BANK OF AMERICA NATIONAL TRUST & SAVING ASSOCIATION
8-K, 1998-12-01
ASSET-BACKED SECURITIES
Previous: BANK OF AMERICA NATIONAL TRUST & SAVING ASSOCIATION, 8-K, 1998-12-01
Next: ALTRON INC, 15-12G, 1998-12-01



<PAGE>
                                       
                       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 report): October 31, 1998


           BANK OF AMERICA NATIONAL TRUST AND SAVINGS ASSOCIATION AND
                              BANK OF AMERICA, FSB
           ----------------------------------------------------------
             (EXACT NAME OF REGISTRANTS AS SPECIFIED IN ITS CHARTER)


                                  UNITED STATES
                 ----------------------------------------------
                 (STATE OR OTHER JURISDICTION OF INCORPORATION)


                                   333-3525-01
                            ------------------------
                            (COMMISSION FILE NUMBER)

                                   94-1687665
                                   91-0221850
                    ----------------------------------------
                    (I.R.S. EMPLOYER IDENTIFICATION NUMBERS)


                              555 CALIFORNIA STREET
                             SAN FRANCISCO, CA 94104
                                 (415) 622-2220
   --------------------------------------------------------------------------
   (ADDRESS AND TELEPHONE NUMBER OF REGISTRANTS' PRINCIPAL EXECUTIVE OFFICES)

<PAGE>

Item 5.   Other Events

          (a)  Monthly Report

The following are filed herewith. The exhibit numbers correspond with Item 
601(b) of Regulation S-K.

<TABLE>
<CAPTION>

             Exhibit No.      Description
             <S>              <C>
               20             Monthly Statements mailed to Certificate Holders
                              pursuant to the Pooling and Servicing Agreement by
                              and between Bank of America National Trust and
                              Savings Association, contract seller, Bank of
                              America, FSB, acting through its division,
                              BankAmerica Housing Services, contract seller and
                              servicer, and The First National Bank of Chicago,
                              as Trustee, dated as of March 1, 1998 (a copy of
                              which agreement was filed by the registrant with
                              the Commission on April 1, 1998 as an exhibit to a
                              report on Form 8-K).
</TABLE>

SIGNATURES

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

                                   BANK OF AMERICA NATIONAL TRUST
                                   AND SAVINGS ASSOCIATION

                                   BANK OF AMERICA, FSB

                                   BY:      /s/   Suzanne W. Castleberry
                                      ---------------------------------------
                                                 Suzanne W. Castleberry*
                                   Dated:        November 30, 1998


*  Suzanne W. Castleberry is Vice President of Bank of America, FSB.





<PAGE>

BANKAMERICA MANUFACTURED HOUSING CONTRACT TRUST IV
SENIOR/ SUBORDINATE PASS-THROUGH CERTIFICATES
SERIES 1998-1, INVESTOR NUMBER 19982001

<TABLE>
<CAPTION>

MONTHLY SERVICING SUMMARY                                                           PERIOD ENDING:      10/31/98
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                     Pass Through
                                                                                          Rate           Balance        Pool Factor
                                                                                     ------------   ---------------     ------------
<S>                                          <C>         <C>                         <C>            <C>                 <C>
                                                           BOP  Scheduled Pool                      $832,344,318.62      92.9536577%
                                                           EOP  Scheduled Pool                       821,066,540.26      91.6941901%
Determination Date:                          11/05/98    Class A-1 Certificate            6.4700%    659,886,447.70      89.8709514%
Remittance Date:                             11/10/98      Class M Certificate            6.9400%     67,158,000.00     100.0000000%
Prior Period WAC                               10.37%    Class B-1 Certificate            7.8100%     53,727,000.00     100.0000000%
Current Period WAC                             10.36%    Class B-2 Certificate            8.0000%     40,295,092.56     100.0000000%


