CWMBS INC
8-K, 1997-03-31
ASSET-BACKED SECURITIES
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                       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): May 25, 1996

                                   CWMBS, INC.

                                   (Depositor)

     (Issuer in respect of Mortgage Pass-Through Certificates, Series 1996-A)

               (Exact name of registrant as specified in charter)

    Delaware                    33-63714                 95-4449516
- --------------------------------------------------------------------------------
   (State or other            (Commission File No.      (I.R.S. Employer
    jurisdiction of                                      Identification No.)
    organization)



   155 N. Lake Avenue, Pasadena, CA                             911009-7137
- --------------------------------------------------------------------------------
(Address of principal executive offices)                         (Zip Code)


Registrant's Telephone Number, including area code:  (818)-304-4428

                                 Not Applicable
- --------------------------------------------------------------------------------
              (Former name, former address and former fiscal year,
                          if changed since last report)



<PAGE>


Item 5.  Other Events

                                   CWMBS, INC.
                       Mortgage Pass-Through Certificates
                                  Series 1996-A

On May 25,  1996,  The Bank of New York,  as Trustee  for CWMBS,  Inc.  Mortgage
Pass-Through  Certificates,  Series  1996-A,  made  a  monthly  distribution  to
Certificateholders  of  principal  and/or  interest  pursuant to the Pooling and
Servicing  Agreement,  dated  as of  January  1,  1996,  among  CWMBS,  Inc.  as
Depositor, Independent National Mortgage Corporation, Seller and Master Servicer
and The Bank of New York, as Trustee.

Item 7.  Financial Statements and Exhibits

                    (c) Exhibits

Exhibit No.         Description

     1              Report to  Holders  of CWMBS,  Inc.,  Mortgage  Pass-Through
                    Certificates Series 1996-A relating to the distribution date
                    of May 25, 1996 prepared by The Bank of New York, as Trustee
                    under  the  Pooling  and  Servicing  Agreement  dated  as of
                    Janaury 1, 1996.
<PAGE>
                                   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 by the
undersigned thereunto duly authorized.

Dated:  May 25, 1996


                                        CWMBS, INC.


                                    By: /s/ Jonathan Chayes
                                        -------------------
                                        Name:  Jonathan Chayes
                                        Assistant Treasurer
                                        The Bank of New York,
                                        as Trustee

<PAGE>
                                 EXHIBIT INDEX

Exhibit                                       Page

1.      Monthly Remittance Statement dated      5
        May 25, 1996


THE BANK OF NEW YORK
CORPORATE TRUST AND AGENCY SERVICES
101 BARCLAY STREET
NEW YORK, NEW YORK 10286

CWMBS, INC.                                 Delinquencies Revised 5/30/96
MORTGAGE PASS-THROUGH CERTIFICATES
SERIES 1996-A

STATEMENT TO CERTIFICATEHOLDERS PREPARED PURSUANT TO SECTION 4.06 OF THE
POOLING AND SERVICING AGREEMENTS DATED JANUARY 1, 1996
CUSIP #126691

                           Distribution Date 05/25/96

<TABLE>
<CAPTION>
4.06(i)Reduction of the Stated Amount of Certificates                     SINGLE            TOTAL
                                                                          CERTIFICATE       AMOUNT
<S>                  <C>                               <C>                     <C>            <C>        
             Class A-1 Certificates.                 PZ1                       $9.80610167    $733,682.72
             Class A-2 Certificates.                 QA5                       $8.03817967     $98,765.11
             Class A-3 Certificates.                 QB3                      $14.62175982    $296,295.34
             Class A-4 Certificates.                 QC1                       $0.00000000          $0.00
             Class A-5 Certificates.                 QD9                       $0.00000000          $0.00
             Class A-6 Certificates.                 QE7                       $0.00000000          $0.00
             Class A-7 Certificates.                 QF4                       $0.00000000          $0.00
             Class X Certificates.                   QHO                      N/A                   $0.00
             Class A-R Certificates.                 QG2                       $9.80610167          $0.98
             Class B-1 Certificates.                 QJ6                       $0.58344255      $5,031.03
             Class B-2 Certificates.                 QK3                       $0.58344255      $1,916.61
             Class B-3 Certificates.                 QL1                       $0.58344255      $1,197.81
             Class B-4 Certificates.                                           $0.58344255        $574.69
             Class B-5 Certificates.                                           $0.58344255        $287.64
             Class B-6 Certificates.                                           $0.58344255        $575.09

                                                      Total Amount                          1,138,327.02

Aggregate amount of any Principal Prepayments                                               1,046,492.91
</TABLE>
<TABLE>
<CAPTION>

4.06(ii) Amount of distribution representing interest.                    SINGLE                 TOTAL
                                                                          CERTIFICATE            AMOUNT
<S>                  <C>                                                          <C>              <C>        
             Class A-1 Certificates.                                              $5.47438069      $409,587.69
             Class A-2 Certificates.                                              $5.53909553       $68,058.87
             Class A-3 Certificates.                                              $5.29810338      $107,360.77
             Class A-4 Certificates.                                              $5.83333333      $136,791.67
             Class A-5 Certificates.                                              $0.00000000            $0.00
             Class A-6 Certificates.                                              $5.83333333       $54,010.83
             Class A-7 Certificates.                                              $5.83333333       $42,799.17
             Class X Certificates.                                                $1.15626853      $189,908.77
             Class A-R Certificates.                                              $5.47438069            $0.55
             Class B-1 Certificates.                                              $5.82337446       $50,214.96
             Class B-2 Certificates.                                              $5.82337446      $ 19,129.79
             Class B-3 Certificates.                                              $5.82337446       $11,955.39
             Class B-4 Certificates.                                              $5.82337446        $5,736.02
             Class B-5 Certificates.                                              $5.82337446        $2,870.92
             Class B-6 Certificates.                                              $5.82337446        $5,740.05

