SOURCE ONE MORTGAGE SERVICES CORP
8-K, 1997-09-02
ASSET-BACKED SECURITIES
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<PAGE>   1





                       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:  August 22, 1997




                    Source One Mortgage Services Corporation
             (Exact name of registrant as specified in its charter)


<TABLE>
    <S>                                    <C>                                    <C>
              Delaware                             1-12898                             38-2011419
              --------                             -------                             ----------
    (State or other jurisdiction           (Commission File Number)                 (I.R.S. Employer
          of incorporation)                                                       Identification No.)


        27555 Farmington Road                                                          48334-3357
     Farmington Hills, Michigan                                                        ----------
     --------------------------                                                        (Zip Code)
        (Address of principal                                                                    
         executive offices)  
</TABLE>



Registrant's telephone number, including area code:  (248) 488-7000

Total Pages:  7





<PAGE>   2





Item 5.  Other Events

         None applicable.


Item 7.  Financial Statements, Pro Forma Financial Information and Exhibits

         See attached Distribution Reports as of August 25, 1997 for Series
         1987-2, Distribution Reports as of September 1, 1997 for Series 1988-1
         and 1988-2 and Distribution Reports as of August 20, 1997 for Series
         1990-1.




                                  Signature

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


                                      SOURCE ONE MORTGAGE SERVICES CORPORATION 
                                                    (Registrant)




Date:  August 22, 1997                 By: /s/ Larry N. Ciofu
                                          -------------------------------
                                          Larry N. Ciofu
                                          Vice President





<PAGE>   3
                      FIREMAN'S FUND MORTGAGE CORPORATION
                AGENCY MBS MULTI-CLASS PASS-THROUGH CERTIFICATES
                                 SERIES 1987-2

<TABLE>
<CAPTION>

                                   Distribution Date Statement for         
                                                                                                             
            COUPON             Principal         Number of         Interest            Interest         
 Class       RATE              Outstanding     Certificates        Accrued              Payable         
- -------  -------------      ----------------  -------------   ----------------    -----------------    
 <S>     <C>                   <C>               <C>               <C>                 <C>                  
  2-A          0.0000%                 $0.00         45,100              $0.00                $0.00     
                                                                                                        
  2-B          7.0000%                 $0.00         18,000              $0.00                $0.00     
                                                                                                        
  2-C          7.0000%                 $0.00         19,700              $0.00                $0.00     
                                                                                                        
  2-D          9.5500%                 $0.00            124              $0.00                $0.00     
                                                                                                        
  2-E          9.9500%        $11,867,561.23          5,200         $98,401.86           $98,401.86     
                            -----------------  -------------   ----------------    -----------------    
                              $11,867,561.23         88,124         $98,401.86           $98,401.86     
                                                                                                             
                                                                                                             
         Agency MBS Collections:                                                                            
                      Interest                                                           $99,061.28     
                      Principal                                                          $27,743.06     
         Investment Income                                                                  $298.22     
                                                                                                        
                                                                                   -----------------    
         TOTAL AVAILABLE                                                                $127,102.56     
                                                                                                        
         Due to Certificateholders                                                      $126,144.92     
                                                                                                        
                                                                                   -----------------    
         Available for Expenses and Residual Payments                                       $957.64     
                                                                                                        
         Expenses Payable                                                                  ($293.02)    
                                                                                                        
                                                                                   -----------------    
         Net Balance                                                                        $664.62     
                                                                                   ==================   
                                                                                                        
                                                                                                        
         Due to Residual Holders                                                            $664.62     
                                                                                                        
         Amount Payable Per Individual                                                                  
         Residual Certificate (5% Denomination):                                           $33.2310     


