MORGAN JP COMMERCIAL MOR FIN CORP MOR PAS THR CE SER 2000-C9
8-K, 2000-10-31
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: October 25, 2000
(Date of earliest event reported)

J.P. Morgan Commercial Mortgage Finance Corporation.
(Sponsor)
(Issuer in Respect of
Commercial Mortgage Pass-Through Certificates
Series 2000-C9)
(Exact name of registrant as specified in charter)

Delaware 133-789046
(State or other juris- (Commission (I.R.S. Employer
diction of organization) File No.) Identification No.)


60 Wall Street New York, N.Y. 10260-0066
(Address of principal executive offices) (Zip Code)


Registrant's Telephone Number, including area code (212) 648-9344


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




ITEM 5. OTHER EVENTS

On January 1, 2000, a single series of certificates, entitled J.P Morgan Commercial Mortgage Finance Corporation, Commercial Mortgage Pass-Through Certificates, Series 2000-C9 (the "Certificates"), was issued pursuant to a pooling and servicing agreement (the "Pooling and Servicing Agreement"), entered into by and among Structured Asset Securities Corporation (the "Registrant"), a master servicer, a special servicer, a trustee and a fiscal agent. The Pooling and Servicing is attached hereto as Exhibit 4.1. Certain classes of the Certificates, designated as Class A-1, Class A-2, Class B, Class C, Class D, Class E, Class F and Class X (collectively, the "Underwriter") pursuant to an underwriting agreement between the Registrant and the Underwriter. The Underwriting Agreement is attached hereto as Exhibit 1.1.

In connection with the sale of the Underwritten Certificates, the Registrant has been advised that prospective investors may have been furnished with certain materials attached hereto as Exhibit 99.1 that constitute "Computational Materials" (as defined in the no-action letter dated May 20, 1994 issued by the Division of Corporation Finance of the Securities and Exchange Commission (the "Commission") to Kidder, Peabody Acceptance Corporation I, Kidder, Peabody & Co. Incorporated, and Kidder Structured Asset Corporation and Finance of the Commission to the Public Securities Association) and/or "ABS Term Sheets" (as defined in the no-action letter dated February 17, 1995 issued by the Division of Corporation Finance of the Commission t o the Public Securities Association).




ITEM 7. FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION
AND EXHIBITS

(c) Exhibits



Exhibit No. Description



1.1 Underwriting Agreement, dated as of January 1, 2000, between Morgan Guaranty Trust Company, as seller and J.P. Morgan Securities Inc., as underwriter.

4.1 Pooling and Servicing Agreement, dated as of January 1, 2000, among J.P. Morgan Commercial Mortgage Finance Corporation, as depositor, ORIX real Estate Capital Markets, L.L.C., as master servicer, ORIX, Real Estate Capital Markets, LLC, as special servicer, Norwest Bank Minnesota , National Association, as Trustee, LaSalle Bank National Association, as bond administrator and ABN AMRO Bank N.V., as fiscal agent.

99.1 Certain materials constituting Computational Materials and/or ABS Term Sheets prepared and disseminated in connection with the sale of the Underwritten Certificates.



Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on behalf of the Registrant by the undersigned thereunto duly authorized.

LASALLE NATIONAL BANK, IN
ITS CAPACITY AS BOND ADMINISTRATOR
UNDER THE POOLING AND
SERVICING AGREEMENT ON
BEHALF OF J.P. MORGAN, REGISTRANT




