SAXON MORTGAGE SECURITIES CORP
8-K, 1996-11-07
ASSET-BACKED SECURITIES
Previous: IRATA INC, 8-K, 1996-11-07
Next: ENEX OIL & GAS INCOME PROGRAM V SERIES 5 L P, 10QSB/A, 1996-11-07




                       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 (Date of earliest event reported) October 25, 1996

              Saxon Mortgage Securities Corporation, Series 1995-2
               (Exact name of registrant as specified in charter)


         Virginia                  34-0-20552                   54-1785164
(State or other jurisdiction      (Commission                 (IRS Employer
    of incorporation)             File Number)              Identification No.)


            4880 Cox Road
            Glen Allen, Virginia
            Attn:  Vice President                                   23060
    (Address of principal executive offices)                      (Zip Code)

        Registrant's telephone number including area code (804) 967-5800


<PAGE>




              Saxon Mortgage Securities Corporation, Series 1995-2
                                    Form 8-K
                                      INDEX


                                                             Page Number

Item 5.           Other Events                                    3

Item 7.           Financial Statements and Exhibits               3

SIGNATURES                                                        4

INDEX OF EXHIBITS                                                 5



                                       2

<PAGE>




ITEM 5.  OTHER EVENTS

The Saxon Mortgage Securities Corporation, Series 1995-2 makes monthly
remittances to security holders. The latest remittance was made October 25,
1996. We have furnished a monthly remittance statement delivered to the trustee
with security holder payment instructions.

Monthly Remittance Statement.......................................Exhibit 1

ITEM 7.  FINANCIAL STATEMENTS AND EXHIBITS

         Exhibits

         1.  Monthly Remittance Statement dated as of October 25, 1996


                                       3



                                   Signatures

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

November 5, 1996                                SAXON MORTGAGE SECURITIES
                                            CORPORATION


                                            By:______________________________

                                            Name:    Lisa R. Cooke
                                            Title:   Vice President


                                       4


<PAGE>


                                INDEX OF EXHIBITS

                                                          Page of Sequentially
                                                             Numbered Pages

1.       Monthly Remittance Statement dated                      6-14
         as of  October 25, 1996



                                       5




SAXON MORTGAGE SECURITIES CORPORATION

Payments per Bond Denomination
SMSC Series 1995-2--Pool One

Payment Date:     25-Oct-96
Reporting Month:  September


<TABLE>
<CAPTION>
                                                              Interest      Interest    Principal
        Original       Original     Integral      Record      Accrual       Payment     Payment        Ending       Remaining
Class    Balance       Pct Pool    Denomination    Date       Factor        Factor      Factor         Balance      Principal Factor
<S>   <C>                  <C>       <C>          <C>          <C>          <C>         <C>        <C>              <C>       
1A-1  $47,711,000.00       63.60%    $1,000.00    30-Sep-96     5.36323909   5.36323909 7.35374211 $40,590,826.17   0.85076452
1A-2  $10,000,000.00       13.33%    $1,000.00    30-Sep-96     6.25000000   6.25000000 0.00000000 $10,000,000.00   1.00000000
1A-3   $9,608,500.00       12.81%    $1,000.00    30-Sep-96     6.24999948   6.24999948 0.00000000  $9,608,500.00   1.00000000
1B-1   $3,000,483.00        4.00%    $1,000.00    30-Sep-96     6.20384785   6.20384785 0.66545619  $2,976,330.10   0.99195033
1B-2   $1,312,711.00        1.75%    $1,000.00    30-Sep-96     6.20384837   6.20384837 0.66545492  $1,302,144.11   0.99195033
1B-3     $937,651.00        1.25%    $1,000.00    30-Sep-96     6.20384343   6.20384343 0.66545015    $930,103.23   0.99195034
1B-4   $1,237,699.00        1.65%    $1,000.00    30-Sep-96     6.20385086   6.20385086 0.66545259  $1,227,735.93   0.99195033
1B-5     $525,084.00        0.70%    $1,000.00    30-Sep-96     6.20384548   6.20384548 0.66545543    $520,857.24   0.99195032
1B-6     $675,719.47        0.90%    $1,000.00    30-Sep-96     6.20384669   6.20384669 0.66545367    $670,280.17   0.99195036
1I             $0.00        0.00%    $1,000.00    30-Sep-96            N/A          N/A        N/A          $0.00          N/A
1P         $3,138.94        0.00%    $1,000.00    30-Sep-96     0.00000000   0.00000000 0.31220731      $3,107.36   0.98993928
1R           $100.00        0.00%    $1,000.00    30-Sep-96   146.4000000  146.4000000  7.40000000         $85.07   0.85070000