<CAPTION>

                                                                     
                           Distribution Date Statement for    August  25, 1997

         Interest                              Principal           Principal          Per $1,000
        Payable Per          Principal         Payable Per        Balance After        CTF After
         $1,000 CTF          Payable          $1,000 CTF       August  25, 1997       August  25, 1997   
      ---------------   ---------------   -----------------   ------------------     -------------------
      <S>               <C>                 <C>              <C>                     <C>              
        $0.000000                            $0.000000                                    $0.000000
                      
        $0.000000                            $0.000000                                    $0.000000
                      
        $0.000000                            $0.000000                                    $0.000000
                      
        $0.000000            $0.00            -                       $0.00               $0.000000
                      
       $18.923435       $27,743.06           $5.335204       $11,839,818.17           $2,276.888110
                      --------------                       ------------------                       
                        $27,743.06                           $11,839,818.17
                      
 Ending Aggregate Agency MBS Balance:                        $11,859,609.29
                                                          
                                                          
 Accrual Distribution Amount:                                         $0.00
 Aggregate Cash Flow Value Decline:                              $27,743.06
                                                          







                                                                  THE FIRST NATIONAL BANK OF CHICAGO,
                                                                  as Trustee
                                                                  Corporate Trust Division
                                                                  Suite 0126
                                                                  One First National Plaza
                                                                  Chicago, Illinois  60670
                                                                  (312)407-4660

              ** THIS IS A REDEMPTION PAYMENT TO SPECIFIC HOLDERS ELECTING A PUT OPTION.



</TABLE>



<PAGE>   4
                      FIREMAN'S FUND MORTGAGE CORPORATION
                AGENCY MBS MULTI-CLASS PASS-THROUGH CERTIFICATES
                                 SERIES 1988-1

              Distribution Date Statement for September  1, 1997

<TABLE>
<CAPTION>                                                                            
                                                                                     
                                                                                     
       COUPON     Principal      Number of     Interest          Interest            
Class   RATE     Outstanding    Certificates   Accrued            Payable            
- ----- -------- ---------------- ----------- -------------- ---------------------     
<S>  <C>       <C>              <C>          <C>               <C>                   
  A    0.0000%           $0.00      38,510          $0.00                 $0.00      
                                                                                     
  B    8.0000%           $0.00      51,050          $0.00                 $0.00      
                                                                                     
  Z    9.9000%  $11,874,596.74      10,440     $97,965.42            $97,965.42      
               ---------------- ----------- -------------- ---------------------     
                $11,874,596.74     100,000     $97,965.42            $97,965.42      
                                                                                     
                                                                                     
                                                                                     
      Agency MBS Collections :                                                       
              Interest                                               $98,957.22      
              Principal                                             $207,339.07      
      Investment Income                                               $1,207.84      
                                                           ---------------------     
      TOTAL AVAILABLE                                               $307,504.13      
                                                                                     
      Due to Certificateholders                                    ($305,304.49)     
                                                           ---------------------     
      Available for Expenses and Residual Payments                    $2,199.64      
                                                                                     
      Expenses Payable                                                 ($301.09)     
                                                                                     
                                                           ---------------------     
      Net Balance                                                     $1,898.55      
                                                           =====================        
                                                                                     
                                                                                     
      Due to Residual Holders                                         $1,898.55      
                                                                                     
      Amount Payable Per Individual                                                  
      Residual Certificate (5% Denomination):                          $94.9275      

<CAPTION>
                                                                             Principal Balance
  Interest                                Principal         Principal        Per $1,000
 Payable Per         Principal           Payable Per       Balance After     CTF After
 $1,000 CTF          Payable*             $1,000 CTF     September  1, 1997  September  1, 1997
- -------------     ---------------       --------------   -----------------   ------------------
<C>               <C>                    <C>             <C>                 <C>
   $0.000000               $0.00            $0.000000               $0.00            $0.000000

   $0.000000               $0.00            $0.000000               $0.00            $0.000000

   $9.383661         $207,339.07           $19.860064      $11,667,257.67        $1,117.553417
                  ---------------                        -----------------                    
                     $207,339.07                           $11,667,257.67


