EQUICREDIT CORP OF AMERICA/ADMINISTRATOR
8-K, 1997-04-07
MORTGAGE BANKERS & LOAN CORRESPONDENTS
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<PAGE>

                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549
     
                         ------------------------------
     
                                       8-K
     
                          -----------------------------
     
                     Pursuant to Section 13 or 15(d) of the
                         Securities Exchange Act of 1934
     
       Date of Report (Date of earliest event reported) February 15, 1997
     
                       EQCC HOME EQUITY LOAN TRUST 1996-A
- --------------------------------------------------------------------------------
        (Exact name of registrant as specified in governing instruments)
     
                              33-99344
    Delaware                  33-99344-01               59-3400385
- ---------------           ----------------          -------------------- 
(State or other           (Commission File             (IRS Employer 
jurisdiction of                Number)              Identification No.)
 organization)                                         
     
     10401 Deerwood Park Boulevard, Jacksonville, Florida      32256
- --------------------------------------------------------------------------------
              (Address of principal offices)                (Zip Code)
     
       Registrant's telephone number, including area code: (904) 987-5000
     
                                 Not Applicable
- --------------------------------------------------------------------------------
          (Former name or former address, if changed since last report)
     
                                                 Total Number of Pages 10
                                                 Exhibit Index Located at Page 5
     
     
                                  Page 1 of 10
<PAGE>
     
                                       -2-
     
     
Items 1 through 4, Item 6, and Item 8 are not included because they are not 
applicable.
     
Item 5. Other Events.
     
(a) Merger. On September 26, 1994, EquiCredit Corporation (the "Company") 
entered into an Agreement and Plan of Merger (the "Merger Agreement") with 
Barnett Banks, Inc. ("Barnett Banks") and a Delaware corporation to be formed as
wholly-owned subsidiary of Barnett Banks (the "Merger Subsidiary"). The 
transaction was consummated on January 27, 1995.
     
(b) On August 15, 1996, (the "August Remittance Date") a scheduled distribution 
was made from EQCC Home Equity Loan Trust 1996-2 to holders of Class A-1 
Certificates, Class A-2 Certificates, Class A-3 Certificates, Class A-4 
Certificates and Class A-5 Certificates. The information contained in the 
Trustee's Remittance Report in respect of the August Remittance Date, attached 
hereto as Exhibit 99, is hereby incorporated by reference.
     
(c) On February 19, 1996, a class action complaint was filed in the U.S. 
District Court for the Northern District of Georgia by Elizabeth D. Washington 
on behalf of herself and others similarly situated, against EquiCredit 
Corporation of Ga., an affiliate of EquiCredit Corporation of America. Plaintiff
purports to represent a class (the "Class") consisting of all persons who 
obtained "federally regulated mortgage loans" from February 16, 1995 to February
16, 1996 on which a fee or yield spread premium ("YSP") was paid to a mortgage 
broker. The action is brought pursuant to the Real Estate Settlement Procedures 
Act ("RESPA") alleging that EquiCredit violated RESPA by paying a YSP to Funding
Center of Georgia, Inc. ("FCG"), failing to disclose such YSP on the Good Faith 
Estimate of settlement costs, and failing to provide a Good Faith Estimate and 
HUD "Special Information Booklet" within three days of receipt of loan 
application. Plaintiff seeks judgment equal to three times the amount of all YSP
paid by EquiCredit to FCG and other brokers, as well as court costs and 
litigation expenses, attorney fees and such other relief which may be granted by
the court. Management of EquiCredit denies that the Company has violated any 
law, rule, or regulation as asserted in the Plaintiff's Complaint. The parties 
have agreed in principle to settle the action and a settlement agreement is 
being negotiated and will be presented to the court for approval. The agreement 
contemplates payment by EquiCredit of the total settlement amount of $352,000 in
full compromise and settlement of all claims of plaintiff and class members. By 
reaching agreement in principle to settle the case, EquiCredit hoes not admit to
any wrongdoing and in fact specifically denies any liability or wrongdoing 
whatsoever.
<PAGE>
     
                                       -3-
     
     
As of October 1, 1993, Old Stone Credit Corporation is n/k/a EquiCredit 
Corporation of America.
     
Item 7. Financial Statements and Exhibits.
     