      $75,012,086.41                                                                               $67,829,969.38
</TABLE>
<PAGE>

SAXON MORTGAGE SECURITIES CORPORATION

Credit Enhancement Summary
SMSC Series 1995-2--Pool One

Payment Date:         25-Oct-96
Reporting Month       September

Reserve Funds and Subordination
<TABLE>
<CAPTION>
                         Initial Coverage     Beginning Coverage    Adjustments Losses  Insured Balance Ending Coverage
Type           Purpose
<S>                      <C>    <C>           <C>    <C>            <C>         <C>     <C>             <C>    <C>          
Subordination            10.25% $7,689,347.47 11.19% $7,632,567.69  $0.00       $0.00   $67,829,969.35  11.24% $7,627,450.78
</TABLE>

Delinquency Statistics
                                       Current              % of
                    # of Loans      Balance          Current Balance
30+ Days                 5            $333,255             0.49%
60+ Days                 2            $256,468             0.38%
90+ Days                 7          $1,260,868             1.86%
Foreclosure              0                  $0             0.00%
REO                      0                  $0             0.00%

Totals                  14          $1,850,591             2.73%


Advances on Delinquencies                                       $15,581.94
Non-Recoverable Advances on Delinquencies                            $0.00
<PAGE>

SAXON MORTGAGE SECURITIES CORPORATION

Monthly Payment Report
Payment Statement
SMSC Series 1995-2--Pool One

Payment Date:   25-Oct-96
Reporting Month:September

<TABLE>
<CAPTION>
         Class  Beginning                  CurrentInterest          Scheduled      Unscheduled                        Ending
       Interest Principal      Interest    ShortFall/  Interest     Principal      Principal   Total         Realized Principal
Class    Rate   Balance        Accrual     (Recovery)  Distribution Distribution   Distribution Distribution Losses   Balance
<S>   <C>       <C>            <C>         <C>         <C>          <C>          <C>           <C>           <C>      <C>           
1A-1  7.500000% $40,941,680.56 $255,885.50 $0.00       $255,885.50  $40,593.16   $310,261.23   $606,739.89   $0.00    $40,590,826.17
1A-2  7.500000% $10,000,000.00  $62,500.00 $0.00        $62,500.00       $0.00         $0.00    $62,500.00   $0.00    $10,000,000.00
1A-3  7.500000%  $9,608,500.00  $60,053.12 $0.00        $60,053.12       $0.00         $0.00    $60,053.12   $0.00     $9,608,500.00
1B-1  7.500000%  $2,978,326.79  $18,614.54 $0.00        $18,614.54   $1,996.69         $0.00    $20,611.23   $0.00     $2,976,330.10
1B-2  7.500000%  $1,303,017.66   $8,143.86 $0.00         $8,143.86     $873.55         $0.00     $9,017.41   $0.00     $1,302,144.11
1B-3  7.500000%    $930,727.19   $5,817.04 $0.00         $5,817.04     $623.96         $0.00     $6,441.00   $0.00       $930,103.23
1B-4  7.500000%  $1,228,559.56   $7,678.50 $0.00         $7,678.50     $823.63         $0.00     $8,502.13   $0.00     $1,227,735.93
1B-5  7.500000%    $521,206.66   $3,257.54 $0.00         $3,257.54     $349.42         $0.00     $3,606.96   $0.00       $520,857.24
1B-6  7.500000%    $670,729.83   $4,192.06 $0.00         $4,192.06     $449.66         $0.00     $4,641.72   $0.00       $670,280.17
1I    1.433947% $67,864,292.61  $81,094.86 $0.00        $81,094.86       $0.00         $0.00    $81,094.86   $0.00    $67,508,687.58
1P    0.000000%      $3,108.34       $0.00 $0.00             $0.00       $0.98         $0.00         $0.98   $0.00         $3,107.36
1R    7.500000%         $85.81      $14.64 $0.00            $14.64       $0.09         $0.65        $15.38   $0.00            $85.07

