GE CAPITAL MORTGAGE SERVICES INC
8-K, EX-99.24, 2000-12-06
ASSET-BACKED SECURITIES
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                                                                   Exhibit 99.24

                       GE CAPITAL MORTGAGE SERVICES, INC.
                           DISTRIBUTION DATE STATEMENT
                                 November, 2000
           Series 2000-12, REMIC Multi-Class Pass-Through Certificates

Pursuant to the Pooling and  Servicing  Agreement  dated as of September 1, 2000
(the "Agreement") between GE Capital Mortgage Services, Inc. (the "Company") and
State Street Bank (the "Trustee"), governing the Certificates referred to above,
the Company hereby certifies to the Trustee:

     Weighted average coupon                        %                 8.035657
                                                      -------------------------
     Weighted average maturity                                          171.70
                                                      -------------------------

A.       Amount of distribution allocable to principal and interest:
         The amounts below are for a Single Certificate of $1,000:
      1.
                            Principal
          Principal Per  Prepayments Per  Interest Per
    Class  Certificate     Certificate     Certificate    Payout Rate
    -----  -----------     -----------     -----------    -----------
     PO   $  5.03898517  $   0.72481163  $   0.00000000   %0.00000000
     A    $ 10.76503600  $   7.57191307  $   5.97698300   %7.25000000
     S    $  0.00000000  $   0.00000000  $   0.53924186   %0.65451213
     M    $  3.21745781  $   0.00000000  $   6.02254219   %7.25000316
     B1   $  3.21747036  $   0.00000000  $   6.02254941   %7.25001188
     B2   $  3.21746606  $   0.00000000  $   6.02253394   %7.24999319
     B3   $  3.21747036  $   0.00000000  $   6.02252964   %7.24998795
     B4   $  3.21747368  $   0.00000000  $   6.02252632   %7.24998427
     B5   $  3.21748333  $   0.00000000  $   6.02252396   %7.24998114
     R    $  0.00000000  $   0.00000000  $   1.30000000   %0.00000000

     2.        Unanticipated Recoveries:                 $                 0.00
                                                                 ---------------

B.       Accrual Amount
        1.
                         Accrual Amount
    Class
     N/A               $       N/A

        2.     The amount of  servicing  compensation  received  by the  Company
               during the month preceding the month of distribution:
                                                              $       30,458.15
                                                                    ------------

C. The amounts below are for the aggregate of all Certificates:

        1.     The Pool Scheduled Principal Balance:          $  123,807,202.82
                                                                 ---------------

        2.     The aggregate number of Mortgage Loans included in the Pool
               Scheduled Principal Balance set forth above:               349
                                                                 -------------
        3.
     Beginning Aggregate Class   Ending Aggregate       Ending
       Certificate Principal    Class Certificate Single Certificate
Class         Balance           Principal Balance       Balance         Cusip
-----         -------           -----------------       -------         -----
PO   $              911,134.66  $     906,517.75  $           989.39  GEC0012PO
A    $          121,711,645.31  $ 120,387,235.59  $           978.53  36157NMB7
S    $          108,426,984.27  $ 107,164,675.68  $           977.15  GEC00012S
M    $              944,998.76  $     941,948.60  $           993.62  36157NMD3
B1   $              504,398.07  $     502,770.04  $           993.62  36157NME1
B2   $              440,600.69  $     439,178.57  $           993.62  36157NMF8
B3   $              252,199.04  $     251,385.02  $           993.62  36157NMK7
B4   $              189,398.48  $     188,787.17  $           993.62  36157NML5
B5   $              189,992.77  $     189,379.53  $           993.62  36157NMM3
R    $                    0.00  $           0.00  $             0.00  36157NMC5

D.           The aggregate number and aggregate  Principal  Balances of Mortgage
             Loans  which,  as of the close of  business  on the last day of the
             month preceding the related Determination Date, were delinquent:

        1.   30-59 days
             Number             0        Principal Balance    $            0.00
                                --------                            ------------
        2.   60-89 days
             Number             0        Principal Balance    $            0.00
                                --------                           ------------
        3.   90 days or more
             Number             0        Principal Balance    $            0.00
                                --------                            ------------
        4.   In Foreclosure
             Number             0        Principal Balance    $            0.00
                                --------                            ------------
        5.   Real Estate Owned
             Number             0        Principal Balance    $            0.00
                                --------                            ------------

       6.    The  Scheduled  Principal  Balance of any  Mortgage  Loan  replaced
             pursuant to the Pooling And Servicing Agreement:
                                                              $            0.00
                                                                    ------------

E.      Other Information:

        1.    Special Hazard Loss Amount:                     $    2,090,180.00
                                                                 ---------------

        2.    Bankruptcy Loss Amount:                         $      100,000.00
                                                                 ---------------

        3.    Fraud Loss Amount:                              $    1,264,748.00
                                                                 ---------------

        4.    Certificate Interest Rate of the Class S Certificate:% 0.00000000
                                                                     -----------


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