ADVANTA MORTGAGE LOAN TRUST 1999-2
8-K, 1999-09-03
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:                    July 26, 1999

ADVANTA Mortgage Loan Trust 1999-2

New York                          333-77927-02                  Pending

c/o ADVANTA Mortgage Corp., USA
Attn:  H. John Berens
10790 Rancho Bernardo Road
San Diego, CA  92127

(858) 676-3099



Item 5.                         Other Events

Information relating to the distributions to Certificate holders
for the June, 1999 Monthly Period of the Trust in respect of
the Mortgage Loan Asset-Backed Certificates, Series 1999-2
Class A (the "Certificates") issued by the Registrant and the
performance of the Trust (including distributions of principal
and interest, delinquent balances of Home Equity Loans,
and the Subordinated amount remaining), together with certain other
information relating to the certificates, is contained in the
Monthly Report for the Monthly Period provided to certificateholders
pursuant to the Pooling and Servicing Agreement (the "Agreement")
dated as of May 1, 1999 between ADVANTA Mortgage Corp.,
USA as Servicer, and Bankers Trust Company, as Trustee.


Item 7.                         Financial Statements, Exhibits

                 Exhibit No.                    Exhibit

                             1. Monthly Report for the June, 1999 Monthly
                                period relating to the Mortgage Loan Asset-
                                Backed Certificates Series 1999-2, Class A
                                issued by the ADVANTA Mortgage Loan
                                Trust 1999-2.


                                                EXHIBIT INDEX

Exhibit

       1.        Monthly Report for the June, 1999 Monthly
                 Period relating to the Mortgage Loan Asset-Backed
                 Certificates, Series 1999-2, Class A issued by the
                 ADVANTA Mortgage Loan Trust 1999-2.





                                                SIGNATURE


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 thereunto duly authorized.



ADVANTA Mortgage Loan Trust 1999-2

BY:              ADVANTA Mortgage Corp., USA




BY:              /s/ H. John Berens
                 H. John Berens
                 Senior Vice President
                 Advanta Mortgage



  August 31, 1999
<TABLE>
                                                EXHIBIT 1


                 ADVANTA Mortgage Loan Trust 1999-2

                            Statement to Certificateholders

<CAPTION>
                 Original       Prior
                 Face           Principal
Class            Value          Balance         Interest        Principal      Total
<S>              <C>            <C>             <C>             <C>            <C>
A-1                  114,000,000    111,658,458.           499,2      4,427,753        4,927,014.34
A-2                    90,000,00      90,000,000           474,0                          474,000.00
A-3                    40,000,00      40,000,000           214,6                          214,666.67
A-4                    95,000,00      95,000,000           545,4                          545,458.33
A-5                    31,700,00      31,700,000           188,8                          188,879.17
A-6                    41,000,00      41,000,000           233,0                          233,016.67
A-7                  105,800,000    104,873,767.           479,7      1,195,856        1,675,617.27
B                                                                                                      -
BS                                                                                                     -
R                                                                                                      -

Totals               517,500,000    514,232,225.        2,635,04      5,623,609        8,258,652.45
</TABLE>
<TABLE>
<CAPTION>
                                                Current         Pass-Through
                 Realized       Deferred        Principal       Rates
Class            Losses         Interest        Balance         Current        Next
<S>              <C>            <C>             <C>             <C>            <C>
A-1                                                 107,230,704.      5.192500%       5.263750%
A-2                                                   90,000,000      6.320000%       6.320000%
A-3                                                   40,000,000      6.440000%       6.440000%
A-4                                                   95,000,000      6.890000%       6.890000%
A-5                                                   31,700,000      7.150000%       7.150000%
A-6                                                   41,000,000      6.820000%       6.820000%
A-7                                                 103,677,911.      5.312500%       5.383750%
B                                                                     0.000000%       0.000000%
BS                                                                    0.000000%       0.000000%
R                                                                     0.000000%       0.000000%

