MORGAN STANLEY CAPITAL I INC
8-K, 1998-07-21
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:  June 3, 1998
(Date of earliest event reported)

 Morgan Stanley Capital I, Inc.
            (Sponsor)
      (Issuer in Respect of 
Mortgage Pass-Through Certificates 
        Series 1997-XL1)
  (Exact name of registrant as specified in charter)  

Delaware                    333-26667     13-3291626
(State or other juris-      (Commission   (I.R.S. Employer 
diction of organization)      File No.)   dentification No.)


1585 Broadway, New York, New York        10036
(Address of principal executive offices) (Zip Code)


Registrant's Telephone Number, including area code 
(212) 296-7000


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


















ITEM 5.	OTHER EVENTS
		
		This Current Report on Form 8-K relates 
to the Trust Fund formed, and the Mortgage Pass-Through 
Certificates Series 1997-XL1 issued pursuant to, a 
Pooling and Servicing Agreement, dated as of October 1, 
1997 (the "Pooling and Servicing Agreement"), by and 
among Morgan Stanley Capital, Inc. as sponsor, GMAC 
Commercial Mortgage Corporation, as master servicer 
and special servicer, LaSalle National Bank, as trustee 
and REMIC administrator, and ABN AMRO Bank, N.V., as 
fiscal agent.  The Class A-1, Class A-2, Class A-3, Class X, 
Class B, Class C, Class D, Class E and Class F.  Certificates 
have been registered pursuant to the Act under a Registration 
Statement on Form S-3 (the "Registration Statement").

		Capitalized terms used herein and not defined 
herein have the same meanings ascribed to such terms in 
the Pooling and Servicing Agreement.

		Pursuant to Section 8.14 of the Pooling and 
Servicing Agreement, the Trustee is filing this Current 
Report containing the December 3, 1997 monthly distribution 
report prepared by the Trustee pursuant to Section 4.02 thereof.


		This Current Report is being filed by the 
Trustee, in its capacity as such under the Pooling and 
Servicing Agreement, on behalf of the Registrant.  The 
information reported and contained herein has been supplied 
to the Trustee by one or more of the Master Servicer, the 
Special Servicer or other third parties without independent 
review or investigation by the Trustee.  Pursuant to the 
Pooling and Servicing Agreement, the Trustee is not 
responsible for the accuracy or completeness of such information.


























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

		(c)     Exhibits
		

		  
Exhibit No.				Description

		

	99			onthly distribution report pursuant to
				Section 4.2 of the Pooling and Servicing
Agreement for the distribution on June 3, 1998


     			
												

		

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 TRUSTEE
						UNDER THE POOLING AND 
						SERVICING AGREEMENT ON 
BEHALF OF Morgan Stanley
Capital, I REGISTRANT





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



Date: June 30, 1998
ABN AMRO
LaSalle National Bank

















ABN AMRO
LaSalle National Bank

Administrator:
  Alyssa Stahl  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60674-4107

Morgan Stanley Capital I Inc.
GMAC Commercial Mortgage Corporation as Servicer
Commercial Mortgage Pass-Through Certificates
Series 1997-XL1

ABN AMRO Acct: 67-7824-40-1

Statement Date:                   06/03/98
Payment Date:                     06/03/98
Prior Payment:                    05/05/98
Record Date:                      05/29/98

WAC:                             8.338163%
WAMM:                                  223

                                          Number Of Pages

Table Of Contents                                       1

REMIC Certificate Report                                3

Other Related Information                               2

Asset Backed Facts Sheets                               1

Delinquency Loan Detail                                 1

    #REF!                                      #REF!

Loan Level Listing                                      1

Total Pages Included  In This Package                   9

Specially Serviced Loan Detail            Appendix A
Modified Loan Detail                      Appendix B
Realized Loss Detail                      Appendix C


REMIC II

              Original                    Opening        Principal
Class         Face Value (1)              Balance        Payment
CUSIP         Per $1,000                  Per $1,000     Per $1,000