Ending Aggregate Agency MBS Balance:                       $11,667,525.20


                  Accrual Distribution Amount:                                           $0.00
                  Aggregate Cash Flow Value Decline:                               $207,339.07 
                                                                             ------------------
                  *Aggregate Amount of Principal Distributable:                    $207,339.07

                                                                              
                                                                              




                                                         THE FIRST NATIONAL BANK OF CHICAGO,
                                                         as Trustee
                                                         Corporate Trust Division
                                                         Suite 0126
                                                         One First National Plaza
                                                         Chicago, Illinois  60670
                                                         (312)407-4660


</TABLE>








<PAGE>   5
                      FIREMAN'S FUND MORTGAGE CORPORATION
                AGENCY MBS MULTI-CLASS PASS-THROUGH CERTIFICATES
                                 SERIES 1988-2
               Distribution Date Statement for September  1, 1997

<TABLE>
<CAPTION>
                                                                                                       
                                                                                                       
            COUPON                 Principal             Number of        Interest         Interest    
Class        RATE                  Outstanding          Certificates      Accrued          Payable     
- ------  ---------------        -------------------      ------------   --------------  ----------------
<S>     <C>                      <C>                    <C>             <C>              <C>           
 2-A            0.0000%                     $0.00            39,750            $0.00             $0.00 
                                                                                                       
 2-B            7.0000%                     $0.00            24,540            $0.00             $0.00 
                                                                                                       
 2-C            7.0000%                     $0.00            10,930            $0.00             $0.00 
                                                                                                       
 2-D            7.0000%                     $0.00            14,580            $0.00             $0.00 
                                                                                                       
 2-Z            9.4000%            $14,925,808.08            10,200      $116,918.83       $116,918.83 
                               -------------------      ------------   --------------  ----------------
                                   $14,925,808.08           100,000      $116,918.83       $116,918.83 
                                                                                                       
                                                                                                       
                                                                                                       
        Agency MBS Collections :                                                                       
                       Interest                                                            $118,162.84 
                       Principal                                                           $263,002.11 
        Investment Income                                                                      $848.52 
                                                                                       ----------------
        TOTAL AVAILABLE                                                                    $382,013.47 
                                                                                                       
        Due to Certificateholders                                                         ($379,920.94)
                                                                                       ----------------
        Available for Expenses and Residual Payments                                         $2,092.53 
                                                                                                       
        Expenses Payable                                                                      ($349.88)
                                                                                                       
        Net Balance                                                                          $1,742.65 
                                                                                       ================
                                                                                                       
                                                                                                       
        Due to Residual Holders                                                              $1,742.65 
                                                                                                       
        Amount Payable Per Individual                                                                  
        Residual Certificate (5% Denomination):                                               $87.1325 


<CAPTION>
                                                                                           Principal Balance
  Interest                                           Principal           Principal         Per $1,000
Payable Per         Principal                       Payable Per         Balance After      CTF After
 $1,000 CTF         Payable*                         $1,000 CTF       September  1, 1997   September  1, 1997
- ------------  ---------------------                --------------     -----------------    ----------------- 
<C>            <C>                                   <C>              <C>                  <C>
  $0.000000                  $0.00                     $0.000000                 $0.00            $0.000000
  $0.000000                  $0.00                     $0.000000                 $0.00            $0.000000
  $0.000000                  $0.00                     $0.000000                 $0.00            $0.000000
  $0.000000                  $0.00                     $0.000000                 $0.00            $0.000000
 $11.462630            $263,002.11                    $25.784521        $14,662,805.97        $1,437.529997
              ---------------------                                   -----------------                    
                       $263,002.11                                      $14,662,805.97
Ending Aggregate Agency MBS Balance:                                    $14,662,820.72

              Accrual Distribution Amount:                                                            $0.00
              Aggregate Cash Flow Value Decline:                                                $263,002.11 
                                                                                           -----------------
              *Aggregate Amount of Principal Distributable:                                     $263,002.11
              Principal Allocation:                                   Class 2-A:                     0.0000%
                                                                      Class 2-D:                     0.0000%

