SOURCE ONE MORTGAGE SERVICES CORP
8-K, 1998-12-01
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:  November 30, 1998




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


          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)


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 November 25, 1998 for Series
         1987-2, Distribution Reports as of December 1, 1998 for Series 1988-1
         and 1988-2 and Distribution Reports as of November 20, 1998 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:  November 30, 1998            By:    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                25-Nov-98
                 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%        $8,027,608.44                 5,200          $66,562.25           $66,562.25     
                               -------------                 -----          ----------           ----------     
                                                                                                                
                               $8,027,608.44                88,124          $66,562.25           $66,562.25     
                                                                                                                
</TABLE>


<TABLE>
<CAPTION>                                                                                                 

                                    Distribution Date Statement for                25-Nov-98
                       Interest                            Principal             Principal             Per $1,000
                      Payable Per         Principal       Payable Per          Balance After           CTF After
  Class               $1,000 CTF          Payable         $1,000 CTF                 25-Nov-98             25-Nov-98
  -----               ----------          -------         ----------           ---------------         -------------
<S>                  <C>                <C>                <C>                 <C>                     <C>              
   2-A                $0.000000           $0.000000         $0.000000                  $0.00               $0.000000
            
   2-B                $0.000000           $0.000000         $0.000000                  $0.00               $0.000000
            
   2-C                $0.000000           $0.000000         $0.000000                  $0.00               $0.000000
            
   2-D                $0.000000           $0.000000                --                  $0.00               $0.000000
            
   2-E               $12.800433         $283,148.21        $54.451579          $7,744,460.23           $1,489.319275
                                        -----------                            -------------                      
                                        $283,148.21                            $7,744,460.23
            
               Ending Aggregate Agency MBS Balance:                            $7,764,251.32


               Accrual Distribution Amount:                                            $0.00
               Aggregate Cash Flow Value Decline:                                $283,148.21

<CAPTION>

              <S>                                                                                        <C>                    
              Agency MBS Collections :                                                                          
                            Interest                                                                      $67,061.66
                            Principal                                                                    $283,148.21
              Investment Income                                                                              $497.97
                                                                                                         -----------

              TOTAL AVAILABLE                                                                            $350,707.84

              Due   to Certificateholders                                                                $349,710.46
                                                                                                         -----------

              Available for Expenses and Residual Payments                                                   $997.38

              Expenses Payable                                                                              ($209.36)
                                                                                                         -----------

              Net Balance                                                                                    $788.02
                                                                                                         ===========


              Due to Residual Holders                                                                        $788.02

              Amount Payable Per Individual
              Residual Certificate (5% Denomination):                                                       $39.4010




                                                                                
            
                                                                                     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

<TABLE>
<CAPTION>               
                    Distribution Date Statement for 1-Dec-98

             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%    $8,052,674.16             10,440         $66,434.56        $66,434.56   
                       -------------             ------         ----------        ----------
                       $8,052,674.16            100,000         $66,434.56        $66,434.56   

<CAPTION>
           
                                        Distribution Date Statement for 1-Dec-98

                                                                                                       Principal Balance
                    Interest                              Principal              Principal             Per $1,000
                  Payable Per           Principal        Payable Per           Balance After           CTF After
  Class           $1,000 CTF            Payable*          $1,000 CTF                 1-Dec-98                    1-Dec-98
  -----           -----------           ---------       ------------           --------------          ------------------
<S>               <C>               <C>                  <C>                    <C>                       <C>
    A             $0.000000               $0.00           $0.000000                     $0.00               $0.000000

    B             $0.000000               $0.00           $0.000000                     $0.00               $0.000000

    Z             $6.363464         $153,078.16          $14.662659             $7,899,596.00             $756.666284
                                    -----------                                 -------------
                                    $153,078.16                                 $7,899,596.00


               Ending Aggregate Agency MBS Balance:                              7,899,863.53
          

              Agency MBS Collections :
                            Interest                                               $67,107.88
                            Principal                                             $153,078.16  

              Investment Income                                                       $310.37  
                                                                                 ------------  
              TOTAL AVAILABLE                                                     $220,496.41  

              Due to Certificateholders                                          ($219,512.72) 
                                                                                 ------------  
              Available for Expenses and Residual Payments                            $983.69

              Expenses Payable                                                       ($212.32)
                                                                               
                                                                                 ------------  
              Net Balance                                                             $771.37  
                                                                                 ============  
                                                                                               
                                                                                               
              Due to Residual Holders                                                 $771.37   
                                                                                               
              Amount Payable Per Individual
              Residual Certificate (5% Denomination):                               $38.5685


          
                        Accrual Distribution Amount:                                                            $0.00
                        Aggregate Cash Flow Value Decline:                                                $153,078.16
                                                                                                          -----------
                        *Aggregate Amount of Principal Distributable:                                     $153,078.16