     (a) Financial Statements - Not Applicable
     
     (b) Pro Forma Financial Information - Not Applicable
     
     (c) Exhibits
     
               (Exhibit numbers conform to Item 601 of Regulation S-K):
     
          99 Trustee's Remittance Report in respect of the August Remittance
             Date.
     
              [THE REMAINDER OF THIS PAGE INTENTIONALLY LEFT BLANK]
<PAGE>
     
                                       -4-
     
     
                                   Signatures
     
     Pursuant to the requirements of the Securities Exchange Act of 1934, the
registrant has duly caused this report to be signed on its behalf the 
undersigned hereto duly authorized.
     
                                        EQCC HOME EQUITY LOAN TRUST 1996-A
                                               (Registrant)
     
                                        EQUICREDIT CORPORATION OF AMERICA
                                               as Representative
     
     
February 15, 1997                       BY: /s/ RODOLFO F. ENGMANN
                                            -----------------------------------
                                            Rodolfo F. Engmann
                                            Executive Vice President
<PAGE>
     
                                       -5-
     
     
                                INDEX TO EXHIBITS
     
                                                                  Sequentially
EXHIBIT                                                             Numbered 
NUMBER                              Exhibit                            Page 
- ------                              -------                       -------------
     
99 --             Trustee's Remittance Report in respect                7
                  of the August Remittance Date.
     
                    [THIS SPACE IS INTENTIONALLY LEFT BLANK]
     

<PAGE>
     
                                       -6-
     
     
                                   EXHIBIT 99
     
     
      Trustee's Remittance Report in respect of the August Remittance Date.
     
                   [ THIS SPACE IS INTENTIONALLY LEFT BLANK ]
<PAGE>
     
================================================================================
                         FIRST BANK NATIONAL ASSOCIATION
                                   AS TRUSTEE
     
                         EQUICREDIT FUNDING TRUST 1996-A
================================================================================
     
<TABLE>
<CAPTION>
                                                 PYMT PER FROM DATE                        January 15, 1997
                                                 PYMT PER TO DATE                          February 18, 1997
     
     
                                                                                   PER $1,000           PER $1,000
                                                                                  ORIGINAL BAL          ORIGINAL BAL
                                                                                   CLASS A-1             CLASS A-2
                                                                                 72,800,000.00         37,600,000.00 
<S>                                                        <C>                    <C>                  <C>                  
CLASS A-1 PRINCIPAL BALANCE (Beginning)                    62,158,859.19          853.83048338                               
CLASS A-2 PRINCIPAL BALANCE (Beginning)                    37,600,000.00                               1000.00000000         
CLASS A-3 PRINCIPAL BALANCE (Beginning)                    24,200,000.00             
CLASS A-4 PRINCIPAL BALANCE (Beginning)                     9,250,000.00             
CLASS A-5 PRINCIPAL BALANCE (Beginning)                    13,794,000.00             
CLASS A-6 PRINCIPAL BALANCE (Beginning)                    12,257,397.64             
Fixed Rate POOL PRINCIPAL BALANCE (Beginning)             147,002,859.19         2019.27004382         3909.65051037         
Variable Rate POOL PRINCIPAL BALANCE (Beginning)           12,257,397.64             
Total POOL PRINCIPAL BALANCE (Beginning)                  159,260,256.83         2187.64089052         4235.64512846         
     
     MORTGAGES:                                               
NUMBER OF PRINCIPAL PREPAYMENTS                                       50    
PRINCIPAL BALANCE OF Fixed Rate MORTGAGES PREPAYING         2,785,182.62           38.25800302                               
PRINCIPAL BALANCE OF Var. Rate MORTGAGES PREPAYING            562,804.55 
PRINCIPAL BALANCE OF MORTGAGES PREPAYING                    3,347,987.17             
     
AMOUNT OF Fixed Rate CURTAILMENTS RECEIVED                     19,070.53            0.26195783                               
AMOUNT OF Variable Rate CURTAILMENTS RECEIVED                     200.00
TOTAL AMOUNT OF CURTAILMENTS RECEIVED                          19,270.53             
     
