LEHMAN ABS CORP
8-K, 1998-03-13
ASSET-BACKED SECURITIES
Previous: MERIDIAN POINT REALTY TRUST VIII CO/MO, SC 14D9/A, 1998-03-13
Next: LEHMAN ABS CORP, 8-K, 1998-03-13




                       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


                                  June 30, 1996
                        ---------------------------------
                                 Date of Report
                        (Date of Earliest Event Reported)


Lehman ABS Corporation (as depositor under the Standard Terms for Trust
Agreements, dated as of February 28, 1996, as supplemented by a Series
Supplement, dated as of February 28, 1996, which together formed the Corporate
Bond-Backed Certificates Trust, Series 1996-Wal-Mart, which issued Corporate
Bond Backed Certificates, Series 1996-Wal-Mart)


                             LEHMAN ABS CORPORATION
             ------------------------------------------------------
             (Exact Name of Registrant as Specified in Its Charter)



          Delaware                       1-11661                 13-3447441
- ----------------------------        ----------------        -------------------
(State or Other Jurisdiction        (Commission File         (I.R.S. Employer
     of Incorporation)                   Number)            Identification No.)



      Three World Financial Center
            200 Vesey Street
           New York, New York                                     10285
- ----------------------------------------                        ----------
(Address of Principal Executive Offices)                        (Zip Code)

                                 (212) 526-5594
                         -------------------------------
                         (Registrant's Telephone Number,
                              Including Area Code)

                                 Not Applicable
          -------------------------------------------------------------
          (Former Name or Former Address, if Changed Since Last Report)




<PAGE>







Item 5. OTHER EVENTS

On June 30, 1996, December 31, 1996, June 30, 1997 and December 31, 1997
distributions were made to the Holders of the Corporate Bond Backed
Certificates, Series 1996-Wal-Mart (the "Certificate Holders"). Specific
information with respect to the distributions is filed as Exhibits 99.1, 99.2,
99.3 and 99.4 hereto.

No other reportable transactions or matters have occurred during the current
reporting period.


Item 7. FINANCIAL STATEMENTS AND EXHIBITS

(c) The following exhibits are filed as part of this report:

    99.1 Trustee's Distribution Statement to the Certificate Holders for the
         six-month period ending June 30, 1996.

    99.2 Trustee's Distribution Statement to the Certificate Holders for the
         six-month period ending December 31, 1996.

    99.3 Trustee's Distribution Statement to the Certificate Holders for the
         six-month period ending June 30, 1997.

    99.4 Trustee's Distribution Statement to the Certificate Holders for the
         six-month period ending December 31, 1997.

                                      - 2 -

<PAGE>







                                    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.

Date: March 9, 1998



                                                  THE BANK OF NEW YORK
                                                  AS TRUSTEE, FOR
                                                  CORPORATE BOND-BACKED
                                                  CERTIFICATES TRUST,
                                                  SERIES 1996-WAL-MART




                                                  By:/s/ ENRICO D. REYES
                                                     -------------------
                                                     ENRICO D. REYES
                                                     VICE PRESIDENT


                                      - 3 -

<PAGE>








                                  EXHIBIT INDEX


Exhibit Number    Description
- --------------    -----------

99.1              Trustee's Distribution Statement to the Certificate
                  Holders for the six-month period ending June 30, 1996.

99.2              Trustee's Distribution Statement to the Certificate
                  Holders for the six-month period ending December 31, 1996.

99.3              Trustee's Distribution Statement to the Certificate
                  Holders for the six-month period ending June 30, 1997.

99.4              Trustee's Distribution Statement to the Certificate
                  Holders for the six-month period ending December 31, 1997.

                                      - 4 -





                                                                   Exhibit 99.1

                        TRUSTEE'S DISTRIBUTION STATEMENT

  THE                           TO THE HOLDERS OF:
BANK OF               The Bank of New York, as Trustee under the
  NEW                           LEHMAN CORP. BND-BACKED CTS 1996 WALMART 1
 YORK                           REFERENCE NO.

in accordance with the Standard Terms and Conditions of Trust, The Bank of New
York, as Trustee, submits the following cash basis statement for the calendar
month ending June 30, 1996.

INTEREST ACCOUNT
Balance as of December 31, 1995................................           $0.00
        Schedule Income received on securities.................     $725,000.00
        Unscheduled Income received on securities..............           $0.00
        Schedule Interest received from Swap Counterparty......           $0.00
        Unscheduled Interest received from Swap Counterparty...           $0.00
LESS:
        Distribution to Beneficial Holders..........  $361,666.66
        Distribution to Retained Interest Holder....  $362,170.84
        Trustee Fees................................    $1,162.50   $725,000.00
Balance as of June 30, 1996.........................                      $0.00
PRINCIPAL ACCOUNT
Balance as of December 31, 1995..................................
        Scheduled Principal payment received on securities.......         $0.00
LESS:
        Distribution to Beneficial Holders.................     $0.00
Balance as of June 30, 1996......................................         $0.00

                 UNDERLYING SECURITIES HELD AS OF June 30, 1996
Principal
Amount                                      Title of Security
- ---------                                   -----------------
20,000,000                                  WALMART STORES INC. DEB
                                            CUS# 931142AS2

   
                                      - 5 -





                                                                   Exhibit 99.2

                        TRUSTEE'S DISTRIBUTION STATEMENT

  THE                               TO THE HOLDERS OF:
BANK OF                    The Bank of New York, as Trustee under the
  NEW                               LEHMAN CORP. BND-BACKED CTS 1996 WALMART 1
 YORK                               REFERENCE NO.

in accordance with the Standard Terms and Conditions of Trust, The Bank of New
York, as Trustee, submits the following cash basis statement for the month
ending December 31, 1996.