                                                                      THE FIRST NATIONAL BANK OF CHICAGO,
                                                                      as Trustee
                                                                      Corporate Trust Division
                                                                      Suite 0126
                                                                      One First National Plaza
                                                                      Chicago, Illinois  60670
                                                                      (312)407-4660


</TABLE>



<PAGE>   6
                      FIREMAN'S FUND MORTGAGE CORPORATION
                AGENCY MBS MULTI-CLASS PASS-THROUGH CERTIFICATES
                                 SERIES 1990-1

               Distribution Date Statement for August  20, 1997

<TABLE>
<CAPTION>
                                                                          UPPER TIER REMIC REGULAR CERTIFICATES
                                                                                           
                                                                                           
          COUPON        Principal          Number of        Interest          Interest     
Class      RATE         Outstanding      Cert.               Accrued           Payable     
- ------  ----------   -----------------   -------------    -------------   -----------------
<S>      <C>           <C>              <C>                 <C>          <C>               
 1-A       8.5000%              $0.00          15,250            $0.00               $0.00 
                                                                                           
 1-B       9.0000%              $0.00          10,500            $0.00               $0.00 
                                                                                           
 1-C       9.0000%              $0.00           6,500            $0.00               $0.00 
                                                                                           
 1-D       9.0000%              $0.00          16,500            $0.00               $0.00 
                                                                                           
 1-E       9.0000%     $10,309,151.52          12,000       $77,318.64          $77,318.64 
                                                                                           
 1-F       0.0000%              $0.00          18,500            $0.00               $0.00 
                                                                                           
 1-G       0.0000%              $0.00          12,450            $0.00               $0.00 
                                                                                           
 1-H       0.0000%              $0.00           4,850            $0.00               $0.00 
                                                                                           
 1-I     259.5000%         $20,618.30             152        $4,458.71           $4,458.71 
                     -----------------   -------------    -------------   -----------------
                       $10,329,769.82          96,702       $81,777.35          $81,777.35 
                                                                                           
                                                                                           
                                                                          UPPER TIER REMIC REGULAR CERTIFICATES 
                                                                                           
          COUPON        Principal          Number of        Interest          Interest     
           RATE         Outstanding      Cert.               Accrued           Payable     
        ----------   -----------------   -------------    -------------   -----------------
 1-R       0.0000%              $0.00           3,298            $7.95               $7.95 
                                                                                           
                                                                                           
                                                                                           
                                                                          LOWER TIER REMIC REGULAR INTERESTS
                                                                                           
          COUPON        Principal          Number of        Interest          Principal    
Class      RATE         Outstanding      Certificates        Accrued          Payable*     
- ------  ----------   -----------------   -------------    -------------   -----------------
 1-AS      9.5000%              $0.00          15,311            $0.00               $0.00 
                                                                                           
 1-BS      9.5000%              $0.00          10,521            $0.00               $0.00 
                                                                                           
 1-CS      9.5000%              $0.00           6,513            $0.00               $0.00 
                                                                                           
 1-DS      9.5000%              $0.00          16,533            $0.00               $0.00 
                                                                                           
 1-ES      9.5000%     $10,837,899.33          12,024       $81,785.30         $168,877.66 
                                                                                           
 1-FS      9.5000%              $0.00          30,950            $0.00               $0.00 

 1-HS      9.5000%              $0.00           8,148            $0.00               $0.00
                     -----------------   -------------    -------------   -----------------
                       $10,837,899.33         100,000       $81,785.30         $168,877.66
<CAPTION>
                                                                          UPPER TIER REMIC REGULAR CERTIFICATES
                                                                                     Principal Balance
      Interest                                  Principal           Principal        Per $1,000
    Payable Per              Principal         Payable Per         Balance After     CTF After
     $1,000 CTF               Payable*          $1,000 CTF       August  20, 1997    August  20, 1997    
 ------------------       ----------------    --------------     -----------------   --------------------
  <C>                       <C>               <C>                <C>
         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