By: /s Russell Goldenberg
Russell Goldenberg,
Senior Vice President



Date: October 25, 2000























































































































































































































































ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
135 S. LASALLE STREET SUITE 1625
CHICAGO, IL 60674-4107
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE
PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
ADMINISTRATOR: REPORTING PACKAGE TABLE OF CONTENTS ANALYST:
BRIAN AMES (312) 904-7807 THOMAS HELMS (714) 282-3980 (203)
[email protected] [email protected]
PAGE(S)
ISSUE ID: JPM000C9 CLOSING DATE: 1/25/2000
STATEMENTS TO CERTIFICATEHOLDERS PAGE 2-5
ASAP #: 480 CASH RECONCILIATION SUMMARY PAGE 6 FIRST PAYMENT DATE: 2/15/2000
MONTHLY DATA FILE NAME: BOND INTEREST RECONCILIATION PAGE 7 ASSUMED FINAL PAYMENT: DATE: 10/15/2032
ASSET-BACKED FACTS ~ 15 MONTH LOAN STATUS SUMMARY PAGE 8
JPM000C9_200010_3.EXE ASSET-BACKED FACTS ~ 15 MONTH PAYOFF/LOSS SUMMARY PAGE 9
DELINQUENT LOAN DETAIL PAGE 10-11
HISTORICAL COLLATERAL PREPAYMENT PAGE 12
MORTGAGE LOAN CHARACTERISTICS PAGE 13-14
LOAN LEVEL DETAIL PAGE 15-20
SPECIALLY SERVICED (PART I) ~ LOAN DETAIL PAGE 21
MODIFIED LOAN DETAIL PAGE 22
REALIZED LOSS DETAIL PAGE 23
APPRAISAL REDUCTION DETAIL PAGE 24
PARTIES TO THE TRANSACTION
ISSUER: J.P. MORGAN & CO.
DEPOSITOR: J.P. MORGAN & CO.
MASTER SERVICER: ORIX REAL ESTATE CAPITAL MARKETS, LLC
SPECIAL SERVICER: ORIX REAL ESTATE CAPITAL MARKETS, LLC
RATING AGENCY: FITCH, INC./MOODY'S INVESTORS SERVICE, INC.
INFORMATION IS AVAILABLE FOR THIS ISSUE FROM THE FOLLOWING SOURCES
LASALLE WEB SITE WWW.LNBABS.COM
SERVICER WEB SITE
LASALLE BULLETIN BOARD (714) 282-3990
LASALLE ASAP FAX BACK SYSTEM (714) 282-5518
LASALLE FACTOR LINE (800) 246-5761
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 1 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PAYMENT DATE: 10/16/2000
WAC: 8.074171% LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR PRIOR PAYMENT: 09/15/2000
NEXT PAYMENT: 11/15/2000
WAMM: 103 SERIES 2000-C9
RECORD DATE: 09/29/2000
REMIC III
ABN AMRO ACCT: 67-8431-60-2
ORIGINAL OPENING PRINCIPAL PRINCIPAL NEGATIVE CLOSING INTEREST INTEREST PASS-THROUGH
CLASS FACE VALUE (1) BALANCE PAYMENT ADJ. OR LOSS AMORTIZATION BALANCE PAYMENT (2) ADJUSTMENT RATE
CUSIP PER $ 1000 PER $ 1000 PER $ 1000 PER $ 1000 PER $ 1000 PER $ 1000 PER $ 1000 NEXT RATE(3)
A1 200,000,000.00 195,186,682.32 696,747.23 0.00 0.00 194,489,935.09 1,234,555.77 0.00 7.59000000%
617059GX2 975.933411600 3.483736150 0.000000000 0.000000000 972.449675450 6.172778850 0.000000000 FIXED
A2 404,682,000.00 404,682,000.00 0.00 0.00 0.00 404,682,000.00 2,620,315.95 0.00 7.77000000%
617059GY0 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.475000000 0.000000000 FIXED
X 814,388,116.00 N 809,574,797.83 0.00 0.00 0.00 808,878,050.60 253,621.85 0.00 0.37593342%
617059GZ7 994.089650775 0.000000000 0.000000000 0.000000000 993.234103873 0.311426266 0.000000000 0.588893012%
B 36,647,000.00 36,647,000.00 0.00 0.00 0.00 36,647,000.00 240,215.58 0.00 7.86581975%
617059HA1 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.554849783 0.000000000 8.118922040%
C 38,683,000.00 38,683,000.00 0.00 0.00 0.00 38,683,000.00 256,140.12 0.00 7.94581975%
617059HB9 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.621516428 0.000000000 8.198922040%
D 10,179,000.00 10,179,000.00 0.00 0.00 0.00 10,179,000.00 67,654.89 0.00 7.97581975%
617059HC7 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516357 0.000000000 8.228922040%
E 28,503,000.00 28,503,000.00 0.00 0.00 0.00 28,503,000.00 189,445.66 0.00 7.97581975%
617059HD5 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516507 0.000000000 8.228922040%
F 14,251,000.00 14,251,000.00 0.00 0.00 0.00 14,251,000.00 94,719.51 0.00 7.97581975%
617059HE3 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516736 0.000000000 8.228922040%
G 14,251,000.00 14,251,000.00 0.00 0.00 0.00 14,251,000.00 74,223.96 0.00 6.25000000%
617059HF0/U61767BV7 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 5.208333450 0.000000000 FIXED
H 20,359,000.00 20,359,000.00 0.00 0.00 0.00 20,359,000.00 106,036.46 0.00 6.25000000%
617059HG8/U61767BW5 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 5.208333415 0.000000000 FIXED
J 26,467,000.00 26,467,000.00 0.00 0.00 0.00 26,467,000.00 137,848.96 0.00 6.25000000%
617059HH6/U61767BX3 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 5.208333396 0.000000000 FIXED
K 6,107,000.00 6,107,000.00 0.00 0.00 0.00 6,107,000.00 31,807.29 0.00 6.25000000%
617059HJ2/U61767BY1 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 5.208333060 0.000000000 FIXED
NR 14,259,115.51 14,259,115.51 0.00 0.00 0.00 14,259,115.51 71,383.55 (2,882.68) 6.25000000%
617059HK9/U61767BZ8 1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 5.006169559 (0.202164012) FIXED
R-III 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 N/A
617059HN3/U61767CC8 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000
TOTAL 814,388,115.51 809,574,797.83 696,747.23 0.00 0.00 808,878,050.60 5,377,969.55 (2,882.68)
TOTAL P&I PAYMENT 6,074,716.78
UNCERTIFICATED INT I 200,000,000.00 195,186,682.32 696,747.23 0.00 0.00 194,489,935.09 1,297,311.50 0.00 7.97581975%
975.933411600 3.483736150 0.000000000 0.000000000 972.449675450 6.486557500 0.000000000 8.228922040%