INTEREST ACCOUNT
Balance as of June 30, 1996.....................................          $0.00
        Schedule Income received on securities..................    $725,000.00
        Unscheduled Income received on securities...............          $0.00
        Schedule Interest received from Swap Counterparty.......          $0.00
        Unscheduled Interest received from Swap Counterparty....          $0.00
LESS:
        Distribution to Beneficial Holders...........$700,000.00
        Distribution to Retained Interest Holder..... $22,750.00
        Trustee Fees.................................  $2,250.00    $725,000.00

Balance as of December 31, 1996......................                     $0.00
PRINCIPAL ACCOUNT
Balance as of June 30, 1996.....................................
        Scheduled Principal payment received on securities......          $0.00
LESS:
        Distribution to Beneficial Holders............     $0.00
Balance as of December 31, 1996.................................          $0.00

               UNDERLYING SECURITIES HELD AS OF DECEMBER 31, 1996
Principal
Amount                                      Title of Security
- ---------                                   -----------------
20,000,000                                  WALMART STORES INC. DEB
                                            CUS# 931142AS2

   
                                      - 6 -



                                                                   Exhibit 99.3

                        TRUSTEE'S DISTRIBUTION STATEMENT

  THE                               TO THE HOLDERS OF:
BANK OF                    The Bank of New York, as Trustee under the
  NEW                               LEHMAN CORP. BND-BACKED CTS 1996 WALMART 1
 YORK                               REFERENCE NO.

in accordance with the Standard Terms and Conditions of Trust, The Bank of New
York, as Trustee, submits the following cash basis statement for the month
ending June 30, 1997.

INTEREST ACCOUNT
Balance as of December 31, 1996.................................          $0.00
        Schedule Income received on securities..................    $725,000.00
        Unscheduled Income received on securities...............          $0.00
        Schedule Interest received from Swap Counterparty.......          $0.00
        Unscheduled Interest received from Swap Counterparty....          $0.00
LESS:
        Distribution to Beneficial Holders.......... $700,000.00
        Distribution to Retained Interest Holder....  $22,750.00
        Trustee Fees................................   $2,250.00    $725,000.00
Balance as of June 30, 1997.........................                      $0.00
PRINCIPAL ACCOUNT
Balance as of December 31, 1996.....................                      $0.00
        Scheduled Principal payment received on securities......
LESS:
        Distribution to Beneficial Holders...........      $0.00
Balance as of June 30, 1997.....................................          $0.00

                 UNDERLYING SECURITIES HELD AS OF June 30, 1997
Notion
Amount                                      Title of Security
- ------                                      -----------------
20,000,000                                  WALMART STORES INC. DEB
                                            CUS# 931142AS2

                                      - 7 -


                                                                   Exhibit 99.4

                        TRUSTEE'S DISTRIBUTION STATEMENT

  THE                               TO THE HOLDERS OF:
BANK OF                    The Bank of New York, as Trustee under the
  NEW                               LEHMAN CORP. BND-BACKED CTS 1996 WALMART 1
 YORK                               REFERENCE NO.

in accordance with the Standard Terms and Conditions of Trust, The Bank of New
York, as Trustee, submits the following cash basis statement for the month
ending December 31, 1997.

INTEREST ACCOUNT
Balance as of June 30, 1997.....................................          $0.00
        Schedule Income received on securities..................    $725,000.00
        Unscheduled Income received on securities...............          $0.00
        Schedule Interest received from Swap Counterparty.......          $0.00
        Unscheduled Interest received from Swap Counterparty....          $0.00
LESS:
        Distribution to Beneficial Holders...........$700,000.00
        Distribution to Retained Interest Holder..... $22,750.00
        Trustee Fees.................................  $2,250.00    $725,000.00

Balance as of December 31, 1997.................................          $0.00
PRINCIPAL ACCOUNT
Balance as of June 30, 1997.....................................
        Scheduled Principal payment received on securities......          $0.00
LESS:
        Distribution to Beneficial Holders.............    $0.00
Balance as of December 31, 1997.................................          $0.00

               UNDERLYING SECURITIES HELD AS OF DECEMBER 31, 1997
Notion
Amount                                      Title of Security
- ------                                      -----------------
20,000,000                                  WALMART STORES INC. DEB
                                            CUS# 931142AS2

                                     - 8 -


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission