LEHMAN ABS CORP
10-K, 1996-04-01
ASSET-BACKED SECURITIES
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<PAGE>







                      SECURITIES AND EXCHANGE COMMISSION
                           Washington, D.C.  20549

                                  FORM 10-K

                Annual Report Pursuant to Section 13 or 15(d)
                    of the Securities Exchange Act of 1934

     For the fiscal year ended                   Commission file number
         December 31, 1995                              33-98594    
     -------------------------                    ---------------------
     
                                                       

                            LEHMAN ABS CORPORATION
     (as depositor under the Pooling and Servicing Agreement dated as
        of April 1, 1995, providing for the issuance of the
          Lehman FHA Title I Loan Trust 1995-3, FHA Title I
             Loan Asset-Backed Certificates, Series 1995-3)

                            LEHMAN ABS CORPORATION
            (Exact name of Registrant as specified in its Charter)

          Delaware                                  13-3447441
     (State or other jurisdiction of              (I.R.S. Employer
     incorporation or organization)           Identification Number)

                         Three World Financial Center
                               200 Vesey Street
                          New York, New York  10022
                   (Address of principal executive offices)

Registrant's telephone number, including area code:  (212) 298-2000
Securities registered pursuant to Section 12(b) of the Act:  Not Applicable.
Securities registered pursuant to Section 12(g) of the Act:  Not Applicable.

Indicate  by  check mark  whether the  Registrant (1)  has filed  all reports
required to be filed by Section 13 or 15(d) of the Securities Exchange Act of
1934 during the  preceding 12  months (or  for such shorter  period that  the
Registrant was required  to file such reports),  and (2) has been  subject to
such filing requirements for the past 90 days.
Yes x No _
    -

Indicate  by check mark if  disclosure of delinquent  filers pursuant to Item
405 of Regulation S-K  is not contained herein, and will not be contained, to
the  best  of  Registrant's  knowledge, in  definitive  proxy  or information
statements incorporated by  reference in  Part III  of the Form  10-K or  any
amendment to this Form 10-K. ( ).

Aggregate  market  value  of  voting  stock held  by  non-affiliates  of  the
Registrant as of December 31, 1995:  Not Applicable.

Number of shares of  common stock outstanding as  of December 31, 1995:   Not
Applicable.


                                      1
<PAGE>
                     DOCUMENTS INCORPORATED BY REFERENCE

Documents in Part  II and  Part IV  incorporated herein by  reference are  as
follows:


     Monthly  Report to Certificateholders as to  distributions made on April
     25,  1995  hereby  incorporated  herein  by  reference  as  exhibits  to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.

     Monthly Report to Certificateholders as to distributions made on May 25,
     1995 hereby incorporated herein by reference as exhibits to Registrant's
     Current  Report on  Form  8-K  filed with  the  Securities and  Exchange
     Commission.

     Monthly  Report to Certificateholders  as to distributions  made on June
     25,  1995  hereby  incorporated  herein  by  reference  as  exhibits  to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.

     Monthly Report  to Certificateholders as  to distributions made  on July
     25,  1995  hereby  incorporated  herein  by  reference  as  exhibits  to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.

     Monthly Report to  Certificateholders as to distributions made on August
     25,  1995  hereby  incorporated  herein  by  reference  as  exhibits  to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.

     Monthly  Report  to  Certificateholders  as  to  distributions  made  on
     September 25, 1995 hereby  incorporated herein by reference  as exhibits
     to Registrant's Current Report on Form 8-K filed with the Securities and
     Exchange Commission.

     Monthly Report to Certificateholders as to distributions made on October
     25,  1995  hereby  incorporated  herein  by  reference  as  exhibits  to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.

     Monthly  Report  to  Certificateholders  as  to  distributions  made  on
     November 25, 1995 hereby incorporated herein by reference as exhibits to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.

     Monthly  Report  to  Certificateholders  as  to  distributions  made  on
     December 25, 1995 hereby incorporated herein by reference as exhibits to
     Registrant's Current  Report on Form  8-K filed with the  Securities and
     Exchange Commission.


                                    PART I


Item 1.  Business.