                $68,185,942.40 $507,251.66 $0.00       $507,251.66  $45,711.14   $310,261.88    $863,224.68  $0.00    $67,829,969.38
</TABLE>
<TABLE>
<CAPTION>
                                                                 Aggregate       Aggregate
Class CUSIP         Priority    Principal Type     Interest Type Realized Losses Interest Shortfall
<S>   <C>           <C>         <C>                <C>            <C>            <C>  
1A-1  805570JK5     Senior      Pro Rata           Fixed          $0.00          $0.00
1A-2  805570JL3     Senior      Sequential         Fixed          $0.00          $0.00
1A-3  805570JM1     Senior      Sequential         Fixed          $0.00          $0.00
1B-1  805570JN9     Subordinate Pro Rata           Fixed          $0.00          $0.00
1B-2  805570JP4     Subordinate Pro Rata           Fixed          $0.00          $0.00
1B-3  805570JQ2     Subordinate Pro Rata           Fixed          $0.00          $0.00
1B-4    N/A         Subordinate Pro Rata           Fixed          $0.00          $0.00
1B-5    N/A         Subordinate Pro Rata           Fixed          $0.00          $0.00
1B-6    N/A         Subordinate Pro Rata           Fixed          $0.00          $0.00
1I    805570JV1     Senior      Interest Only      Interest Only  $0.00          $0.00
1P    805570JW9     Senior      Principal Only     Principal Only $0.00          $0.00
1R    805570JX7     Senior      Pro Rata           Fixed          $0.00          $0.00
</TABLE>
<PAGE>

SAXON MORTGAGE SECURITIES CORPORATION

Payments per Bond Denomination
SMSC Series 1995-2--Pool Two

Payment Date:     25-Oct-96
Reporting Month:  September

<TABLE>
<CAPTION>
                                                            Interest    Interest    Principal
          Original   Original  Integral      Record         Accrual     Payment     Payment            Ending      Remaining
Class     Balance    Pct Pool  Denominatio     Date         Factor       Factor      Factor             Balance    Principal Factor
<S>   <C>            <C>       <C>          <C>           <C>          <C>           <C>            <C>            <C>           
2A    $22,184,000.00 93.24%    $1,000.00    30-Sep-96     5.22510548   5.22510548    4.99391904     $18,435,412.71 0.83102293
2B-1     $654,275.00  2.75%    $1,000.00    30-Sep-96     6.02610523   6.02610523    3.20056551        $628,742.24 0.96097549
2B-2     $237,918.00  1.00%    $1,000.00    30-Sep-96     6.02610984   6.02610984    3.20055649        $228,633.38 0.96097555
2B-3     $237,918.00  1.00%    $1,000.00    30-Sep-96     6.02610984   6.02610984    3.20055649        $228,633.38 0.96097555
2B-4     $226,022.00  0.95%    $1,000.00    30-Sep-96     6.02609480   6.02609480    3.20057340        $217,201.59 0.96097544
2B-5     $118,959.00  0.50%    $1,000.00    30-Sep-96     6.02610984   6.02610984    3.20059853        $114,316.67 0.96097538
2B-6     $131,139.17  0.55%    $1,000.00    30-Sep-96     6.02611714   6.02611714    3.20056929        $126,021.55 0.96097566
2I             $0.00  0.00%    $1,000.00    30-Sep-96            N/A          N/A           N/A              $0.00        N/A
2P         $1,515.51  0.01%    $1,000.00    30-Sep-96     0.00000000   0.00000000    3.22003814          $1,454.40 0.95967694
2R           $100.00  0.00%    $1,000.00    30-Sep-96     5.20000000   5.20000000    5.00000000             $83.09 0.83090000

      $23,791,846.68                                                                                $19,980,499.01
</TABLE>
<PAGE>

SAXON MORTGAGE SECURITIES CORPORATION

Credit Enhancement Summary
SMSC Series 1995-2--Pool Two

Payment Date:         25-Oct-96
Reporting Month       September

Reserve Funds and Subordination

<TABLE>
<CAPTION>
                      Initial Coverage   Beginning Coverage   Adjustments Losses Insured Balance  Ending Coverage
Type          Purpose 
<S>                   <C>  <C>           <C>   <C>            <C>         <C>    <C>              <C>   <C>          
Subordination         6.75%$1,606,231.17 7.71% $1,548,689.66  $0.00       $0.00  $19,980,498.99   7.73% $1,543,548.81
</TABLE>

Delinquency Statistics
                                     Current              % of
                    # of Loans      Balance          Current Balance
30+ Days                 1            $564,097             2.82%
60+ Days                 0                  $0             0.00%
90+ Days                 0                  $0             0.00%
Foreclosure              0                  $0             0.00%
REO                      0                  $0             0.00%

Totals                   1            $564,097             2.82%


Advances on Delinquencies                                        $6,205.76
Non-Recoverable Advances on Delinquencies                            $0.00
<PAGE>