                                                                                      

          
          
                                                                                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


 <TABLE>
<CAPTION>    
                    Distribution Date Statement for 1-Dec-98
                                                                               
          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%    $10,586,421.47       10,200      $82,926.97       $82,926.97
                    --------------       ------      ----------       ----------
                   
                    $10,586,421.47      100,000      $82,926.97       $82,926.97


<CAPTION>
                    Distribution Date Statement for 1-Dec-98

                                                                       Principal Balance
         Interest                        Principal       Principal     Per $1,000     
        Payable Per    Principal        Payable Per   Balance After    CTF After      
 Class  $1,000 CTF      Payable*        $1,000 CTF          1-Dec-98           1-Dec-98
 -----  ----------      --------        ----------    --------------  -----------------
<S>    <C>           <C>               <C>         <C>                   <C>
 2-A   $0.000000            $0.00      $0.000000             $0.00          $0.000000

 2-B   $0.000000            $0.00      $0.000000             $0.00          $0.000000

 2-C   $0.000000            $0.00      $0.000000             $0.00          $0.000000

 2-D   $0.000000            $0.00      $0.000000             $0.00          $0.000000

 2-Z   $8.130095      $552,778.44     $54.193965    $10,033,643.03        $983.690493
                      -----------                   --------------           
             
                      $552,778.44                   $10,033,643.03                   
                                                                                
<CAPTION>

<S>                                                            <C>               
         Agency MBS Collections :
                 Interest                                                  $83,809.23
                 Principal                                                $552,778.44
         Investment Income                                                  $1,007.56
                                                                      ---------------
         TOTAL AVAILABLE                                                  $637,595.23

         Due to Certificateholders                                       ($635,705.41)
                                                                      ---------------
         Available for Expenses and Residual Payments                       $1,889.82

         Expenses Payable                                                    ($277.04)

         Net Balance                                                        $1,612.78
                                                                      ===============


         Due to Residual Holders                                            $1,612.78
                                                                         
         Amount Payable Per Individual
         Residual Certificate (5% Denomination):                             $80.6390

                                                                                
Ending Aggregate Agency MBS Balance:           $10,033,657.78                   
                                                                                
                                                                                
             Accrual Distribution Amount:                                       $0.00 
             Aggregate Cash Flow Value Decline:                           $552,778.44 
                                                                     ----------------
             *Aggregate Amount of Principal Distributable:                $552,778.44 
                                                                                
             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
<TABLE>
<CAPTION>
                                               DISTRIBUTION DATE STATEMENT FOR                    
                                        
                                            UPPER TIER REMIC REGULAR CERTIFICATES

                                                                                                Interest
              COUPON        Principal         Number of         Interest        Interest       Payable Per          Principal 
  Class        RATE        Outstanding       Cert.              Accrued         Payable        $1,000 CTF            Payable* 
  -----        ----        -----------       ----------         -------         -------        ----------            -------- 
<S>            <C>       <C>                     <C>         <C>               <C>              <C>             <C>        
   1-A         8.5000%           $0.00           15,250           $0.00             $0.00       $0.000000             $0.00

   1-B         9.0000%           $0.00           10,500           $0.00             $0.00       $0.000000             $0.00

   1-C         9.0000%           $0.00            6,500           $0.00             $0.00       $0.000000             $0.00

   1-D         9.0000%           $0.00           16,500           $0.00             $0.00       $0.000000             $0.00

   1-E         9.0000%   $6,872,322.21           12,000      $51,542.42        $51,542.42       $4.295202       $286,292.70

   1-F         0.0000%           $0.00           18,500           $0.00             $0.00       $0.000000             $0.00

   1-G         0.0000%           $0.00           12,450           $0.00             $0.00       $0.000000             $0.00

   1-H         0.0000%           $0.00            4,850           $0.00             $0.00       $0.000000             $0.00

   1-I       259.5000%      $13,744.65              152       $2,972.28         $2,972.28      $19.554474           $572.59
                            ----------           ------      ----------        ----------                       -----------
                         $6,886,066.86           96,702      $54,514.70        $54,514.70                       $286,865.29
<CAPTION>

                   DISTRIBUTION DATE STATEMENT FOR                    
                                        
                 UPPER TIER REMIC REGULAR CERTIFICATES

                                                         Principal Balance
                 Principal             Principal         Per $1,000
                Payable Per          Balance After       CTF After
  Class         $1,000 CTF               20-Nov-98              20-Nov-98
  -----         ----------               ---------       ----------------
<S>             <C>                <C>                        <C>        
   1-A           $0.000000                 $0.00                $0.000000