UNCERTIFICATED INT II 404,682,000.00 404,682,000.00 0.00 0.00 0.00 404,682,000.00 2,689,725.57 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516450 0.000000000 8.228922040%
UNCERTIFICATED INT III 36,647,000.00 36,647,000.00 0.00 0.00 0.00 36,647,000.00 243,574.89 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516495 0.000000000 8.228922040%
UNCERTIFICATED INT IV 38,683,000.00 38,683,000.00 0.00 0.00 0.00 38,683,000.00 257,107.20 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516558 0.000000000 8.228922040%
UNCERTIFICATED INT V 10,179,000.00 10,179,000.00 0.00 0.00 0.00 10,179,000.00 67,654.89 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516357 0.000000000 8.228922040%
UNCERTIFICATED INT VI 28,503,000.00 28,503,000.00 0.00 0.00 0.00 28,503,000.00 189,445.66 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516507 0.000000000 8.228922040%
UNCERTIFICATED INT VII 14,251,000.00 14,251,000.00 0.00 0.00 0.00 14,251,000.00 94,719.51 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516736 0.000000000 8.228922040%
UNCERTIFICATED INT VIII 14,251,000.00 14,251,000.00 0.00 0.00 0.00 14,251,000.00 94,719.51 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516736 0.000000000 8.228922040%
UNCERTIFICATED INT IX 20,359,000.00 20,359,000.00 0.00 0.00 0.00 20,359,000.00 135,316.43 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516528 0.000000000 8.228922040%
UNCERTIFICATED INT X 26,467,000.00 26,467,000.00 0.00 0.00 0.00 26,467,000.00 175,913.35 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646516417 0.000000000 8.228922040%
UNCERTIFICATED INT XI 6,107,000.00 6,107,000.00 0.00 0.00 0.00 6,107,000.00 40,590.28 0.00 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.646517112 0.000000000 8.228922040%
UNCERTIFICATED INT XII 14,259,115.51 14,259,115.51 0.00 0.00 0.00 14,259,115.51 91,890.76 (2,882.68) 7.97581975%
1000.000000000 0.000000000 0.000000000 0.000000000 1000.000000000 6.444352031 (0.202164012) 8.228922040%
R-II 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 N/A
617059HM5/U61767CB0 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000
TOTAL 814,388,115.51 809,574,797.83 696,747.23 0.00 0.00 808,878,050.60 5,377,969.55 (2,882.68)
TOTAL P&I PAYMENT 6,074,716.78
UNCERTIFICATED INT 814,388,115.51 809,574,797.83 696,747.23 0.00 0.00 808,878,050.60 5,377,969.55 (2,882.68) 7.97581975%
994.089651373 0.855546903 0.000000000 0.000000000 993.234104471 6.603693555 (0.003539688) 8.228922040%
R-I 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 N/A
617059HL7/U61767CA2 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000 0.000000000
TOTAL 814,388,115.51 809,574,797.83 696,747.23 0.00 0.00 808,878,050.60 5,377,969.55 (2,882.68)
TOTAL P&I PAYMENT 6,074,716.78
NOTES: (1) N DENOTES NOTIONAL BALANCE NOT INCLUDED IN TOTAL (2) ACCRUED INTEREST PLUS/MINUS INTEREST ADJUSTMENT MINUS DEFERRED INTEREST EQUALS INTEREST PAYMENT (3) ESTIMATED. * DENOTES CONTROLLING CLASS
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 2 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PAYMENT DATE: 10/16/2000
PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
CASH RECONCILIATION SUMMARY
INTEREST SUMMARY SERVICING FEE SUMMARY PRINCIPAL SUMMARY
CURRENT SCHEDULED INTEREST 4,496,415.08 CURRENT SERVICING FEES 53,425.45 SCHEDULED:
LESS DEFERRED INTEREST 0.00 PLUS FEES ADVANCED FOR PPIS 0.00 CURRENT SCHEDULED PRINCIPAL 554,944.85
PLUS ADVANCE INTEREST 939,886.53 LESS REDUCTION FOR PPIS 0.00 ADVANCED SCHEDULED PRINCIPAL 141,802.36
PLUS UNSCHEDULED INTEREST 0.00 PLUS UNSCHEDULED SERVICING FEES 18.41 SCHEDULED PRINCIPAL DISTRIBUTION 696,747.21
PPIS REDUCING SCHEDULED INTEREST 0.00 TOTAL SERVICING FEES PAID 53,443.86 UNSCHEDULED:
LESS TOTAL FEES PAID TO SERVICER (53,443.86) CURTAILMENTS 0.02
PLUS FEES ADVANCED FOR PPIS 0.00 PREPAYMENTS IN FULL 0.00
LESS FEE STRIPS PAID BY SERVICER 0.00 PPIS SUMMARY LIQUIDATION PROCEEDS 0.00
LESS MISC. FEES & EXPENSES (2,864.27) GROSS PPIS 0.00 REPURCHASE PROCEEDS 0.00
LESS NON RECOVERABLE ADVANCES 0.00 REDUCED BY PPIE 0.00 OTHER PRINCIPAL PROCEEDS 0.00
INTEREST DUE TRUST 5,379,993.48 REDUCED BY SHORTFALLS IN FEES 0.00 UNSCHEDULED PRINCIPAL DISTRIBUTION 0.02
LESS TRUSTEE FEE (2,023.94) REDUCED BY OTHER AMOUNTS 0.00 REMITTANCE PRINCIPAL 696,747.23
LESS FEE STRIPS PAID BY TRUST 0.00 NET PPIS 0.00
LESS MISC. FEES PAID BY TRUST 0.00 PPIS REDUCING SERVICING FEE 0.00 SERVICER WIRE AMOUNT 6,076,740.71
REMITTANCE INTEREST 5,377,969.54 PPIS ALLOCATED TO CERTIFICATES 0.00
POOL BALANCE SUMMARY
BALANCE/AMOUNT COUNT
BEGINNING POOL 809,574,797.83 140
SCHEDULED PRINCIPAL DISTRIBUTION 696,747.21
UNSCHEDULED PRINCIPAL DISTRIBUTION 0.02 0
DEFERRED INTEREST 0.00
LIQUIDATIONS 0.00 0
REPURCHASES 0.00 0
ENDING POOL 808,878,050.60 140
ADVANCES
PRIOR OUTSTANDING CURRENT PERIOD RECOVERED ENDING OUTSTANDING
PRINCIPAL INTEREST PRINCIPAL INTEREST PRINCIPAL INTEREST PRINCIPAL INTEREST
MADE BY: SERVICER 35,998.24 22,531.46 141,802.36 939,886.53 17,143.10 214,385.31 160,657.50 748,032.68
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 6 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE
PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR
NEXT PAYMENT: 11/15/2000
SERIES 2000-C9
RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
BOND INTEREST RECONCILIATION
DEDUCTIONS ADDITIONS
REMAINING
ACCRUAL PASS ACCRUED ADD.
DEFERRED &
PRIOR PREPAY- OTHER DISTRIBUTABLE INTEREST OUTSTANDING