SAXON MORTGAGE SECURITIES CORPORATION


Monthly Payment Report
Payment Statement
SMSC Series 1995-2--Pool Two

Payment Date:   25-Oct-96
Reporting Month:September

<TABLE>
<CAPTION>
         Class  Beginning               Current Interest           Scheduled     Unscheduled                        Ending
       Interest Principal      Interest    ShortFall/ Interest     Principal     Principal    Total        Realized Principal
Class    Rate   Balance        Accrual     (Recovery) Distribution Distribution  Distribution Distribution Losses   Balance
<S>   <C>       <C>            <C>         <C>        <C>          <C>          <C>           <C>          <C>      <C>           
2A    7.500000% $18,546,197.81 $115,913.74 $0.00      $115,913.74  $61,563.85   $49,221.25    $226,698.84  $0.00    $18,435,412.71
2B-1  7.500000%    $630,836.29   $3,942.73 $0.00        $3,942.73   $2,094.05        $0.00      $6,036.78  $0.00       $628,742.24
2B-2  7.500000%    $229,394.85   $1,433.72 $0.00        $1,433.72     $761.47        $0.00      $2,195.19  $0.00       $228,633.38
2B-3  7.500000%    $229,394.85   $1,433.72 $0.00        $1,433.72     $761.47        $0.00      $2,195.19  $0.00       $228,633.38
2B-4  7.500000%    $217,924.99   $1,362.03 $0.00        $1,362.03     $723.40        $0.00      $2,085.43  $0.00       $217,201.59
2B-5  7.500000%    $114,697.41     $716.86 $0.00          $716.86     $380.74        $0.00      $1,097.60  $0.00       $114,316.67
2B-6  7.500000%    $126,441.27     $790.26 $0.00          $790.26     $419.72        $0.00      $1,209.98  $0.00       $126,021.55
2I    1.313185% $19,731,606.45  $21,592.71 $0.00       $21,592.71       $0.00        $0.00     $21,592.71  $0.00    $19,616,895.82
2P    0.000000%      $1,459.28       $0.00 $0.00            $0.00       $4.88        $0.00          $4.88  $0.00         $1,454.40
2R    7.500000%         $83.59       $0.52 $0.00            $0.52       $0.28        $0.22          $1.02  $0.00            $83.09

                $20,096,430.34 $147,186.29 $0.00      $147,186.29  $66,709.86   $49,221.47    $263,117.62  $0.00    $19,980,499.01
</TABLE>

<TABLE>
<CAPTION>
                                                         Aggregate       Aggregate
Class CUSIP     Priority    Principal Type Interest Type Realized Losses Interest Shortfall
<S>   <C>       <C>         <C>            <C>            <C>            <C>  
2A    805570JR0 Senior      Pro Rata       Fixed          $0.00          $0.00
2B-1  805570JS8 Subordinate Pro Rata       Fixed          $0.00          $0.00
2B-2  805570JT6 Subordinate Pro Rata       Fixed          $0.00          $0.00
2B-3  805570JU3 Subordinate Pro Rata       Fixed          $0.00          $0.00
2B-4    N/A     Subordinate Pro Rata       Fixed          $0.00          $0.00
2B-5    N/A     Subordinate Pro Rata       Fixed          $0.00          $0.00
2B-6    N/A     Subordinate Pro Rata       Fixed          $0.00          $0.00
2I    805570JY5 Senior      Interest Only  Interest Only  $0.00          $0.00
2P    805570JZ2 Senior      Principal Only Principal Only $0.00          $0.00
2R    805570KA5 Senior      Pro Rata       Fixed          $0.00          $0.00
</TABLE>
<PAGE>

SAXON MORTGAGE SECURITIES CORPORATION

 
Funds Account Activity Report
SMSC Series 1995-2

Payment Date:     25-Oct-96
Report Date:      September
 
Collateral Proceeds Account

<TABLE>
<S>                                           <C>                                            <C>
Beginning Balance                                     $0.00
 
Deposits                                                               Withdrawals

Interest Net of Servicing Fee, Master
Fee and Trustee Fee                             $654,437.95            Interest Distribution     $654,437.95
Principal                                       $471,904.35            Principal Distribution    $471,904.35
Servicing Fee*                                   $18,392.16            Servicing Fee*             $18,392.16
Master Servicing and Trustee Fee*                 $2,207.06            Master Servicing and        $2,207.06
Deposits From Reserve Fund                            $0.00
Other Deposits                                        $0.00

Total Deposit                                 $1,146,941.52            Total Withdrawals       $1,146,941.52

                                                                       Ending Balance                  $0.00
</TABLE>

Note: "Principal" and Interest Net of Servicing Fee" includes 
Advances on Delinquencies

* Actual cash deposited and withdrawn from the Trust Account may not 
include Servicing Fee, Master Servicing Fee and Trustee Fee.

<PAGE>


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