     The trust fund  relating to Lehman FHA Title I Loan Trust 1995-3, Asset-
Backed Certificates, Series 1995-3 ("Series 1995-3") was established pursuant
to a Pooling and  Servicing Agreement dated as of April  1, 1995 among Lehman
ABS Corporation, as  depositor (the "Depositor"), The First  National Bank of
Keystone, as 
                                      2
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seller  (the "Seller"),  Lomas Mortgage  USA,  Inc., as  master servicer  and
claims  administrator (the  "Master  Servicer"  and "Claims  Administrator"),
Coast Partners Acceptance  Corporation, as contract of  insurance holder (the
"Contract of  Insurance  Holder") and  First  Bank National  Association,  as
trustee (the "Trustee").

     With respect  to the Series  listed herein, Series 1995-3  issued Lehman
FHA Title I  Loan Trust  1995-3, FHA Title  I Loan Asset-Backed  Certificates
(the  "Certificates").    The  Certificates  represent  beneficial  ownership
interests in a trust  fund (the "Trust").  The Trust  consists primarily of a
pool  of  (i)   closed-end  fixed-rate  home  improvement  loans  and  retail
installment  sale contracts  (the  "Mortgage Loans"),  secured  by first  and
junior mortgages, deeds  of trust and security deeds on residences (which are
primarily  condominiums, townhouses  and  one-  to  four-family  residences),
including investment  properties  and (ii)  fixed-rate  manufactured  housing
installment sale contracts and installment loan agreements (the "Manufactured
Housing  Contracts"  and  together with  the  Mortgage  Loans, the  "Loans"),
secured by either security interests in manufactured homes purchased with the
proceeds  of such Manufactured Housing Contracts (each a "Manufactured Home")
or liens  on the  real estate  to which  the related  Manufactured Homes  are
deemed permanently affixed.  The  Loans are partially insured by the  Federal
Housing Administration (the "FHA") of the United States Department of Housing
and Urban Development under Title I of  the National Housing Act of 1934 (the
"Title I  Program").   Certificateholders receive  Monthly Reports  regarding
distributions.

     Information  with respect  to  the business  of the  Trust would  not be
meaningful because the only "business" of the Trust is the collection  on the
Mortgage   Loans  and  distribution  of   payments  on  the  Certificates  to
Certificateholders.  This information is accurately summarized in the Monthly
Reports to  Certificateholders, which  are filed on  Form 8-K.   There  is no
additional  relevant  information  to  report  in response  to  Item  101  of
Regulation S-K.

Item 2.  Properties.

     The Issuer owns  no property.   The Series  1995-3 Certificates, in  the
aggregate,  represent the  beneficial ownership  in a  trust  fund consisting
primarily of the  Loans.  The  Trust will acquire title  to real estate  only
upon default  of  the mortgagors  under  a Loan.    Therefore, this  item  is
inapplicable.

Item 3.  Legal Proceedings.

     None.

Item 4.  Submission of Matters to a Vote of Security Holders.

     No matters  were submitted  to a vote  of Certificateholders  during the
fiscal year covered by this report.


                                   PART II


Item  5.   Market  for  Registrant's Common  Equity  and Related  Stockholder
Matters.

     The   Series  1995-3  Certificates  represent,  in  the  aggregate,  the
beneficial ownership  in the Trust  consisting primarily of  the Loans.   The
Certificates  are  owned   by  Certificateholders  as   Trust  beneficiaries.
Strictly speaking,  Registrant has  no "common equity,"  but for  purposes of
this Item only,  Registrant's FHA Title I Loan  Asset-Backed Certificates are
treated as "common equity."




                                      3
<PAGE>
(a)  Market Information.  There is no established public trading market for
     ------------------
Registrant's Certificates.   Registrant believes the Certificates  are traded
primarily in intra-dealer markets and non-centralized inter-dealer markets.
 
(b)  Holders.  The number of registered holders of all classes of
     -------
Certificates on December 31, 1995 was 1.

(c)  Dividends.  Not applicable.  The information regarding dividends
     ---------
required by Sub-paragraph  (c) of Item 201 of Regulation  S-K is inapplicable
because  the  Trust does  not  pay  dividends.   However,  information  as to
distribution  to Certificateholders  is provided  in the  Monthly Reports  to
Certificateholders for each month of the fiscal year in which a  distribution
to Certificateholders was made.

Item 6.  Selected Financial Data.

     Not Applicable.   Because of the  limited activities of  the Trust,  the
Selected Financial Data required  by Item 301 of Regulation S-K  does not add
relevant  information to  that which  is provided  by the Monthly  Reports to
Certificateholders.

Item  7.   Management's Discussion  and Analysis  of Financial  Condition and
Results of Operations.

     Not Applicable.  The  information required by Item 303 of Regulation S-K
is inapplicable because the Trust does not have management per se, but rather
the Trust has a Trustee who causes the preparation of the Monthly  Reports to
Certificateholders.   The  information  provided by  the  Monthly Reports  to
Certificateholders does provide the relevant  financial information regarding
the financial status of the Trust.

Item 8.  Financial Statemetns and Supplementary Data.

     Monthly Report to  Certificateholders as to distributions  made on April
25, 1995 hereby incorporated herein  by reference as exhibits to Registrant's
Current Report on Form 8-K filed with the Securities and Exchange Commission.

     Monthly Report to Certificateholders as to distributions made on May 25,
1995  hereby  incorporated herein  by reference  as exhibits  to Registrant's
Current Report on Form 8-K filed with the Securities and Exchange Commission.

     Monthly Report to  Certificateholders as to  distributions made on  June
25, 1995 hereby incorporated herein  by reference as exhibits to Registrant's
Current Report on Form 8-K filed with the Securities and Exchange Commission.

     Monthly Report  to Certificateholders as  to distributions made  on July
25, 1995 hereby incorporated herein  by reference as exhibits to Registrant's
Current Report on Form 8-K filed with the Securities and Exchange Commission.

     Monthly  Report to Certificateholders as to distributions made on August
25, 1995 hereby incorporated herein  by reference as exhibits to Registrant's
Current Report on Form 8-K filed with the Securities and Exchange Commission.

     Monthly  Report  to  Certificateholders  as  to  distributions  made  on
September 25,  1995 hereby  incorporated herein by  reference as  exhibits to
Registrant's  Current  Report on  Form  8-K  filed  with the  Securities  and
Exchange Commission.

                                      4
<PAGE>



     Monthly Report to Certificateholders as to distributions made on October
25, 1995 hereby incorporated herein  by reference as exhibits to Registrant's
Current Report on Form 8-K filed with the Securities and Exchange Commission.

     Monthly  Report  to  Certificateholders  as  to  distributions  made  on
November  25, 1995  hereby incorporated  herein by  reference as  exhibits to
Registrant's  Current  Report on  Form  8-K  filed  with the  Securities  and
Exchange Commission.

     Monthly  Report  to  Certificateholders  as  to  distributions  made  on
December  25, 1995  hereby incorporated  herein by  reference as  exhibits to
Registrant's  Current  Report on  Form  8-K  filed  with the  Securities  and
Exchange Commission.

     Annual Statement of  Compliance by the Master Servicer  is not currently
available and will be subsequently filed on Form 8.

     Independent Accountant's  Report on  Servicer's servicing  activities is
not currently available and will be subsequently filed on Form 8.

Item  9.  Changes  in and  Disagreements with  Accountants on  Accounting and
Financial Disclosure.

     None.


                                   PART III


Item 10.  Directors and Executive Officers of Registrant.

     Not  Applicable.    The  Trust  does not  have  officers  or  directors.
Therefore, the information required by items 401 and 405 of Regulation S-K is
inapplicable.

Item 11.  Executive Compensation.

     Not Applicable.  The  Trust does not have officers or  directors to whom
compensation needs to  be paid.  Therefore, the  information required by Item
402 of Regulation S-K is inapplicable.

Item 12.  Security Ownership of Certain Beneficial Owners and Management.

     (a)  Security ownership of certain beneficial owners.  Under the Pooling
          -----------------------------------------------
and Servicing Agreement governing the  Trust, the holders of the Certificates
generally do not have the right  to vote and are prohibited from  taking part
in management of  the Trust.   For purposes  of this Item  and Item 13  only,
however, the Certificateholders are treated as "voting security" holders.