CREDIT SUPPORT
THRU CERTIFICATE ALLOCABLE TRUST ACCRETION INTEREST INT. SHORT- MENT INTEREST CERTIFICATE PAYMENT INTEREST
CLASS METHOD DAYS RATE INTEREST PPIS EXPENSE (1) INTEREST LOSSES FALLS DUE PENALTIES PROCEEDS (2)
INTEREST
AMOUNT SHORTFALLS ORIGINAL CURRENT(3)
A1 30/360 30 7.590000000% 1,234,555.77 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,234,555.77 1,234,555.77 0.00 25.75% 25.93%
A2 30/360 30 7.770000000% 2,620,315.95 0.00 0.00 0.00 0.00 0.00 0.00 0.00 2,620,315.95 2,620,315.95 0.00 25.75% 25.93%
X 30/360 30 0.375933422% 253,621.85 0.00 0.00 0.00 0.00 0.00 0.00 0.00 253,621.85 253,621.85 0.00 NA NA
B 30/360 30 7.865819753% 240,215.58 0.00 0.00 0.00 0.00 0.00 0.00 0.00 240,215.58 240,215.58 0.00 21.25% 21.39%
C 30/360 30 7.945819753% 256,140.12 0.00 0.00 0.00 0.00 0.00 0.00 0.00 256,140.12 256,140.12 0.00 16.50% 16.61%
D 30/360 30 7.975819753% 67,654.89 0.00 0.00 0.00 0.00 0.00 0.00 0.00 67,654.89 67,654.89 0.00 15.25% 15.35%
E 30/360 30 7.975819753% 189,445.66 0.00 0.00 0.00 0.00 0.00 0.00 0.00 189,445.66 189,445.66 0.00 11.75% 11.83%
F 30/360 30 7.975819753% 94,719.51 0.00 0.00 0.00 0.00 0.00 0.00 0.00 94,719.51 94,719.51 0.00 10.00% 10.07%
G 30/360 30 6.250000000% 74,223.96 0.00 0.00 0.00 0.00 0.00 0.00 0.00 74,223.96 74,223.96 0.00 8.25% 8.31%
H 30/360 30 6.250000000% 106,036.46 0.00 0.00 0.00 0.00 0.00 0.00 0.00 106,036.46 106,036.46 0.00 5.75% 5.79%
J 30/360 30 6.250000000% 137,848.96 0.00 0.00 0.00 0.00 0.00 0.00 0.00 137,848.96 137,848.96 0.00 2.50% 2.52%
K 30/360 30 6.250000000% 31,807.29 0.00 0.00 0.00 0.00 0.00 0.00 0.00 31,807.29 31,807.29 0.00 1.75% 1.76%
NR 30/360 30 6.250000000% 74,266.23 0.00 0.00 0.00 0.00 6,639.10 0.00 0.00 80,905.33 71,383.55 9,556.36 1.75% 1.76%
5,380,852.23 0.00 0.00 0.00 0.00 6,639.10 0.00 0.00 5,387,491.33 5,377,969.55 9,556.36
(1) ADDITIONAL TRUST EXPENSES ARE FEES ALLOCATED DIRECTLY TO THE BOND RESULTING IN A DEDUCTION TO ACCRUED INTEREST AND NOT CARRIED AS AN OUTSTANDING SHORTFALL.
(2) OTHER INTEREST PROCEEDS INCLUDE DEFAULT INTEREST, PPIE, INTEREST DUE ON OUTSTANDING LOSSES, INTEREST DUE ON OUTSTANDING SHORTFALLS AND RECOVERIES OF INTEREST.
(3) DETERMINED AS FOLLOWS: (A) THE ENDING BALANCE OF ALL THE CLASSES LESS (B) THE SUM OF (I) THE ENDING BALANCE OF THE CLASS AND (II) THE ENDING BALANCE OF ALL CLASSES WHICH ARE NOT SUBORDINATE TO THE CLASS DIVIDED BY (A).
PAGE 7 OF 24
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A.
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE
PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR
NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
ASSET-BACKED FACTS ~ 15 MONTH HISTORICAL LOAN STATUS SUMMARY
DELINQUENCY AGING CATEGORIES SPECIAL EVENT CATEGORIES (1)
DISTRIBUTION
DATE
DELINQ 1 MONTH DELINQ 2 MONTHS DELINQ 3+ MONTHS FORECLOSURE REO MODIFICATIONS SPECIALLY SERVICED BANKRUPTCY
# BALANCE # BALANCE # BALANCE # BALANCE # BALANCE # BALANCE # BALANCE # BALANCE
10/16/00 1 4,539,862 1 4,568,988 0 0 0 0 0 0 0 0 2 18,293,864 0 0
0.71% 0.00% 0.71% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 1.43% 2.26% 0.00% 0.00%
9/15/00 1 4,576,584 0 0 0 0 0 0 0 0 0 0 1 13,748,497 0 0
0.71% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.71% 1.70% 0.00% 0.00%
8/15/00 1 4,553,219 0 0 0 0 0 0 0 0 0 0 1 13,768,650 0 0
0.71% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.71% 1.70% 0.00% 0.00%
7/17/00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
6/15/00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
5/15/00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
4/17/00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
3/15/00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
2/15/00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
(1) NOTE: MODIFICATION, SPECIALLY SERVICED & BANKRUPTCY TOTALS ARE INCLUDED IN THE APPROPRIATE DELINQUENCY AGING CATEGORY
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 8 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR
NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
ASSET-BACKED FACTS ~ 15 MONTH HISTORICAL PAYOFF/LOSS SUMMARY
ENDING POOL (1) PAYOFFS(2) PENALTIES APPRAISAL REDUCT. (2) LIQUIDATIONS (2) REALIZED LOSSES (2) REMAINING TERM CURR WEIGHTED AVG.
DISTRIBUTION
DATE
# BALANCE # BALANCE # AMOUNT # BALANCE # BALANCE # AMOUNT LIFE AMORT. COUPON REMIT
10/16/00 140 808,878,051 0 0 0 0 0 0 0 0 0 0 103 309 8.07% 7.98%
100.00% 99.32% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
9/15/00 140 809,574,798 0 0 0 0 0 0 0 0 0 0 106 310 8.33% 8.23%
100.00% 99.41% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
8/15/00 140 810,113,928 0 0 0 0 0 0 0 0 0 0 107 311 8.33% 8.23%
100.00% 99.48% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
7/17/00 140 810,649,327 0 0 0 0 0 0 0 0 0 0 108 312 8.07% 7.98%
100.00% 99.54% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
6/15/00 140 811,334,167 0 0 0 0 0 0 0 0 0 0 109 313 8.33% 8.23%
100.00% 99.63% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
5/15/00 140 811,861,117 0 0 0 0 0 0 0 0 0 0 126 314 8.07% 7.98%
100.00% 99.69% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
4/17/00 140 812,537,811 0 0 0 0 0 0 0 0 0 0 127 315 8.33% 8.23%
100.00% 99.77% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
3/15/00 140 813,056,427 0 0 0 0 0 0 0 0 0 0 110 316 7.82% 7.98%
100.00% 99.84% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
2/15/00 140 813,878,787 0 0 0 0 0 0 0 0 0 0 111 317 8.33% 7.98%