I.    RECAP OF POOL:                           LOAN
                                               COUNT            CLASS A-1               CLASS M         CLASS B-1         CLASS B-2
                                               ------        ---------------        --------------   --------------   --------------
      Beginning Certificate Balance            31,502        $671,164,226.06        $67,158,000.00   $53,727,000.00   $40,295,092.56
      Scheduled Principal Reduction                            (2,107,157.64)                 0.00             0.00             0.00
      Partial Principal Prepayments                              (463,693.70)                 0.00             0.00             0.00
      Principal Prepayments In Full             (294)          (6,790,749.23)                 0.00             0.00             0.00
      Contract Liquidations                      (85)          (1,916,177.79)                 0.00             0.00             0.00
      Contract Repurchases                          0                   0.00                  0.00             0.00             0.00
      Previously Undistributed Shortfalls                               0.00                  0.00             0.00             0.00
                                               ------        ---------------        --------------   --------------   --------------
      Remaining Certificate Balance            31,123        $659,886,447.70        $67,158,000.00   $53,727,000.00   $40,295,092.56
                                               ------        ---------------        --------------   --------------   --------------
                                               ------        ---------------        --------------   --------------   --------------
II.   DISTRIBUTIONS:
                                                                CLASS A-1               CLASS M         CLASS B-1         CLASS B-2
                                                             ---------------        --------------   --------------    ------------
      Principal Distribution Amount                           $11,277,778.36              $0.00             $0.00             $0.00
      Scheduled Interest Distribution Amount                    3,618,693.79         388,397.10        349,673.23        268,633.95
      Unpaid Interest Shortfall Current Period                          0.00               0.00              0.00              0.00
      Previously Undistributed Interest Shortfalls                      0.00               0.00              0.00              0.00
                                                              --------------        -----------       -----------       -----------
      Total Distribution                                      $14,896,472.15        $388,397.10       $349,673.23       $268,633.95
                                                              --------------        -----------       -----------       -----------
                                                              --------------        -----------       -----------       -----------

                                                                                                    -------------
      AVAILABLE DISTRIBUTION AMOUNT:                                                                16,758,662.91
                                                                                                    -------------
                                                                                                    -------------


III.  MONTHLY ADVANCE
                                                      Monthly Advance Amount                                $0.00
                                                 Outstanding Amount Advanced                                $0.00


IV.   RESIDUAL INTEREST DISTRIBUTION AMOUNT                                                           $855,486.48
                                                                                                     ------------
                                                                                                     ------------


V.    SCHEDULED MONTHLY MORTGAGE PAYMENTS (P&I):                                                    $9,299,999.79
                                                                                    Gross Int....   (7,192,842.15)
                                                                                                    -------------
                                                                                    Principal....    2,107,157.64
                                                                                                    -------------
                                                                                                    -------------

VI.   SERVICING FEE:                                                                                  $693,620.27

</TABLE>

<PAGE>

<TABLE>
<CAPTION>

VII.  DELINQUENCY INFORMATION:
                                                           Days Delinquent              Number       Actual Balance
                                                           ---------------              ------       --------------
<S>                                                       <C>                         <C>           <C>           
                                                               31 - 59                    383        $9,526,138.14
                                                               60 - 89                     95         2,726,997.53
                                                              90 or more                  129         3,933,122.47
                                                           ----------------               ---       --------------
                                                           Total Delinquent               607       $16,186,258.14
                                                                                          ---       --------------
                                                                                          ---       --------------


VIII. REPOSSESSION INFORMATION:                                                         Number       Actual Balance
                                                                                        ------       --------------
                                                          BOP Repossessions               161        $4,557,182.99
                                              Plus Repossessions this Month               107         2,844,614.32
                                                          Less Liquidations               (85)      ($1,946,835.96)
                                                                                          ---       --------------
                                                          EOP Repossessions               183        $5,454,961.35
                                                                                          ---       --------------
                                                                                          ---       --------------


IX.   REPURCHASES:
                                                                                        Number       Actual Balance
                                                                                        ------       --------------
                                          Contracts Repurchased or Replaced                 0                $0.00
                                              Eligible Substitute Contracts                 0                $0.00
                                                                                           --                -----
                                                Difference Paid by Servicer                 0                $0.00
                                                                                           --                -----
                                                                                           --                -----


X.    RESERVE ACCOUNT SUMMARY:
                                             Reserve Account Deposit Amount                                  $0.00
                                                Reserve Account Draw Amount                                  $0.00
                                  Distribution to Class R Certificateholder                             $39,808.96
                                                          Ending Balance at           31-Oct-98      $8,994,209.96


XI.   DELINQUENCY RATIOS
                                                                 Average 30-Day Delinquency Ratio             1.20%
                                                                 Average 60-Day Delinquency Ratio             0.76%
                                                                   Cumulative Realized Loss Ratio             0.55%
                                                                      Current Realized Loss Ratio             0.46%


XII.  LIQUIDATION LOSSES:
                                                Previous Period Aggregate Net Liquidation Losses:    $3,801,393.12
                                                 Current Period Aggregate Net Liquidation Losses:    $4,909,296.59
                                                               Current Period Liquidation Losses:    $1,107,903.47


XIV.  CERTIFICATE ACCOUNT INTEREST:                                                                      $65,095.19

</TABLE>



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