               As of  December 31, 1995,  the following are the  only persons
               known to Registrant  to be the beneficial owners  of more than
               5% of any class of voting securities.



                                      5
<PAGE>










<TABLE>
<CAPTION>
- ----------------------------------------------------------------------------------------------
TITLE              NAME AND ADDRESS OF                                  PERCENT
OF                 BENEFICIAL                  AMOUNT AND NATURE OF     OF CLASS
CLASS              OWNERS                      BENEFICIAL OWNERSHIP           
- ---------------------------------------------------------------------------------------------
<S>                <C>                         <C>                      <C>

Series 1995-3      Bank of New York            $7,000,000                8%
Class A            925 Patterson Plank Rd.
                   Secaucus, NJ  07094
Series 1995-3      Bank One Trust Company      $69,983,974               82%
Class A            N.A. - State
                   30 West Spring Street
                   Columbus, OH  43266-0581
Series 1995-3      Boston Safe Deposit &       $6,000,000                 7%
Class A            Trust Co.
                   c/o ADP Proxy Services
                   51 Mercedes Way
                   Edgewood, NY  11747
Series 1995-3      Bost & Co.                  $10,993,015.26             18%
Class S-2          c/o Mellon Trust            (Initial Notional
                   P.O. Box 3195               Amount)
                   Pittsburgh, PA
Series 1995-3      Boston Safe Deposit &       $48,990,958.75             82%
Class S-3          Trust Co.                   (Initial Notional
                   c/o ADP Proxy Services      Amount)
                   51 Mercedes Way
                   Edgewood, NY  11747

</TABLE>

     (b)  Security ownership of management.  Not Applicable.  The Trust does
          --------------------------------
not  have any officers or directors.   Therefore, the information required by
Item 403 of Regulation S-K is inapplicable.

     (c)  Changes in control.  Not Applicable.  Since Certificateholders do
          ------------------
not possess,  directly  or indirectly,  the  power  to direct  or  cause  the
direction of the management and policies of  the Trust, other than in respect
to  certain required  consents regarding  any amendments  to the  Pooling and
Servicing Agreement,  the information requested  with respect to Item  403 of
Regulation S-K is inapplicable.

Item 13.  Certain Relationships and Related Transactions

     (a)  Transactions with management and others.  Registrant knows of no
          ---------------------------------------
transaction or series  of transactions during the fiscal  year ended December
31, 1995, or any currently proposed transaction or series of transactions, in
an   amount  exceeding  $60,000   involving  the  Registrant   in  which  the
Certificateholders  identified in  Item 12(a)  had or will  have a  direct or
indirect material interest.  There are  no persons of the types described  in
Item  404(a)(1), (2)  and (4)  of  Regulation S-K;  however, the  information
required  by Item  404(a)(3)  of  Regulation S-K  is  hereby incorporated  by
reference in Item 12(a) herein.

                                      6
<PAGE>

     (b)  Certain business relationships.  None.
          ------------------------------

     (c)  Indebtedness of management.  Not Applicable.  The Trust does not
          --------------------------
have  management consisting  of any  officers or  directors.   Therefore, the
information required by Item 404(c) of Regulation S-K is inapplicable.

     (d)  Transactions with promoters.  Not Applicable.  The Trust does not
          ---------------------------
use  promoters.   Therefore,  the  information  required  by Item  404(d)  of
Regulation S-K is inapplicable.


                                   PART IV


Item 14.  Exhibits, Financial Statement Schedules, and Reports on Form 8-K.

     (a)  The following is a list of documents filed as part of this report:

               EXHIBITS
               --------

               Monthly Report  to Certificateholders as to distributions made
               on April 25,  1995 hereby incorporated herein  by reference as
               exhibits to Registrant's Current Report on Form 8-K filed with
               the Securities and Exchange Commission.

               Monthly  Report to Certificateholders as to distributions made
               on May 25,  1995 hereby  incorporated herein  by reference  as
               exhibits to Registrant's Current Report on Form 8-K filed with
               the Securities and Exchange Commission.

               Monthly Report to Certificateholders as to  distributions made
               on June 25,  1995 hereby incorporated  herein by reference  as
               exhibits to Registrant's Current Report on Form 8-K filed with
               the Securities and Exchange Commission.