                                                      Total Amount                                1,104,165.44
</TABLE>

4.06(iii) Unpaid Interest Shortfall                             0.00

<TABLE>
<CAPTION>
4.06(iv)   Stated Amount of Certificates after this Distribution
                                                     ORIGINAL             SINGLE                TOTAL
                                                     BALANCE              CERTIFICATE           AMOUNT
<S>                  <C>                              <C>                       <C>              <C>           
             Class A-1 Certificates.                  $74,819,000.00            $928.65915967    $69,481,349.67
             Class A-2 Certificates.                  $12,287,000.00            $941.52105373    $11,568,469.19
             Class A-3 Certificates.                  $20,264,000.00            $893.62453422    $18,108,407.56
             Class A-4 Certificates.                  $23,450,000.00          $1,000.00000000    $23,450,000.00
             Class A-5 Certificates.                     $402,000.00          $1,000.00000000       $402,000.00
             Class A-6 Certificates.                   $9,259,000.00          $1,000.00000000     $9,259,000.00
             Class A-7 Certificates.                   $7,337,000.00          $1,000.00000000     $7,337,000.00
             Class X Certificates.                    $164,242,792.00           $949.77311157   $155,993,387.61
             Class A-R Certificates.                          $100.00           $928.65915967            $92.87
             Class B-1 Certificates.                    $8,623,000.00           $997.7093214      $8,603,247.48
             Class B-2 Certificates.                    $3,285,000.00           $997.70932194     $3,277,475.12
             Class B-3 Certificates.                    $2,053,000.00           $997.70932194     $2,048,297.24
             Class B-4 Certificates.                      $985,000.00           $997.70932194       $982,743.68
             Class B-5 Certificates.                      $493,000.00           $997.70932194       $491,870.70
             Class B-6 Certificates.                      $985,692.00           $997.70932194       $983,434.10

                                            Total Amount                                      155,993,387.60
</TABLE>

4.06(v) The Pool Stated Principal  Balance for the following  Distribution  Date
                                                                $155,993,387.61

4.06(vi)      Senior Percentage for this Distribution Date       89.5650275171%
              Subordinated Percentage for this Distribution Date 10.4349724829%

4.06(vii) Amount of the Master  Servicing Fees paid to or retained by the Master
     Servicer with respect to such Distribution Date                      0.00

4.06(viii) Pass-Through Rate and for each Class of Certificates
              Class A-1 Certificates.                         7.00000000%
              Class A-2 Certificates.                         7.00000000%
              Class A-3 Certificates.                         7.00000000%
              Class A-4 Certificates.                         7.00000000%
              Class A-5 Certificates.                         0.00000000%
              Class A-6 Certificates.                         7.00000000%
              Class A-7 Certificates.                         7.00000000%
              Class X Certificates.                           1.45031527%
              Class A-R Certificates.                         7.00000000%
              Class B-1 Certificates.                         7.00000000%
              Class B-2 Certificates.                         7.00000000%
              Class B-3 Certificates.                         7.00000000%
              Class B-4 Certificates.                         7.000000000%
              Class B-5 Certificates.                         7.00000000%
              Class B-6 Certificates.                         7.00000000%

4.06(ix) Amount of Advances  included in the  distribution on such  Distribution
         Date                                                         73,511.89

          Aggregate  amount of Advances  outstanding as of the close of business
          on such Distribution Date.                                  84,932.56 

4.06(x) The number and aggregate principal amounts of Mortgage Loans delinquent

        30 to 59 days              62               $7,811,267.10
        60 to 89 days              8                $1,152,970.16
        90 or more                 1                  $110,079.70

     The number and aggregate principal amounts of Mortgage Loans in foreclosure
     and delinquent

         30 to 59 days              62               $7,811,267.10
         60 to 89 days              8                $1,152,970.16
         90 or more                 63               $7,768,265.81

4.06(xi)

4.06(xii)     Loan number and Stated Principal Balance of any Mortgage loan that
              became a REO Property during the preceding calendar month.

4.06(xiii)    Total number and principal balance of any REO Properties as of the
              close  of  business  on  the  Determination  Date  preceding  such
              Distribution Date.

4.06(xiv)     Senior Prepayment Percentage                      100.0000000000%
<PAGE>




4.06(xv)      Aggregate amount of Realized Losses incurred during the preceding
              calendar month.

4.06(xvi)     Special Hazard Loss Coverage Amount                 1,984,338.72
              Required Fraud Loss Coverage                        4,927,284.00
              Current Bankruptcy Amount                             125,000.00

4.06(xvii) Guaranteed Distributions paid for such Distribution Date on Class A-4

4.06(xviii) Amount of withdrawal from Reserve Fund since prior Distribution Date

                       Class A-4                                    0.00

4.06(xix)     Amount remaining in Reserve Fund after Withdrawn Amounts for

                        Class A-4                               45,000.00



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