A-1           238,000,000.00              234,190,497.13     559,896.86
61745MDB6      1000.000000000               983.993685420    2.352507815
A-2            64,000,000.00               64,000,000.00           0.00
61745MDC4      1000.000000000              1000.000000000    0.000000000
A-3           226,171,000.00              226,171,000.00           0.00
61745MDD2      1000.000000000              1000.000000000    0.000000000
X             754,531,157.00 N            750,721,654.13           0.00
61745MDE0      1000.000000000               994.951165589    0.000000000
B              22,636,000.00               22,636,000.00           0.00
61745MDF7      1000.000000000              1000.000000000    0.000000000
C              22,636,000.00               22,636,000.00           0.00
61745MDG5      1000.000000000              1000.000000000    0.000000000
D              45,271,000.00               45,271,000.00           0.00
61745MDH3      1000.000000000              1000.000000000    0.000000000
E              45,271,000.00               45,271,000.00           0.00
61745MDJ9      1000.000000000              1000.000000000    0.000000000
F              41,500,000.00               41,500,000.00           0.00
61745MDK6      1000.000000000              1000.000000000    0.000000000
G              26,408,000.00               26,408,000.00           0.00
61745MDL4      1000.000000000              1000.000000000    0.000000000
H              22,638,157.00               22,638,157.00           0.00
61745MDM2      1000.000000000              1000.000000000    0.000000000
R                       0.00                        0.00           0.00
9ABSA822       1000.000000000                 0.000000000    0.000000000






              754,531,157.00              750,721,654.13     559,896.86

              Principal      Negative     Closing
Class         Adj. or Loss   Amortization Balance
CUSIP         Per $1,000     Per $1,000   Per $1,000

A-1                     0.00         0.00 233,630,600.27
61745MDB6         0.000000000  0.000000000  981.641177605
A-2                     0.00         0.00  64,000,000.00
61745MDC4         0.000000000  0.000000000 1000.000000000
A-3                     0.00         0.00 226,171,000.00
61745MDD2         0.000000000  0.000000000 1000.000000000
X                       0.00         0.00 750,161,757.27
61745MDE0         0.000000000  0.000000000  994.209119545
B                       0.00         0.00  22,636,000.00
61745MDF7         0.000000000  0.000000000 1000.000000000
C                       0.00         0.00  22,636,000.00
61745MDG5         0.000000000  0.000000000 1000.000000000
D                       0.00         0.00  45,271,000.00
61745MDH3         0.000000000  0.000000000 1000.000000000
E                       0.00         0.00  45,271,000.00
61745MDJ9         0.000000000  0.000000000 1000.000000000
F                       0.00         0.00  41,500,000.00
61745MDK6         0.000000000  0.000000000 1000.000000000
G                       0.00         0.00  26,408,000.00
61745MDL4         0.000000000  0.000000000 1000.000000000
H                       0.00         0.00  22,638,157.00
61745MDM2         0.000000000  0.000000000 1000.000000000
Q                       0.00         0.00           0.00
9ABSA820          0.000000000  0.000000000    0.000000000
R
9ABSA822




                        0.00         0.00 750,161,757.27

              Interest       Interest     Pass-Through
Class         Payment        Adjustment   Rate (2)
CUSIP         Per $1,000     Per $1,000   Next Rate (3)

A-1             1,286,096.15         0.00     6.59000000%
61745MDB6         5.403765336  0.000000000Fixed
A-2               366,933.33         0.00     6.88000000%
61745MDC4         5.733333281  0.000000000Fixed
A-3             1,309,907.04         0.00     6.95000000%
61745MDD2         5.791666659  0.000000000Fixed
X                 721,804.82         0.00     1.15377754%
61745MDE0         0.956626924  0.000000000    1.15340017%
B                 131,929.66         0.00     6.99397388%
61745MDF7         5.828311539  0.000000000    6.99378391%
C                 132,684.19         0.00     7.03397388%
61745MDG5         5.861644725  0.000000000    7.03378391%
D                 269,135.11         0.00     7.13397388%
61745MDH3         5.944978242  0.000000000    7.13378391%
E                 276,303.02         0.00     7.32397388%
61745MDJ9         6.103311612  0.000000000    7.32378391%
F                 256,399.93         0.00     7.41397388%
61745MDK6         6.178311566  0.000000000    7.41378391%
G                 169,318.72         0.00     7.69397388%
61745MDL4         6.411644956  0.000000000    7.69378391%
H                 124,321.20         0.00     6.59000000%
61745MDM2         5.491666128  0.000000000Fixed
Q                       0.00         0.00     0.00000000%
9ABSA820          0.000000000  0.000000000    0.00000000%
R
9ABSA822




                5,044,833.17         0.00

Total P&I Payment             5,604,730.03

Notes:  (1) N denotes notional balance not included in total
(2) Interest Paid minus Interest Adjustment minus Deferrred
Interest equals Accrual  (3) Estimated


REMIC I

              Original                    Opening        Principal
Class         Face Value (1)              Balance        Payment
CUSIP         Per $1,000                  Per $1,000     Per $1,000