100.00% 99.94% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
(1) PERCENTAGE BASED ON POOL AS OF CUTOFF. (2) PERCENTAGE BASED ON POOL AS OF BEGINNING OF PERIOD.
PAGE 9 OF 24
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A.
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP. STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
NEXT PAYMENT: 11/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR RECORD DATE: 09/29/2000
SERIES 2000-C9
ABN AMRO ACCT: 67-8431-60-2
DELINQUENT LOAN DETAIL
DISCLOSURE
CONTROL #
PAID
THRU
DATE
CURRENT P&I
ADVANCE
OUTSTANDING
P&I
ADVANCES**
OUT. PROPERTY
PROTECTION
ADVANCES
ADVANCE
DESCRIPTION (1)
SPECIAL
SERVICER
TRANSFER DATE
FORECLOSURE
DATE
BANKRUPTCY
DATE
REO
DATE
006 9/1/00 123,575.99 123,575.99 0.00 B
011 9/1/00 102,832.66 102,832.66 0.00 B
015 9/1/00 100,664.30 100,664.30 0.00 B
026 9/1/00 67,227.51 67,227.51 0.00 B
028 9/1/00 64,933.95 64,933.95 0.00 B
032 9/1/00 60,006.52 60,006.52 0.00 B
043 9/1/00 40,948.15 40,948.15 0.00 B
047 9/1/00 38,135.28 38,135.28 0.00 B
053 7/1/00 41,271.70 123,796.14 0.00 2 10/3/00
054 8/1/00 41,840.94 83,672.68 0.00 1
062 9/1/00 36,963.54 36,963.54 0.00 B
063 9/1/00 30,584.07 30,584.07 0.00 B
067 9/1/00 27,540.90 27,540.90 0.00 B
072 9/1/00 27,425.53 27,425.53 0.00 B
079 9/1/00 27,786.71 27,786.71 0.00 B
081 9/1/00 24,755.77 24,755.77 0.00 B
090 9/1/00 21,423.17 21,423.17 0.00 B
097 9/1/00 20,319.79 20,319.79 0.00 B
101 9/1/00 17,371.99 17,371.99 0.00 B
104 9/1/00 14,767.86 14,767.86 0.00 B
106 9/1/00 16,427.54 16,427.54 0.00 B
108 9/1/00 13,858.19 13,858.19 0.00 B
109 9/1/00 14,172.13 14,172.13 0.00 B
110 9/1/00 13,210.99 13,210.99 0.00 B
117 9/1/00 13,937.66 13,937.66 0.00 B
119 9/1/00 13,646.42 13,646.42 0.00 B
125 9/1/00 10,365.47 10,365.47 0.00 B
126 9/1/00 12,020.16 12,020.16 0.00 B
129 9/1/00 9,363.63 9,363.63 0.00 B
133 9/1/00 8,310.63 8,310.63 0.00 B
134 9/1/00 9,730.60 9,730.60 0.00 B
136 9/1/00 7,683.29 7,683.29 0.00 B
137 9/1/00 8,585.83 8,585.83 0.00 B
TOTAL 1,081,688.89 1,206,045.06
A. P&I ADVANCE - LOAN IN GRACE PERIOD 1. P&I ADVANCE - LOAN DELINQ. 1 MONTH 3. P&I ADVANCE - LOAN DELINQUENT 3 + MONTHS 7. P &I ADVANCE (FORECLOSURE)
B. P&I ADVANCE - LATE PAYMENT BUT < 1 MONTH DELINQ. 2. P&I ADVANCE - LOAN DELINQ. 2 MONTHS 4. MATURED BALLOON/ASSUMED SCHED. PAYMENT 9. P&I ADVANCE (REO)
** OUTSTANDING P&I ADVANCES INCLUDE THE CURRENT PERIOD P&I ADVANCE
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 10 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
HISTORICAL COLLATERAL LEVEL PREPAYMENT REPORT
DISCLOSURE
CONTROL #
PAYOFF
PERIOD
INITIAL
BALANCE
TYPE
PAYOFF
AMOUNT
PENALTY
AMOUNT
PREPAYMENT
DATE
MATURITY
DATE
PROPERTY
TYPE
STATE
CUMULATIVE
PAGE 12 OF 24
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A.
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
MORTGAGE LOAN CHARACTERISTICS
DISTRIBUTION OF PRINCIPAL BALANCES DISTRIBUTION OF MORTGAGE INTEREST RATES
CURRENT SCHEDULED
BALANCE
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WEIGHTED AVERAGE
TERM COUPON PFY DSCR
0 TO 1,000,000 4 3,474,224 0.43 % 95 8.05 % 0.90
1,000,000 TO 1,500,000 16 20,223,887 2.50 % 99 8.16 % 0.84
1,500,000 TO 2,000,000 22 39,217,690 4.85 % 107 8.20 % 0.60
2,000,000 TO 2,500,000 5 11,615,319 1.44 % 89 8.33 % 0.45
2,500,000 TO 3,000,000 7 19,279,725 2.38 % 99 8.25 % 0.73
3,000,000 TO 3,500,000 14 47,108,864 5.82 % 109 8.02 % 0.58
3,500,000 TO 4,000,000 8 29,455,370 3.64 % 91 8.30 % 0.63
4,000,000 TO 4,500,000 8 34,367,565 4.25 % 101 8.10 % 0.30
4,500,000 TO 5,000,000 10 47,099,095 5.82 % 107 8.29 % 0.35
5,000,000 TO 6,000,000 9 47,238,820 5.84 % 101 8.18 % 0.34
6,000,000 TO 7,500,000 4 26,386,675 3.26 % 102 7.40 % 0.99
7,500,000 TO 10,000,000 9 79,277,140 9.80 % 106 8.10 % 0.28
10,000,000 TO 12,500,000 8 88,787,349 10.98 % 114 8.36 % 0.44
12,500,000 TO 15,000,000 6 82,351,338 10.18 % 115 8.07 % 0.00
15,000,000 TO 17,500,000 3 49,830,825 6.16 % 97 7.73 % 0.76
17,500,000 TO 20,000,000 1 18,586,305 2.30 % 105 7.98 % 1.39
20,000,000 TO 25,000,000 4 88,028,507 10.88 % 108 8.03 % 0.81
25,000,000 TO 30,000,000 1 27,324,354 3.38 % 99 7.30 % 1.34
30,000,000 TO 45,000,000 0 0 0.00 % 0 0.00 % 0.00
45,000,000 & ABOVE 1 49,225,000 6.09 % 60 8.13 % 0.00
140 808,878,051 100.00 %
AVERAGE SCHEDULE BALANCE 5,777,700
MAXIMUM SCHEDULE BALANCE 49,225,000
MINIMUM SCHEDULE BALANCE 794,377
CURRENT MORTGAGE
INTEREST RATE
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WEIGHTED AVERAGE
TERM COUPON PFY DSCR
0.000% TO 7.250% 2 11,753,347 1.45 % 96 6.75 % 1.92
7.250% TO 7.375% 1 27,324,354 3.38 % 99 7.30 % 1.34
7.375% TO 7.500% 6 63,702,331 7.88 % 117 7.44 % 1.29
7.501% TO 7.625% 4 15,716,562 1.94 % 107 7.58 % 0.56
7.625% TO 7.750% 3 14,104,903 1.74 % 106 7.69 % 0.56
7.750% TO 7.875% 14 64,519,604 7.98 % 99 7.82 % 0.20
7.875% TO 8.000% 16 113,594,437 14.04 % 106 7.96 % 0.33
8.000% TO 8.125% 17 89,608,718 11.08 % 108 8.07 % 0.28
8.125% TO 8.250% 33 161,182,676 19.93 % 88 8.16 % 0.44
8.250% TO 8.375% 17 92,752,384 11.47 % 109 8.31 % 0.18
8.375% TO 8.500% 6 59,995,429 7.42 % 107 8.44 % 0.70
8.500% TO 8.625% 5 25,388,794 3.14 % 102 8.57 % 0.95
8.625% TO 8.750% 5 29,054,485 3.59 % 96 8.67 % 0.35
8.750% TO 8.875% 7 27,364,134 3.38 % 116 8.78 % 0.28
8.875% & ABOVE 4 12,815,893 1.58 % 108 9.05 % 0.56
140 808,878,051 100.00 %
MINIMUM MORTGAGE INTEREST RATE 6.530%
MAXIMUM MORTGAGE INTEREST RATE 9.190%
DISTRIBUTION OF REMAINING TERM (BALLOON)
BALLOON