AGGREGATE AMOUNT OF PRINCIPAL PORTION OF -               
MONTHLY PAYMENTS RECEIVED - Fixed Rate Pool                   169,342.55            2.32613393                               
MONTHLY PAYMENTS RECEIVED - Var. Rate Pool                      5,691.68 
MONTHLY PAYMENTS RECEIVED - Total Pool                        175,034.23             
     
ENDING CLASS A-1 PRINCIPAL BALANCE                         59,185,263.49          812.98438860                               
ENDING CLASS A-2 PRINCIPAL BALANCE                         37,600,000.00                               1000.00000000         
ENDING CLASS A-3 PRINCIPAL BALANCE                         24,200,000.00             
ENDING CLASS A-4 PRINCIPAL BALANCE                          9,250,000.00             
ENDING CLASS A-5 PRINCIPAL BALANCE                         13,794,000.00             
ENDING CLASS A-6 PRINCIPAL BALANCE                         11,688,701.41             
Fixed Rate POOL PRINCIPAL BALANCE (Ending)                144,029,263.49         1978.42394904         3830.56551835         
Variable Rate POOL PRINCIPAL BALANCE (Ending)              11,688,701.41
Total POOL PRINCIPAL BALANCE (Ending)                     155,717,964.90         2138.98303434         4141.43523670         
     
<CAPTION>
                                                            PER $1,000          PER $1,000           PER $1,000  
                                                           ORIGINAL BAL        ORIGINAL BAL         ORIGINAL BAL 
                                                            CLASS A-3           CLASS A-4             CLASS A-5  
                                                          24,200,000.00        9,250,000.00         13,794,000.00 
     
<S>                                                       <C>                <C>                   <C>            
CLASS A-1 PRINCIPAL BALANCE (Beginning)                                              
CLASS A-2 PRINCIPAL BALANCE (Beginning)                                              
CLASS A-3 PRINCIPAL BALANCE (Beginning)                   1000.00000000              
CLASS A-4 PRINCIPAL BALANCE (Beginning)                                       1000.00000000                       
CLASS A-5 PRINCIPAL BALANCE (Beginning)                                                             1000.00000000 
CLASS A-6 PRINCIPAL BALANCE (Beginning)                                              
Fixed Rate POOL PRINCIPAL BALANCE (Beginning)             6074.49831364      15892.20099351        10657.01458533 
Variable Rate POOL PRINCIPAL BALANCE (Beginning)                                     
Total POOL PRINCIPAL BALANCE (Beginning)                  6581.00234835      17217.32506270        11545.61815499 
     
     
MORTGAGES:                                                                           
NUMBER OF PRINCIPAL PREPAYMENTS                                                      
PRINCIPAL BALANCE OF Fixed Rate MORTGAGES PREPAYING                                  
PRINCIPAL BALANCE OF Var. Rate MORTGAGES PREPAYING                                   
PRINCIPAL BALANCE OF MORTGAGES PREPAYING                                                  
     
AMOUNT OF Fixed Rate CURTAILMENTS RECEIVED                                           
AMOUNT OF Variable Rate CURTAILMENTS RECEIVED                                        
TOTAL AMOUNT OF CURTAILMENTS RECEIVED                                                     
     
AGGREGATE AMOUNT OF PRINCIPAL PORTION OF -                                           
MONTHLY PAYMENTS RECEIVED - Fixed Rate Pool                                          
MONTHLY PAYMENTS RECEIVED - Var. Rate Pool                                           
MONTHLY PAYMENTS RECEIVED - Total Pool                                                    
     
ENDING CLASS A-1 PRINCIPAL BALANCE                                                   
ENDING CLASS A-2 PRINCIPAL BALANCE                                                   
ENDING CLASS A-3 PRINCIPAL BALANCE                        1000.00000000              
ENDING CLASS A-4 PRINCIPAL BALANCE                                            1000.00000000                       
ENDING CLASS A-5 PRINCIPAL BALANCE                                                                  1000.00000000 
ENDING CLASS A-6 PRINCIPAL BALANCE                                                   
Fixed Rate POOL PRINCIPAL BALANCE (Ending)                5951.62245826      15570.73118811        10441.44290924 
Variable Rate POOL PRINCIPAL BALANCE (Ending)                                        
Total POOL PRINCIPAL BALANCE (Ending)                     6434.62664876      16834.37458378        11288.81868204 
</TABLE>
     


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