         $6.443220            $168,540.58        $14.045048        $10,140,610.94            $845.050912

         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

         $0.000000                  $0.00         $0.000000                 $0.00              $0.000000

        $29.333618                $337.08         $2.217632            $20,281.22            $133.429079
                          ----------------                       -----------------                      
                              $168,877.66                          $10,160,892.16


UPPER TIER REMIC REGULAR CERTIFICATES

                                                                                     Principal Balance
      Interest                                  Principal           Principal        Per $1,000
    Payable Per              Principal         Payable Per         Balance After     CTF After
     $1,000 CTF               Payable*          $1,000 CTF       August  20, 1997    August  20, 1997    
 ------------------       ----------------    --------------     -----------------   --------------------
         $0.002411                  $0.00         $0.000000                 $0.00              $0.000000


LOWER TIER REMIC REGULAR INTERESTS

     Principal
   Balance After
  August  20, 1997                                                                    
 ------------------                                                                   
             $0.00

             $0.00

             $0.00

             $0.00

    $10,669,021.67

             $0.00

             $0.00
    --------------
    $10,669,021.67
</TABLE>





<PAGE>   7
                      FIREMAN'S FUND MORTGAGE CORPORATION
                AGENCY MBS MULTI-CLASS PASS-THROUGH CERTIFICATES
                                 SERIES 1990-1
                DISTRIBUTION DATE STATEMENT FOR August  20, 1997


<TABLE>
<S>                                                 <C>                                        
                                                                                               
Agency MBS Collections :                                                                       
         Interest                                         $81,785.30                           
         Principal                                       $168,877.66                           
Investment Income                                            $109.82                           
                                                    -----------------                          
Lower Tier REMIC Collection Account                      $250,772.78                           
                                                    -----------------                          
Upper Tier REMIC Collection Account                      $250,772.78                           
                                                                                               
Aggregate Prin Payable to Holders of                                                           
Upper Tier REMIC Regular Certificate                    ($168,877.66)                          
                                                                                               
Aggregate Interest Payable to Holders of                                                       
Upper Tier REMIC Regular Certificates                    ($81,777.35)                          
                                                                                               
Expenses Payable                                               $0.00                           
                                                                                               
                                                                                               
                                                                                               
REMIC Taxes Payable                                            $0.00                           
                                                                                               
Interest Payable to Class 1-R Certificate                     ($7.95)                          
                                                                                               
                                                                                               
                                                                                               
Principal Payable to Class 1-R Certificate                     $0.00                           
                                                                                               
Due to Class 1-RS Certificate                               ($109.82)                          
                                                    -----------------                          
Net Balance                                                   ($0.00)                          
                                                    ==================                         
                                                                                               
                                                                                               
                                                                                               
                                                                                               

<CAPTION>

 <S>                                                                     <C>
 Beginning Aggregate Agency MBS Balance :                                $100,001,006.61
 Ending Aggregate Agency MBS Balance :                                    $10,161,898.59


         Aggregate Cash Flow Value Decline:                                  $168,877.66 
                                                                       ------------------
         *Aggregate Amount of Principal Distributable:                       $168,877.66
                                                                                        


         Principal Allocation:


         Aggregate Amount of Principal
         Distributable to Classes 1-D and 1-I:


         Class 1-E:                            1.40450483%
         Class 1-I:                            0.22176316%

         Aggregate Amount of Principal
         Distributable to Classes 1-G,1-H and 1-R :

         Class 1-R:                            0.00000000%





         THE FIRST NATIONAL BANK OF CHICAGO,
         as Trustee
         Corporate Trust Division
         Suite 0126
         One First National Plaza
         Chicago, Illinois  60670
         (312)407-4660



</TABLE>




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