Totals                                              508,608,615.62
</TABLE>
<TABLE>
<CAPTION>
                                Prior                                                          Current
                                Principal                                                      Principal
Class            CUSIP          Balance         Interest        Principal      Total           Balance
<S>              <C>            <C>             <C>             <C>            <C>             <C>
A-1                 00755WGN0         979.460160        4.379479      38.839945       43.219424     940.620215
A-2                 00755WGP5       1,000.000000        5.266667       0.000000        5.266667   1,000.000000
A-3                 00755WGQ3       1,000.000000        5.366667       0.000000        5.366667   1,000.000000
A-4                 00755WGR1       1,000.000000        5.741667       0.000000        5.741667   1,000.000000
A-5                 00755WGS9       1,000.000000        5.958333       0.000000        5.958333   1,000.000000
A-6                 00755WGT7       1,000.000000        5.683333       0.000000        5.683333   1,000.000000
A-7                 00755WGU4         991.245437        4.534604      11.302989       15.837593     979.942448
B                                       0.000000        0.000000       0.000000        0.000000       0.000000
BS                                      0.000000        0.000000       0.000000        0.000000       0.000000
R                                       0.000000        0.000000       0.000000        0.000000       0.000000
</TABLE>
<TABLE>
Delinquent Loan Information:
<CAPTION>
                                                                90+ Days       Loans           Loans
                                30-59           60-89           excldg f/c,REO in              in
                                Days            Days            & Bkrptcy      Bankruptcy      REO
<S>                             <C>             <C>             <C>            <C>             <C>
Group I          Principal Balan        4,651,65        1,231,25         415,41           356,1
                 % of Pool Balan        1.14422%        0.32870%       0.10219%        0.08761%       0.00000%
                 Number of Loans              80              21              8               9              0
                 % of Loans             1.39058%        0.36503%       0.13906%        0.15644%       0.00000%
Group 2          Principal Balan        1,603,72           497,4                          469,6
                 % of Pool Balan        1.53574%        0.47641%       0.00000%        0.44977%       0.00000%
                 Number of Loans              22               6              0               4              0
                 % of Loans             1.89819%        0.51769%       0.00000%        0.34513%       0.00000%


                                Loans
                                in
                                Foreclosure
                                <C>
Group I          Principal Balan        1,029,204.88
                 % of Pool Balan        0.25316%
                 Number of Loans              14
                 % of Loans             0.24335%
Group 2          Principal Balan           190,190.53
                 % of Pool Balan        0.18213%
                 Number of Loans               3
                 % of Loans             0.25884%


</TABLE>
<TABLE>
General Mortgage Loan Information:
<CAPTION>
                                                                    Group 1        Group II         Total
<S>                                                             <C>            <C>             <C>
Beginning Aggregate Mortgage Loan Balance                          370,952,906.    105,334,230.   476,287,137.
Subsequent Mortgage Loans Added This Period                      39,172,381.78            0.00  39,172,381.78
Principal Reduction                                                   3,589,452           907,3      4,496,820
Ending Aggregate Mortgage Loan Balance                             406,535,836.    104,426,862.   510,962,698.

Beginning Aggregate Mortgage Loan Count                                    5787            1167           6954
Ending Aggregate Mortgage Loan Count                                       5753            1159           6912

Current Weighted Average Coupon Rate                                  9.656256%       9.668610%      9.658781%
Next Weighted Average Coupon Rate                                     9.652327%       9.665544%      9.655028%
</TABLE>
<TABLE>
Mortgage Loan Principal Reduction Information:
<CAPTION>
                                                                    Group 1        Group II         Total
<S>                                                             <C>            <C>             <C>
Scheduled Principal                                                      509,37            57,0         566,45
Curtailments                                                              (12,4                          (12,6
Prepayments                                                           2,997,507           796,5      3,794,050
Repurchases/Substitutions                                            95,000.00       54,000.00          149,00
Liquidation Proceeds                                                      0.00            0.00           0.00
Other Principal                                                           0.00            0.00           0.00
Amounts Remaining in Pre-Funding Account at end of pre-funding p          0.00            0.00           0.00