   1-B           $0.000000                 $0.00                $0.000000

   1-C           $0.000000                 $0.00                $0.000000

   1-D           $0.000000                 $0.00                $0.000000

   1-E          $23.857725         $6,586,029.51              $548.835793

   1-F           $0.000000                 $0.00                $0.000000

   1-G           $0.000000                 $0.00                $0.000000

   1-H           $0.000000                 $0.00                $0.000000

   1-I           $3.767039            $13,172.06               $86.658289
                                  --------------
                                   $6,599,201.57
</TABLE>

<TABLE>
<CAPTION>
                                               UPPER TIER REMIC REGULAR CERTIFICATES                                          

                                                                                 Interest                     Principal   
              COUPON      Principal     Number of     Interest      Interest    Payable Per    Principal     Payable Per  
               RATE      Outstanding      Cert.       Accrued       Payable     $1,000 CTF      Payable*     $1,000 CTF   
              ------     -----------    ---------     -------       --------    -----------    ---------     ----------   
<S>           <C>              <C>          <C>         <C>            <C>        <C>              <C>        <C>      
   1-R        0.0000%          $0.00        3,298       $7.96          $7.96      $0.002414        $0.00      $0.000000


<CAPTION>
              UPPER TIER REMIC REGULAR CERTIFICATES

                                 Principal Balance
                Principal        Per $1,000
              Balance After      CTF After
                   20-Nov-98            20-Nov-98
              --------------     ----------------
<S>                    <C>              <C>      
   1-R                 $0.00            $0.000000
</TABLE>


                      
<TABLE>
<CAPTION>
                                          LOWER TIER REMIC REGULAR INTERESTS                                          

                                                                                                      Principal    
                  COUPON          Principal         Number of         Interest      Principal        Balance After  
  Class            RATE          Outstanding       Certificates        Accrued       Payable*          20-Nov-98    
  -----            ----          -----------       ------------        -------       --------          ---------    
<S>               <C>          <C>                     <C>         <C>            <C>             <C>               
  1-AS            9.5000%              $0.00           15,311           $0.00           $0.00             $0.00     

  1-BS            9.5000%              $0.00           10,521           $0.00           $0.00             $0.00     

  1-CS            9.5000%              $0.00            6,513           $0.00           $0.00             $0.00     

  1-DS            9.5000%              $0.00           16,533           $0.00           $0.00             $0.00     

  1-ES            9.5000%      $6,886,066.85           12,024      $54,514.70     $286,865.29     $6,599,201.56     

  1-FS            9.5000%              $0.00           30,950           $0.00           $0.00             $0.00     

  1-HS            9.5000%              $0.00            8,148           $0.00           $0.00             $0.00     

                               -------------          -------      ----------     -----------     -------------
                               $6,886,066.85          100,000      $54,514.70     $286,865.29     $6,599,201.56
</TABLE>
<PAGE>   7
                       FIREMAN'S FUND MORTGAGE CORPORATION
                AGENCY MBS MULTI-CLASS PASS-THROUGH CERTIFICATES
                                  SERIES 1990-1
                DISTRIBUTION DATE STATEMENT FOR November 20, 1998

<TABLE>
<CAPTION>

<S>                                                                <C>        
                                                                                        
             Agency MBS Collections :                                                   
                           Interest                                 $54,522.66
                           Principal                               $286,865.29          
             Investment Income                                         $125.03          
                                                                   -----------          
             Lower Tier REMIC Collection Account                   $341,512.98          
                                                                   -----------          
             Upper Tier REMIC Collection Account                   $341,512.98

             Aggregate Prin Payable to Holders of                                       
             Upper Tier REMIC Regular Certificate                 ($286,865.29)         

             Aggregate Interest Payable to Holders of                                   
             Upper Tier REMIC Regular Certificates                 ($54,514.70)         

             Expenses Payable                                            $0.00          
                                                                                        
                                                                                        

             REMIC Taxes Payable                                         $0.00          
                                                                                        
             Interest Payable to Class 1-R Certificate                  ($7.96)         
                                                                                        

             Principals Payable to Class 1-R Certificate                 $0.00

             Due to Class 1-RS Certificate                            ($125.03)
                                                                   -----------          
             Net Balance                                                 $0.00          
                                                                   ===========
</TABLE>


<TABLE>
<CAPTION>
<S>                                                    <C>
     Beginning Aggregate Agency MBS Balance :          $100,001,006.61
     Ending Aggregate Agency MBS Balance :               $6,600,208.00


        Aggregate Cash Flow Value Decline:                 $286,865.29
                                                       ---------------
        *Aggregate Amount of Principal Distributable:      $286,865.29



     Principal Allocation:


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


     Class 1-E:                        2.38577250%
     Class 1-I:                        0.37670395%

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

     Class 1-R:                        0.00000000%

</TABLE>


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



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