MORTGAGE LOANS
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WEIGHTED AVERAGE
TERM COUPON PFY DSCR
0 TO 12 0 0 0.00 % 0 0.00 % 0.00
13 TO 24 0 0 0.00 % 0 0.00 % 0.00
25 TO 36 0 0 0.00 % 0 0.00 % 0.00
37 TO 60 15 83,856,114 10.37 % 57 8.18 % 0.73
61 TO 120 120 694,273,622 85.83 % 105 8.07 % 0.50
121 TO 180 2 24,275,594 3.00 % 160 7.68 % 0.00
181 TO 240 1 1,666,917 0.21 % 227 8.76 % 0.00
241 & ABOVE 0 0 0.00 % 0 0.00 % 0.00
138 804,072,247 99.41 %
MINIMUM REMAINING TERM 46
MAXIMUM REMAINING TERM 227
DISTRIBUTION OF REMAINING TERM (FULLY AMORTIZING)
FULLY AMORTIZING
MORTGAGE LOANS
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WEIGHTED AVERAGE
TERM COUPON PFY DSCR
0 TO 60 0 0 0.00 % 0 0.00 % 0.00
61 TO 120 0 0 0.00 % 0 0.00 % 0.00
121 TO 180 0 0 0.00 % 0 0.00 % 0.00
181 TO 240 2 4,805,803 0.59 % 206 8.25 % 0.89
241 & ABOVE 0 0 0.00 % 0 0.00 % 0.00
2 4,805,803 0.59 %
MINIMUM REMAINING TERM 201
MAXIMUM REMAINING TERM 217
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 13 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
MORTGAGE LOAN CHARACTERISTICS
DISTRIBUTION OF DSCR (PFY) GEOGRAPHIC DISTRIBUTION
DEBT SERVICE
COVERAGE RATIO
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WAMM WAC PFY DSCR
LESS THAN ZERO 0 0 0.00 % 0 0.00 % 0.00
0.000 1.250 10 48,459,727 5.99 % 107 7.89 % 0.91
1.251 1.300 4 32,183,461 3.98 % 107 8.02 % 1.27
1.301 1.400 7 57,344,502 7.09 % 107 7.68 % 1.36
1.401 1.500 4 32,359,915 4.00 % 106 8.49 % 1.47
1.501 1.600 4 15,097,791 1.87 % 100 8.48 % 1.54
1.601 1.700 2 2,899,057 0.36 % 108 8.34 % 1.62
1.701 1.800 0 0 0.00 % 0 0.00 % 0.00
1.801 1.900 0 0 0.00 % 0 0.00 % 0.00
1.901 2.000 1 5,187,544 0.64 % 46 8.65 % 1.96
2.001 2.100 1 3,671,878 0.45 % 106 8.78 % 2.07
2.101 2.200 3 40,120,006 4.96 % 107 7.53 % 2.15
2.201 2.300 1 2,295,135 0.28 % 59 8.20 % 2.28
2.301 2.400 1 1,099,079 0.14 % 59 8.20 % 2.31
2.401 & ABOVE 8 21,169,848 2.62 % 66 7.63 % 2.89
UNKNOWN 94 546,990,108 67.62 % 104 8.14 % 0.00
140 808,878,051 100.00 %
MAXIMUM DSCR 3.640
MINIMUM DSCR 0.690
STATE
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WAMM WAC PFY DSCR
CALIFORNIA 17 144,604,699 17.88 % 105 7.94 % 1.05
NEW YORK 11 96,994,046 11.99 % 83 8.17 % 0.09
ILLINOIS 8 68,268,723 8.44 % 104 8.13 % 1.23
MARYLAND 8 65,949,710 8.15 % 108 8.37 % 0.17
FLORIDA 11 64,978,652 8.03 % 105 8.14 % 0.37
TEXAS 15 51,912,353 6.42 % 100 8.16 % 0.00
NEW JERSEY 4 40,560,574 5.01 % 107 8.17 % 0.18
MASSACHUSETTS 6 30,142,797 3.73 % 103 8.23 % 0.00
NORTH CAROLINA 4 28,722,532 3.55 % 129 7.64 % 0.07
COLORADO 5 27,633,009 3.42 % 103 7.68 % 0.66
PENNSYLVANIA 7 22,512,041 2.78 % 107 8.07 % 0.29
UNDEFINED 10 22,215,447 2.75 % 59 8.25 % 2.15
MICHIGAN 3 20,647,495 2.55 % 138 7.84 % 0.00
NEVEDA 2 20,204,065 2.50 % 81 7.80 % 0.00
INDIANA 3 18,000,975 2.23 % 107 8.03 % 1.11
VARIOUS 1 14,222,508 1.76 % 106 7.84 % 0.00
ARIZONA 2 13,679,573 1.69 % 108 8.23 % 0.00
VIRGINIA 4 11,582,289 1.43 % 108 8.10 % 0.00
OHIO 2 6,283,304 0.78 % 132 7.96 % 0.91
GEORGIA 2 5,231,251 0.65 % 166 8.33 % 0.82
ALABAMA 1 4,661,631 0.58 % 107 7.77 % 0.76
WISCONSIN 2 4,469,670 0.55 % 107 8.00 % 1.20
RHODE ISLAND 1 4,216,254 0.52 % 107 7.88 % 0.00
NEW HAMPSHIRE 1 3,856,562 0.48 % 108 8.26 % 0.00
TENNESSEE 2 3,707,042 0.46 % 110 9.06 % 0.00
OKLAHOMA 1 3,395,199 0.42 % 108 7.85 % 1.51
CONNECTICUT 2 3,177,510 0.39 % 108 7.97 % 0.00
OREGON 2 2,882,036 0.36 % 109 8.18 % 0.00
KENTUCKY 1 1,774,918 0.22 % 106 8.15 % 1.28
MINNESOTA 1 1,258,019 0.16 % 106 8.15 % 1.45
MISSOURI 1 1,133,169 0.14 % 99 7.50 % 1.32
140 808,878,051 100.00 %
DISTRIBUTION OF DSCR (CUTOFF)
DEBT SERVICE
COVERAGE RATIO
# OF
LOANS
SCHEDULED
BALANCE
% OF
BALANCE
WAMM WAC PFY DSCR
LESS THAN ZERO 0 0 0.00 % 0 0.00 % 0.00
0.000 1.250 28 180,025,419 22.26 % 100 8.05 % 0.33
1.251 1.300 43 250,138,788 30.92 % 111 8.02 % 0.45
1.301 1.400 30 129,643,072 16.03 % 107 8.15 % 0.16
1.401 1.500 19 150,282,283 18.58 % 96 8.24 % 0.39
1.501 1.600 3 8,571,139 1.06 % 109 8.35 % 0.00
1.601 1.700 5 14,109,197 1.74 % 81 8.34 % 1.44
1.701 1.800 4 37,029,136 4.58 % 103 7.99 % 1.38
1.801 1.900 3 20,677,189 2.56 % 100 7.58 % 2.29
1.901 2.000 1 3,389,100 0.42 % 51 8.32 % 3.64
2.001 2.100 1 1,962,179 0.24 % 59 8.20 % 2.65
2.101 2.200 0 0 0.00 % 0 0.00 % 0.00
2.201 2.300 2 5,753,963 0.71 % 58 8.12 % 0.75
2.301 2.400 1 7,296,585 0.90 % 89 6.53 % 2.50
2.401 & ABOVE 0 0 0.00 % 0 0.00 % 0.00
140 808,878,051 100.00 %
MAXIMUM DSCR 2.310
MINIMUM DSCR 1.070
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 14 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
RECORD DATE: 09/29/2000
SERIES 2000-C9
ABN AMRO ACCT: 67-8431-60-2
LOAN LEVEL DETAIL
DISCLOSURE
CONTROL #
GROUP
PROPERTY
TYPE
MATURITY
DATE
PFY
DSCR
OPERATING
STATEMENT
DATE
STATE
ENDING
PRINCIPAL
BALANCE
NOTE
RATE
SCHEDULED
P&I
PREPAYMENT
AMOUNT
PREPAYMENT
DATE
LOAN
STATUS
CODE (1)
001 OFFICE 10/1/05 0.00 NY 49,225,000 8.13000% 333,499 0
002 INDUSTRIAL 1/1/09 1.34 12/31/99 CA 27,324,354 7.30000% 190,246 0
003 INDUSTRIAL 10/1/09 0.00 NJ 22,990,694 8.05000% 170,674 0
004 MULTIFAMILY 9/1/09 1.26 12/31/99 IL 22,803,927 8.13000% 170,669 0
005 RETAIL 11/1/09 0.00 MD 22,194,536 8.40000% 170,080 0
006 RETAIL 9/1/09 2.14 12/31/99 CA 20,039,350 7.47000% 124,745 0 B
007 OFFICE 7/1/09 1.39 12/31/99 IL 18,586,305 7.98000% 137,320 0
008 OTHER 9/1/09 2.16 12/31/99 CA 17,464,000 7.47000% 108,713 0
009 RETAIL 9/1/09 0.00 NY 16,680,056 7.91000% 122,220 0
010 MULTIFAMILY 12/1/06 0.00 NV 15,686,769 7.82000% 113,958 0