LA-1          238,000,000.00              234,190,497.13     559,896.86
NONE           1000.000000000               983.993685420    2.352507815
LA-2           64,000,000.00               64,000,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LA-3          226,171,000.00              226,171,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LB             22,636,000.00               22,636,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LC             22,636,000.00               22,636,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LD             45,271,000.00               45,271,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LE             45,271,000.00               45,271,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LF             41,500,000.00               41,500,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LG             26,408,000.00               26,408,000.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LH             22,638,157.00               22,638,157.00           0.00
NONE           1000.000000000              1000.000000000    0.000000000
LR                      0.00                        0.00           0.00
9ABSA821       1000.000000000                 0.000000000    0.000000000








              754,531,157.00              750,721,654.13     559,896.86

              Principal      Negative     Closing
Class         Adj. or Loss   Amortization Balance
CUSIP         Per $1,000     Per $1,000   Per $1,000

LA-1                    0.00         0.00 233,630,600.27
NONE              0.000000000  0.000000000  981.641177605
LA-2                    0.00         0.00  64,000,000.00
NONE              0.000000000  0.000000000 1000.000000000
LA-3                    0.00         0.00 226,171,000.00
NONE              0.000000000  0.000000000 1000.000000000
LB                      0.00         0.00  22,636,000.00
NONE              0.000000000  0.000000000 1000.000000000
LC                      0.00         0.00  22,636,000.00
NONE              0.000000000  0.000000000 1000.000000000
LD                      0.00         0.00  45,271,000.00
NONE              0.000000000  0.000000000 1000.000000000
LE                      0.00         0.00  45,271,000.00
NONE              0.000000000  0.000000000 1000.000000000
LF                      0.00         0.00  41,500,000.00
NONE              0.000000000  0.000000000 1000.000000000
LG                      0.00         0.00  26,408,000.00
NONE              0.000000000  0.000000000 1000.000000000
LH                      0.00         0.00  22,638,157.00
NONE              0.000000000  0.000000000 1000.000000000
LR                      0.00         0.00           0.00
9ABSA821          0.000000000  0.000000000    0.000000000








                        0.00         0.00 750,161,757.27

              Interest       Interest     Pass-Through
Class         Payment        Adjustment   Rate (2)
CUSIP         Per $1,000     Per $1,000   Next Rate (3)

LA-1            1,573,755.04         0.00     8.06397388%
NONE              6.612416134  0.000000000    8.06378391%
LA-2              430,078.61         0.00     8.06397388%
NONE              6.719978281  0.000000000    8.06378391%
LA-3            1,519,864.20         0.00     8.06397388%
NONE              6.719978247  0.000000000    8.06378391%
LB                152,113.43         0.00     8.06397388%
NONE              6.719978353  0.000000000    8.06378391%
LC                152,113.43         0.00     8.06397388%
NONE              6.719978353  0.000000000    8.06378391%
LD                304,220.13         0.00     8.06397388%
NONE              6.719978132  0.000000000    8.06378391%
LE                304,220.13         0.00     8.06397388%
NONE              6.719978132  0.000000000    8.06378391%
LF                278,879.10         0.00     8.06397388%
NONE              6.719978313  0.000000000    8.06378391%
LG                177,461.19         0.00     8.06397388%
NONE              6.719978416  0.000000000    8.06378391%
LH                152,127.91         0.00     8.06397388%
NONE              6.719977691  0.000000000    8.06378391%
LR                      0.00         0.00     0.00000000%
9ABSA821          0.000000000  0.000000000    0.00000000%








                5,044,833.17         0.00

Total P&I Payment            5,604,730.03

Notes:  (1) N denotes notional balance not included 
in total
(2)  Interest Paid minus Interest Adjustment minus 
(3)  Deferrred
Interest equals Accrual  (3) Estimated
Other Related Information

CertificatExcess Prepay        Unpaid
Class     Interest Shortfall   Interest

A-1            0.00                    0.00
A-2            0.00                    0.00
A-3            0.00                    0.00
X              0.00                    0.00
B              0.00                    0.00
C              0.00                    0.00
D              0.00                    0.00
E              0.00                    0.00
F              0.00                    0.00
G              0.00                    0.00
H              0.00                    0.00
Q              0.00                    0.00

Totals:        0.00                    0.00

CertificatApp. Reduction       Yield Maint.
Class     Cap.Amt              Premiums

A-1            0.00                    0.00
A-2            0.00                    0.00
A-3            0.00                    0.00
X              0.00                    0.00
B              0.00                    0.00
C              0.00                    0.00
D              0.00                    0.00
E              0.00                    0.00
F              0.00                    0.00
G              0.00                    0.00
H              0.00                    0.00
Q              0.00                    0.00

Totals:        0.00                    0.00


Advances (Interest at Gross)