               Monthly Report to Certificateholders as  to distributions made
               on July  25, 1995 hereby  incorporated herein by  reference as
               exhibits to Registrant's Current Report on Form 8-K filed with
               the Securities and Exchange Commission.

               Monthly Report to Certificateholders  as to distributions made
               on August 25, 1995 hereby  incorporated herein by reference as
               exhibits to Registrant's Current Report on Form 8-K filed with
               the Securities and Exchange Commission.

               Monthly Report to Certificateholders  as to distributions made
               on  September 25, 1995 hereby incorporated herein by reference
               as  exhibits to Registrant's Current Report  on Form 8-K filed
               with the Securities and Exchange Commission.

               Monthly Report  to Certificateholders as to distributions made
               on October 25, 1995 hereby incorporated herein by reference as
               exhibits to Registrant's Current Report on Form 8-K filed with
               the Securities and Exchange Commission.


                                      7
<PAGE>
               Monthly Report to Certificateholders as to  distributions made
               on November 25,  1995 hereby incorporated herein  by reference
               as exhibits to Registrant's Current  Report on Form 8-K  filed
               with the Securities and Exchange Commission.

               Monthly Report to Certificateholders as  to distributions made
               on December 25,  1995 hereby incorporated herein  by reference
               as  exhibits to Registrant's Current Report  on Form 8-K filed
               with the Securities and Exchange Commission.

               Annual Statement of  Compliance by the Master  Servicer is not
               currently available and will be subsequently filed on Form 8.

               Independent  Accountant's   Report  on   Servicer's  servicing
               activities is not currently available and will be subsequently
               filed on Form 8.

     (b)  No Reports on  Form 8-K were filed  during the last quarter  of the
          period covered by this Report:

     (c)  The exhibits  required to be  filed by Registrant pursuant  to Item
          601  of Regulation S-K  are listed above  and in the  Exhibit Index
          that immediately follows the signature page hereof.

     (d)  Not  Applicable.   The  Trust  does not  have  any subsidiaries  or
          affiliates.   Therefore,  no financial  statements  are filed  with
          respect to subsidiaries or affiliates.

               SUPPLEMENTAL INFORMATION  TO BE FURNISHED  WITH REPORTS  FILED
               PURSUANT TO SECTION 15(D) OF THE ACT BY REGISTRANTS WHICH HAVE
               NOT REGISTERED SECURITIES PURSUANT TO SECTION 12 OF THE ACT

               No  annual report,  proxy  statement, form  of proxy  or other
               soliciting  material has been  sent to Certificateholders, and
               the Registrant does not contemplate sending any such materials
               subsequent to the filing of this report.


                                      8
<PAGE>
                                  SIGNATURE

Pursuant  to the  requirements  of Section  13  or  15(d) 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.

                By:  First  National Bank  Association,  not in  its individual
                     capacity but solely as Trustee on behalf of the Registrant
                     Trust Fund,






                By:  /s/Christina Hatfield
                     ---------------------
                     Christina Hatfield
                     Assistant Vice President




Date:     March 28, 1996
                                      9
<PAGE>
                                EXHIBIT INDEX
    
                                                                     Sequential
Exhibit                       Document                               Page Number
- -------                       --------                               -----------

1.1            Monthly Report to Certificateholders as to distributions    *
               made on April 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.2            Monthly Report to Certificateholders as to distributions     *
               made on May 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.3            Monthly Report to Certificateholders as to distributions     *
               made on June 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.4            Monthly Report to Certificateholders as to distributions     *
               made on July 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.5            Monthly Report to Certificateholders as to distributions     *
               made on August 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.6            Monthly Report to Certificateholders as to distributions     *
               made on September 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.7            Monthly Report to Certificateholders as to distributions      *
               made on October 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

1.8            Monthly Report to Certificateholders as to distributions      *
               made on November 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.

                                      10
<PAGE>

1.9            Monthly Report to Certificateholders as to distributions      *
               made on December 25, 1995 (hereby incorporated herein by 
               reference as exhibits to Registrant's Current Report on 
               Form 8-K filed with the Securities and Exchange Commission.















- -------------------------------
*    Incorporated by reference.
                                      11














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