011 MULTIFAMILY 8/1/09 0.00 VV 14,222,508 7.84000% 103,663 0 B
012 MULTIFAMILY 7/1/09 0.00 FL 13,908,167 8.00000% 102,947 0
013 HEALTH CARE 9/1/09 0.00 MD 13,724,875 8.69000% 123,184 0
014 MIXED USE 10/1/09 0.00 MD 13,696,290 8.12000% 103,259 0
015 LODGING 10/1/13 0.00 NC 13,469,488 7.40000% 101,451 0 B
016 OFFICE 11/1/09 0.00 CA 13,330,010 8.37000% 101,802 0
017 INDUSTRIAL 10/1/09 0.00 AZ 12,415,379 8.29000% 94,230 0
018 RETAIL 7/1/09 0.00 CA 11,598,264 7.99500% 85,810 0
019 OFFICE 12/1/09 0.00 CA 11,471,085 8.76000% 90,750 0
020 MULTIFAMILY 8/1/09 1.46 12/31/99 IL 11,156,066 8.59000% 99,582 0
021 INDUSTRIAL 7/1/14 0.00 MI 10,806,106 8.03000% 80,208 0
022 RETAIL 8/1/09 1.46 12/31/99 IN 10,738,164 8.46000% 87,276 0
023 INDUSTRIAL 9/1/09 0.70 12/31/99 NJ 10,376,411 8.46000% 84,266 0
024 OFFICE 9/1/09 0.00 MA 10,225,876 8.26000% 77,453 0
025 INDUSTRIAL 7/1/09 0.00 NC 9,912,929 7.99000% 73,307 0
026 MULTIFAMILY 9/1/09 0.93 12/31/99 FL 9,518,242 7.60000% 67,783 0 B
027 RETAIL 8/1/09 1.49 12/31/99 CA 9,207,667 8.46000% 74,836 0
028 INDUSTRIAL 8/1/09 0.00 CO 8,926,092 7.99000% 65,976 0 B
029 OFFICE 7/1/09 0.00 TX 8,776,202 8.15000% 65,866 0
030 OFFICE 4/1/09 0.00 NY 8,715,201 7.98000% 68,381 0
031 HEALTH CARE 10/1/09 0.00 MA 8,672,319 8.26000% 69,206 0
032 MULTIFAMILY 11/1/09 0.00 TX 8,030,344 8.21000% 60,475 0 B
033 OTHER 9/1/09 0.00 TX 7,518,145 8.33000% 60,408 0
034 MULTIFAMILY 3/1/08 2.50 12/31/99 CO 7,296,585 6.53000% 47,662 0
035 MULTIFAMILY 10/1/09 0.00 MI 6,518,183 7.41000% 45,742 0
036 RETAIL 8/1/09 0.00 CA 6,449,109 8.17000% 48,467 0
037 MULTIFAMILY 8/1/09 1.29 12/31/99 FL 6,122,799 7.63000% 43,728 0
038 OFFICE 11/1/09 0.00 PA 5,805,642 8.35000% 46,635 0
039 MULTIFAMILY 11/1/09 0.00 FL 5,664,694 8.18000% 42,542 0
040 LODGING 8/1/04 1.96 12/31/99 CA 5,187,544 8.65000% 46,499 0
041 MULTIFAMILY 10/1/09 0.00 CO 5,186,359 7.82000% 39,896 0
042 INDUSTRIAL 10/1/09 0.00 VA 5,165,808 8.22000% 38,956 0
043 RETAIL 9/1/09 0.00 PA 5,078,142 7.39000% 41,542 0 B
044 SELF STORAGE 7/1/09 0.00 FL 5,082,035 8.65000% 45,622 0
045 INDUSTRIAL 11/1/09 1.16 12/31/99 MD 5,067,072 8.02000% 37,493 0
046 RETAIL 8/1/09 0.00 CA 5,001,525 8.29000% 40,658 0
047 OFFICE 9/1/09 0.00 NY 4,932,124 8.57000% 38,423 0 B
048 OFFICE 7/1/09 0.00 MD 4,861,995 8.50000% 39,678 0
049 RETAIL 10/1/09 0.00 FL 4,864,097 7.81000% 35,308 0
050 RETAIL 12/1/09 0.00 FL 4,863,749 8.27000% 36,806 0
051 RETAIL 6/1/09 1.21 12/31/99 OH 4,722,543 7.90000% 36,730 0
052 MULTIFAMILY 9/1/09 0.76 12/31/99 AL 4,661,631 7.77000% 33,736 0
053 LODGING 9/1/09 0.00 FL 4,568,988 8.90000% 41,539 0 2
054 LODGING 10/1/09 1.58 12/31/99 FL 4,539,862 9.19000% 42,106 0 1
055 RETAIL 9/1/09 0.00 TX 4,566,808 8.25000% 34,558 0
056 RETAIL 9/1/09 0.00 NV 4,517,297 7.73000% 34,502 0
057 MULTIFAMILY 9/1/09 0.97 12/31/99 IN 4,456,762 7.10000% 30,241 0
058 OFFICE 8/1/09 0.00 CA 4,391,084 8.20000% 34,937 0
059 RETAIL 8/1/09 1.35 12/31/99 NY 4,365,043 8.08000% 34,388 0
060 INDUSTRIAL 10/1/09 0.00 IL 4,370,201 8.11000% 32,624 0
061 INDUSTRIAL 12/1/09 0.00 CO 4,262,433 8.53000% 34,712 0
062 LODGING 7/1/05 0.00 XX 4,179,695 8.09300% 37,382 0 B
063 OFFICE 9/1/09 0.00 RI 4,216,254 7.88000% 30,830 0 B
064 LODGING 10/1/09 0.00 NY 4,126,092 8.83000% 37,331 0
065 HEALTH CARE 10/1/09 0.00 NH 3,856,562 8.26000% 30,776 0
066 RETAIL 9/1/09 0.00 TX 3,752,885 8.19000% 29,809 0
067 OFFICE 8/1/04 0.00 TX 3,749,687 8.08000% 27,947 0 B
068 INDUSTRIAL 9/1/09 0.00 NJ 3,699,360 8.28000% 29,603 0
069 LODGING 8/1/09 2.07 12/31/99 CA 3,671,878 8.78000% 33,211 0
070 RETAIL 12/1/09 1.53 12/31/99 MD 3,629,704 8.14000% 27,139 0
071 OFFICE 11/1/06 0.00 MA 3,562,269 8.16000% 28,163 0
072 INDUSTRIAL 9/1/06 1.53 12/31/99 XX 3,533,026 8.53900% 27,632 0 B
073 INDUSTRIAL 6/1/09 0.00 NJ 3,494,109 8.03000% 27,470 0
074 OFFICE 8/1/09 0.00 PA 3,491,226 8.14000% 26,165 0
075 MULTIFAMILY 12/1/09 0.00 MA 3,489,758 7.82000% 25,323 0
076 MULTIFAMILY 9/1/09 0.69 12/31/99 IL 3,472,630 7.94000% 25,536 0
077 MULTIFAMILY 10/1/09 0.00 FL 3,459,863 8.11000% 27,269 0
078 RETAIL 6/1/09 0.00 IL 3,464,808 7.75000% 25,074 0
079 LODGING 1/1/05 3.64 12/31/99 XX 3,389,100 8.32400% 28,126 0 B
080 MULTIFAMILY 10/1/09 1.51 12/31/99 OK 3,395,199 7.85000% 24,738 0
081 MULTIFAMILY 10/1/09 0.00 NC 3,356,319 7.51000% 25,148 0 B
082 SELF STORAGE 7/1/09 0.00 MA 3,322,869 8.65000% 29,830 0
083 MULTIFAMILY 8/1/09 0.00 MI 3,323,206 8.09000% 24,792 0
084 MULTIFAMILY 7/1/17 1.32 12/31/99 GA 3,245,043 8.31000% 29,954 0
085 MULTIFAMILY 11/1/09 0.00 TX 3,128,975 7.89000% 22,873 0
086 MULTIFAMILY 9/1/09 1.01 12/31/99 WI 3,075,758 7.94000% 22,617 0
087 MIXED USE 9/1/09 0.00 NY 2,996,512 8.78000% 24,973 0
088 OFFICE 10/1/09 0.00 CA 2,980,592 8.28000% 22,601 0
089 MULTIFAMILY 11/1/09 0.00 IN 2,806,049 7.87000% 20,473 0
090 MULTIFAMILY 9/1/04 3.06 12/31/99 IL 2,764,751 8.11000% 21,815 0 B
091 RETAIL 8/1/09 2.13 12/31/99 PA 2,616,656 8.46000% 21,267 0
092 OFFICE 11/1/09 0.00 PA 2,558,838 8.35000% 20,554 0
093 MULTIFAMILY 10/1/09 0.00 VA 2,556,327 7.85000% 18,626 0
094 LODGING 12/1/09 0.00 TN 2,425,265 9.04000% 22,197 0
095 RETAIL 10/1/05 0.00 FL 2,386,157 8.25000% 23,115 0
096 MULTIFAMILY 10/1/09 0.00 CT 2,383,132 7.97000% 17,560 0
097 LODGING 9/1/05 2.28 12/31/99 XX 2,295,135 8.20300% 20,550 0 B
098 RETAIL 10/1/09 0.00 TX 2,125,630 8.17000% 16,837 0
099 OFFICE 9/1/09 0.00 NY 1,987,785 8.78000% 16,566 0
100 MULTIFAMILY 12/1/09 0.00 GA 1,986,208 8.36000% 15,502 0
101 LODGING 9/1/05 2.65 12/31/99 XX 1,962,179 8.20300% 17,569 0 B
