------------------
                  Period            Number        Principal Balance        Percentage
                 --------------------------------------------------------------------
                31-60 days           130         13,157,428.15               2.01 %
                61-90 days            66          7,063,487.78               1.08 %
                91 +  days            13          1,417,265.30               0.22 %
                  Total              209         21,638,181.23               3.31 %
                 --------------------------------------------------------------------








                                                                                (C) COPYRIGHT 1999, CHASE MANHATTAN CORPORATION
<PAGE>
- ----------------------------------------------------------------------------------------------------------------------------------
                                   ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST  1999-LB1
                                                            NOVEMBER 22, 1999
 ---------------------------------------------------------------------------------------------------------------------------------
                                                                                                                        PAGE #5

Sec. 7.09(b)(ii)    Loans in Foreclosure
                              -------------------------------------------------------
                                                  Group Totals
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                  200            19,823,079.96                2.26 %
                              -------------------------------------------------------

                              -------------------------------------------------------
                                                   Group 1
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                  71              4,484,274.32                2.04 %
                              -------------------------------------------------------

                              -------------------------------------------------------
                                                    Group  2
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                 129             15,338,805.64                2.34 %
                              -------------------------------------------------------


Sec. 7.09(b)(iii)   Loans in Bankruptcy
                              -------------------------------------------------------
                                                  Group Totals
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                   0                   0.00                   0.00 %
                              -------------------------------------------------------

                              -------------------------------------------------------
                                                   Group 1
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                   0                   0.00                   0.00 %
                              -------------------------------------------------------

                              -------------------------------------------------------
                                                    Group  2
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                   0                   0.00                   0.00 %
                              -------------------------------------------------------


Sec. 7.09(b)(iv)(v)  Loans in REO
                              -------------------------------------------------------
                                                  Group Totals
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                   1              41,443.74                   0.00 %
                              -------------------------------------------------------
                              -------------------------------------------------------
                                                   Group 1
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                   1              41,443.74                   0.02 %
                              -------------------------------------------------------

                              -------------------------------------------------------
                                                    Group  2
                              -------------------------------------------------------
                                Number        Principal Balance        Percentage
                              -------------------------------------------------------
                                   0                   0.00                   0.00 %
                              -------------------------------------------------------


                                                                                (C) COPYRIGHT 1999, CHASE MANHATTAN CORPORATION

<PAGE>
- ----------------------------------------------------------------------------------------------------------------------------------
                                   ASSET BACKED SECURITIES CORPORATION EQUITY LOAN TRUST  1999-LB1
                                                            NOVEMBER 22, 1999
 ---------------------------------------------------------------------------------------------------------------------------------
                                                                                                                        PAGE #6





Sec. 7.09(b)(vi)    Cumulative Realized  Losses                                                                              0.00

Sec. 7.09(b)(vii)   Net Liquidation Proceeds                                                                                 0.00

Sec. 7.09(b)(vii)   The Annual Loss Percentage (Rolling Twelve Month)                                                 920.46250 %

Sec. 7.09(b)(ix)    The 90+ Delinquent Percentage (Rolling Three Month)
                         Group I
                         Group II
                         Total

Sec. 7.09(b)(x)     The Cumulative Loss Percentage                                                                           0.00



                    Next Month's Pass-Through Rates for the LIBOR Classes

                         Class A_3A                                                                                     5.85250 %
                         Class A_4A                                                                                     5.96250 %
                         Class A_5A                                                                                     5.99250 %
                         Class B_1A                                                                                     8.34250 %
                         Class B_1F                                                                                     8.34250 %

                         Group I Fees
                                        Trustee Fee                                                                          0.00
                                        Premium Fee                                                                          0.00

                         Group II Fees
                                        Trustee Fee                                                                          0.00
                                        Premium Fee                                                                          0.00




                                                                                (C) COPYRIGHT 1999,  CHASE MANHATTAN CORPORATION

</TABLE>





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