          Prior Outstanding    Current Month
          Principal Interest   Principal    Interest

Servicer:      0.00       0.00         0.00           0.00
Trustee:       0.00       0.00         0.00           0.00
Fiscal Age     0.00       0.00         0.00           0.00

Totals:        0.00       0.00         0.00           0.00

          Recovered            Advances Outstanding
          Principal Interest   Principal    Interest

Servicer:      0.00       0.00         0.00           0.00
Trustee:       0.00       0.00         0.00           0.00
Fiscal Age     0.00       0.00         0.00           0.00

Totals:        0.00       0.00         0.00           0.00


Current Period Collected Servicing Fees:         18,304.80
Current Period Special Servicing Fees:                0.00
Additional Servicing Compensation:                    0.00


Summary of REO Property:

                               Principal
Property Name       Date of REOBalance
         0             01/00/00        0.00
         0             01/00/00        0.00
         0             01/00/00        0.00
         0             01/00/00        0.00
         0             01/00/00        0.00
Totals:                                0.00

                    Repurchase
Property Name       Price      Book Value
         0                0.00         0.00
         0                0.00         0.00
         0                0.00         0.00
         0                0.00         0.00
         0                0.00         0.00
Totals:                   0.00         0.00

                    Date of FinAgg. Other
Property Name       Recovery   Rev. Collected
         0             01/00/00        0.00
         0             01/00/00        0.00
         0             01/00/00        0.00
         0             01/00/00        0.00
         0             01/00/00        0.00
Totals:                                0.00

Appraised value of real estate acquired through foreclosure
or grant of a deed in lieu of f         0.00


Summary of Appraisal Reductions:

                               Principal    Appraisal
Property Name       Loan NumberBalance      Reduction Amount
         0                    0        0.00           0.00
         0                    0        0.00           0.00
         0                    0        0.00           0.00
         0                    0        0.00           0.00
Totals:                       0        0.00           0.00

                               Appraisal    Date of
Property Name       Loan NumberDate         Reduction
         0                    0     01/00/00       01/00/00
         0                    0     01/00/00       01/00/00
         0                    0     01/00/00       01/00/00
         0                    0     01/00/00       01/00/00
Totals:                       0     01/00/00       01/00/00


As of the Current Collection Period

Prepayment Premiums                                   0.00
Default Interest                                      0.00
Net Default Interest                                  0.00
Deferred Interest                                     0.00

Stated Principal Balance Prior to Distributi750,721,655.13
Stated Principal Balance After Distribution:750,161,758.27


DistributiDelinq 1 Month       Delinq 2 Months
Date          #       Balance        #          Balance
  06/03/98        0       0.00            0           0.00
               0.00%      0.00%        0.00%          0.00%

DistributiDelinq 3+  Months    Foreclosure/Bankruptcy
Date          #       Balance        #          Balance
  11/05/97        0       0.00            0           0.00
               0.00%      0.00%        0.00%          0.00%

Distributi   REO               Modifications
Date          #       Balance        #          Balance
  11/05/97        0       0.00            0           0.00
               0.00%      0.00%        0.00%          0.00%

DistributiPrepayments          Curr Weighted Avg.
Date          #       Balance     Coupon         Remit
  11/05/97        0       0.00      8.33816%       8.06397%
               0.00%      0.00%

Note:  Foreclosure and REO Totals are Included
in the Appropriate delinquency Aging Category


Delinquent Loan Detail

                    Paid                    Outstanding
Disclosure Doc      Thru       Current P&I  P&I
Control #           Date       Advance      Advances**





























Total                                  0.00           0.00

                    Out. Property           Special
Disclosure Doc      Protection Advance      Servicer
Control #           Advances   Description (Transfer Date

         7                                         01/00/00
         9
        11

























Total                     0.00


Disclosure Doc      ForeclosureBankruptcy   REO
Control #           Date       Date         Date

         7             01/00/00     01/00/00       01/00/00
         9
        11

























Total

A.  P&I Advance - Loan in Grace Period
B.  P&I Advance - Late Payment but < one month 
C.  delinq
1.  P&I Advance - Loan delinquent 1 month
2.  P&I Advance - Loan delinquent 2 months
3.  P&I Advance - Loan delinquent 3 months or More
4.  Matured Balloon/Assumed Scheduled Payment

**  Outstanding P&I Advances include the current 
period P&I Advance


Loan Level Detail

                               Property
Property                       Type         Maturity
Name                State      Code         Date