102 MULTIFAMILY 9/1/09 1.03 12/31/99 NC 1,983,795 7.80000% 14,397 0
103 RETAIL 8/1/09 0.00 VA 1,973,160 8.13000% 15,609 0
104 RETAIL 10/1/09 0.00 CO 1,961,540 8.37000% 14,997 0 B
105 INDUSTRIAL 10/1/09 0.00 VA 1,886,994 8.07000% 14,034 0
106 LODGING 9/1/05 2.75 12/31/99 XX 1,855,504 8.20300% 16,613 0 B
107 MULTIFAMILY 10/1/09 0.00 TX 1,861,297 7.82000% 13,524 0
108 INDUSTRIAL 8/1/04 0.00 TX 1,860,555 8.23000% 14,060 0 B
109 MULTIFAMILY 7/1/09 0.00 PA 1,836,655 8.00000% 14,387 0 B
110 RETAIL 8/1/09 1.28 12/31/99 KY 1,774,918 8.15000% 13,315 0 B
111 RETAIL 10/1/09 0.00 MD 1,737,162 8.72000% 14,393 0
112 MIXED USE 10/1/09 0.00 CA 1,738,368 8.18000% 13,061 0
113 INDUSTRIAL 9/1/19 0.00 CA 1,666,917 8.76000% 15,034 0
114 RETAIL 4/1/09 1.34 12/31/99 IL 1,650,036 8.03000% 13,000 0
115 MULTIFAMILY 11/1/09 0.00 OR 1,639,538 8.09000% 12,211 0
116 MULTIFAMILY 9/1/09 0.00 TX 1,637,097 7.94000% 12,038 0
117 LODGING 9/1/05 2.73 12/31/99 XX 1,574,269 8.20300% 14,095 0 B
118 MULTIFAMILY 9/1/09 0.00 CA 1,577,807 7.59000% 11,918 0
119 RETAIL 12/1/18 0.00 OH 1,560,761 8.13000% 13,738 0 B
120 MULTIFAMILY 11/1/09 1.62 12/31/99 CA 1,505,146 8.53000% 12,270 0
121 RETAIL 10/1/09 0.00 TX 1,483,260 8.25000% 11,827 0
122 MULTIFAMILY 10/1/09 1.27 12/31/99 NY 1,481,817 7.82000% 11,399 0
123 MULTIFAMILY 10/1/09 0.00 TX 1,454,293 7.82000% 10,566 0
124 OTHER 9/1/09 0.00 NY 1,443,864 8.78000% 12,033 0
125 RETAIL 8/1/09 1.61 12/31/99 WI 1,393,911 8.14000% 10,447 0 B
126 LODGING 9/1/05 3.34 12/31/99 XX 1,357,686 8.20300% 12,156 0 B
127 LODGING 12/1/09 0.00 TN 1,281,777 9.09000% 11,772 0
128 MULTIFAMILY 9/1/09 0.00 AZ 1,264,195 7.62000% 9,020 0
129 RETAIL 8/1/09 1.45 12/31/99 MN 1,258,019 8.15000% 9,437 0 B
130 MULTIFAMILY 11/1/09 0.00 OR 1,242,498 8.30000% 9,435 0
131 MULTIFAMILY 1/1/09 1.32 12/31/99 MO 1,133,169 7.50000% 8,041 0
132 MULTIFAMILY 9/1/06 0.00 TX 1,126,810 8.25000% 8,527 0
133 RETAIL 8/1/09 0.86 12/31/99 PA 1,124,882 8.07000% 8,376 0 B
134 LODGING 9/1/05 2.31 12/31/99 XX 1,099,079 8.20300% 9,841 0 B
135 OFFICE 10/1/09 0.00 MD 1,038,075 8.16000% 8,216 0
136 RETAIL 8/1/09 1.38 12/31/99 NY 1,040,552 8.06400% 7,744 0 B
137 LODGING 9/1/05 3.21 12/31/99 XX 969,776 8.20300% 8,683 -0 B
138 MULTIFAMILY 12/1/09 0.00 MA 869,706 7.82000% 6,311 0
139 RETAIL 10/1/09 0.00 TX 840,365 8.17000% 6,656 0
140 MULTIFAMILY 10/1/09 0.00 CT 794,377 7.97000% 5,853 0
808,878,051 6,143,951 0
* NOI AND DSCR, IF AVAILABLE AND REPORTABLE UNDER THE TERMS OF THE TRUST AGREEMENT, ARE BASED ON INFORMATION OBTAINED FROM THE RELATED BORROWER, AND NO OTHER PARTY TO THE AGREEMENT SHALL BE HELD LIABLE FOR THE
ACCURACY OR METHODOLOGY USED TO DETERMINE SUCH FIGURES.
(1) LEGEND: A. P&I ADV - IN GRACE PERIOD 1. P&I ADV - DELINQUENT 1 MONTH 3. P&I ADV - DELINQUENT 3+ MONTHS 7. FORECLOSURE
B. P&I ADV - < ONE MONTH DELINQ 2. P&I ADV - DELINQUENT 2 MONTHS 4. MAT. BALLOON/ASSUMED P&I 9. REO
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 15 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP. STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
NEXT PAYMENT: 11/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR RECORD DATE: 09/29/2000
SERIES 2000-C9
ABN AMRO ACCT: 67-8431-60-2
SPECIALLY SERVICED (PART I) ~ LOAN DETAIL
NOI
DSCR
DISCLOSURE
CONTROL #
SERVICING
XFER DATE
BALANCE
NOTE
RATE
MATURITY
DATE
REMAINING
PROPERTY
TYPE
STATE
NOI
DATE
SCHEDULE ACTUAL LIFE AMORT.
013 7/25/00 13,724,875 13,724,875 8.69% 9/1/09 107 227 HEALTH CARE MD NOT AVAIL. NOT AVAIL. NOT AVAIL.
053 10/3/00 4,568,988 4,589,365 8.90% 9/1/09 107 228 LODGING FL NOT AVAIL. NOT AVAIL. NOT AVAIL.
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 21 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
RECORD DATE: 09/29/2000
SERIES 2000-C9
ABN AMRO ACCT: 67-8431-60-2
MODIFIED LOAN DETAIL
CUTOFF
MATURITY
DATE
MODIFIED
MATURITY
DATE
DISCLOSURE
CONTROL #
MODIFICATION
DATE
MODIFICATION
DESCRIPTION
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 22 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
STATEMENT DATE: 10/16/2000
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR NEXT PAYMENT: 11/15/2000
RECORD DATE: 09/29/2000
SERIES 2000-C9
ABN AMRO ACCT: 67-8431-60-2
REALIZED LOSS DETAIL
BEGINNING
SCHEDULED
BALANCE
GROSS PROCEEDS
AS A % OF
SCHED. BALANCE
AGGREGATE
LIQUIDATION
EXPENSES *
NET
LIQUIDATION
PROCEEDS
NET PROCEEDS
AS A % OR
SCHED. BALANCE
PERIOD
DISCLOSURE
CONTROL #
APPRAISAL
DATE
APPRAISAL
VALUE
GROSS
PROCEEDS
REALIZED
LOSS
CURRENT TOTAL
CUMULATIVE
* AGGREGATE LIQUIDATION EXPENSES ALSO INCLUDE OUTSTANDING P&I ADVANCES AND UNPAID SERVICING FEES, UNPAID TRUSTEE FEES, ETC..
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A. PAGE 23 OF 24
ABN AMRO
LASALLE BANK N.A.
J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.
ORIX REAL ESTATE CAPITAL MARKETS, LLC, MASTER AND SPECIAL SERVICER STATEMENT DATE: 10/16/2000
PAYMENT DATE: 10/16/2000
NORWEST BANK MINNESOTA, NATIONAL ASSOCIATION, TRUSTEE PRIOR PAYMENT: 09/15/2000
LASALLE BANK NATIONAL ASSOCIATION, BOND ADMINISTRATOR
NEXT PAYMENT: 11/15/2000
SERIES 2000-C9 RECORD DATE: 09/29/2000
ABN AMRO ACCT: 67-8431-60-2
APPRAISAL REDUCTION DETAIL
DISCLOSURE
CONTROL#
APPRAISAL
RED. DATE
SCHEDULED
BALANCE
REDUCTION
AMOUNT
NOTE
RATE
MATURITY
DATE
REMAINING TERM
LIFE AMORT.
PROPERTY
TYPE
STATE
DSCR
APPRAISAL
VALUE DATE
PAGE 24 OF 24
10/13/2000 - 15:22 (D184-D217) 2000 LASALLE BANK N.A.


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