Less: Realized Losses                                                     0.00            0.00           0.00

Total Principal Reduction                                          3,589,452.21      907,368.59      4,496,820

</TABLE>
<TABLE>
Servicer Information:
<CAPTION>
                                                                    Group I        Group II         Total
<S>                                                             <C>            <C>             <C>
Accrued Servicing Fee for the Current Period                             256,32            65,8         322,16
Less: Amounts to Cover Interest Shortfalls                                                0.00
Less: Delinquent Service Fees                                              31,6              9,           40,8
Collected Servicing Fees for Current Period:                             224,12            56,6         280,75

Advanced Principal                                               N/A            N/A                      0.00
Advanced Interest                                                        404,96           118,0         522,97
</TABLE>
<TABLE>
<CAPTION>
                                Other                            Interest
                 Prepayment     Unscheduled                     Carry
                 Principal      Principal                       Forward
Class            Distributed    Distributed                     Amount
<S>              <C>            <C>             <C>             <C>
A-1                      2,997,5            82,573.75                                 -
A-2                                                     -                             -
A-3                                                     -                             -
A-4                                                     -                             -
A-5                                                     -                             -
A-6                                                     -                             -
A-7                        796,5                (256.21)                              -

Total                    3,794,0            82,317.54                                 -
</TABLE>
<TABLE>
<CAPTION>
                                                                     Over-
                      Has a                      Specified Over-  Collateral.        Over
                  Trigger Event                   Collateral.      Increase      Collateral.
                    Occurred                         Amount         Amount          Amount
<S>              <S>            <C>             <C>             <C>            <C>             <C>
Group I                NO                               6,175,50         838,30        1,605,131.49
Group II               NO                               5,555,67         288,48           748,951.20

Total                                                 11,731,170      1,126,789        2,354,082.69
Overcollateralization Amounts do not include Pre-Funding Amounts
</TABLE>
<TABLE>
<CAPTION>

MISCELLANEOUS INFORMATION:
<CAPTION>
                                                                    Group I        Group II         Total
<S>                                                             <C>            <C>             <C>
Insured Payment                                                           0.00            0.00           0.00
Realized Losses                                                           0.00            0.00           0.00
60+ Day Delinquent Loans (Excluding F/C, REO & Bankruptcy)        1,646,676.96      497,498.96   2,144,175.92
Book Value of REO Loans                                                   0.00            0.00           0.00

Pool Cumulative Realized Losses - Avg of 12 Preceeding Remittance Period                                 0.00%
Pool Cumulative Realized Losses - % of Mortgage Loans as of Cut-Off Date                                 0.00%
Class A-7 Supplemental Interest Amount                                                                   0.00

TOTAL AVAILABLE FUNDS:
<CAPTION>
<S>              <S>                                            <C>            <C>             <C>
                 Current Interest Collected:                          3,585,089.65

                 Principal Collected:                                 4,347,820.80

                 Insurance Proceeds Received:                                         -

                 Net Liquidation Proceeds:                                            -

                 Delinquency Advances on Mortgage Interest:              522,979.71

                 Delinquency Advances on Mortgage Principal      N/A

                 Substitution Amounts:                                   149,000.00

                 Trust Termination Proceeds:                                          -

                 Investment Earnings on Certificate Account:                          -

                 Capitalized Interest Requirement                                     -

                 Capitalized Interest Fund Earnings                                   -

                 Capitalized Interest Account                                         -

                 Investment Earnings on Pre-funding Account                           -

                 Pre-Funding Account                                                  -

                 Sum of the Above Amounts:                                             8,604,890.16

LESS:

                 Servicing Fees (including PPIS):                        281,306.13

                 Dealer Reserve:                                                      -

                 Trustee Fees:                                              3,865.95

                 Insurance Premiums:                                       61,065.64

                 Reimbursement of Delinquency Advances:                               -

                 Reimbursements of Servicing Advances:                                -

                 Total Reductions to Available Funds Amount:                              346,237.72

                 Total Available Funds:                                                              8,258,652
</TABLE>



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