Arrowhead           AZ         Retail              01/01/02
MansionGrove        CA         Multifamily         07/01/27
Yorktown            IL         Retail              07/01/04
FashionMall         IN         Retail              07/01/27
Westshore           MI         Retail              03/01/27
605Third Avenue     NY         Office              10/01/27
NorthShore          NY         Multifamily         12/01/04
Westgate            OH         Retail              12/01/06
GrandKempinski      TX         Lodging             10/01/22
AshfordFinancial    VV         Lodging             02/01/17
Edens&Avant         VV         Retail              08/31/07
MarkCenters         VV         Retail              11/01/21

                                            Operating
Property                                    Statement
Name                DSCR       NOI          Date

Arrowhead                  2.04   9,480,480        12/31/96
MansionGrove               1.54   9,387,959        12/31/96
Yorktown                   1.32   7,484,523        12/31/96
FashionMall                1.92   3,013,117        12/31/96
Westshore                  1.68   2,343,713        12/31/96
605Third Avenue            2.50  23,705,503        12/31/96
NorthShore                 0.00           0        12/31/96
Westgate                   0.00           0        12/31/96
GrandKempinski             2.91   5,214,601        12/31/96
AshfordFinancial           2.50  19,541,994        12/31/96
Edens&Avant                3.91   6,445,000        12/31/96
MarkCenters                1.08     107,485        12/31/96



                    Ending
Property            Principal  Note         Scheduled
Name                Balance    Rate         P&I

Arrowhead            48,591,916       8.600%        388,000
MansionGrove         72,480,503       8.350%        553,565
Yorktown             56,656,780       8.250%        473,000
FashionMall          64,488,950       7.850%        470,168
Westshore            20,781,526       8.070%        155,117
605Third Avenue     120,000,000       7.917%        791,700
NorthShore           69,889,241       9.320%        593,499
Westgate             42,357,358       9.250%        368,443
GrandKempinski       54,572,049       8.630%        447,704
AshfordFinancial     72,518,284       8.600%        651,251
Edens&Avant          82,750,000       7.300%        503,396
MarkCenters          45,075,152       8.840%        380,421

                    750,161,758

                                            Loan
Property                       Prepayment   Status
Name                Prepayment Date         Code (1)

Arrowhead                     0
MansionGrove                  0
Yorktown                      0
FashionMall                   0
Westshore                     0
605Third Avenue               0
NorthShore                    0
Westgate                      0
GrandKempinski                0
AshfordFinancial              0
Edens&Avant                   0
MarkCenters                   0

                              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
B.  P&I Adv -  < one month delinq
1.  P&I Adv -  delinquent 1 month
2.  P&I Adv -  delinquent 2 months
3.  P&I Adv -  delinquent 3+ months
4.  Mat. Balloon/Assumed  P&I
5. Prepaid in Full
6. Specially  Serviced
7. Foreclosure
8. Bankruptcy
9. REO
10. DPO
11. Modification


Specially Serviced Loan Detail

          Beginning
DisclosureScheduled Interest   Maturity     Property
Control # Balance   Rate       Date         Type


         0









          Specially
DisclosureServiced
Control # Status CodComments
                   0          0
                   0          0
         0         0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0
                   0          0

1)  Request for waiver of Prepayment Penalty
2)   Payment default
3)   Request for Loan Modification or Workout
4)  Loan with Borrower Bankruptcy
5)  Loan in Process of Foreclosure
6)  Loan now REO Property
7)  Loans Paid Off
8)  Loans Returned to Master Servicer


Modified Loan Detail


DisclosureModificatiModification
Control # Date      Description
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0
         0         0          0


Realized Loss Detail

                                            Beginning
Dist.     DisclosureAppraisal  Appraisal    Scheduled
Date      Control # Date       Value        Balance
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
  01/00/00         0   01/00/00        0.00           0.00
Current Total                          0.00
Cumulative                             0.00

                               Gross ProceedAggregate
Dist.     DisclosureGross      as a % of    Liquidation
Date      Control # Proceeds   Sched PrincipExpenses *
  01/00/00         0      0.00                         0.00
  01/00/00         0      0.00                         0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
  01/00/00         0      0.00         0.00%           0.00
Current Total             0.00                         0.00
Cumulative                0.00                         0.00

                    Net        Net Proceeds
Dist.     DisclosureLiquidationas a % of    Realized
Date      Control # Proceeds   Sched. BalancLoss
  01/00/00         0
  01/00/00         0
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
  01/00/00         0      0.00         0.00%          0.00
Current Total             0.00                        0.00
Cumulative                0.00                        0.00

* Aggregate liquidation expenses also 
* include outstanding
P&I advances and unpaid servicing fees, unpaid 
trustee fees, ect.
_






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