CHASE COMMERCIAL MORTGAGE SECURITIES CORP
8-K, 1996-11-05
ASSET-BACKED SECURITIES
Previous: KEMPER DEFINED FUNDS SERIES 25, 24F-2NT, 1996-11-05
Next: ATCHISON CASTING CORP, 10-Q, 1996-11-05




<PAGE>


                       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:  November 5, 1996


                   CHASE COMMERCIAL MORTGAGE SECURITIES CORP.
        (formerly known as Chemical Commercial Mortgage Securities Corp.)
        -----------------------------------------------------------------
                           (Exact Name of Registrant)



      New York                     333-05271              13-3728743     
   --------------                -------------          ------------------
   (State or other               (Commission             (IRS Employer
   jurisdiction of                File Number)           Identification No.)
   incorporation)


                        380 Madison Avenue, New York          10017-2951
                   Address of principal executive offices)    (Zip Code)

                                                                             
  Registrant's telephone number, including area code: (212) 622-3510



<PAGE>



Item 5.  Other Events.

         On or about October 18, 1996, Chase Commercial Mortgage Securities
Corp. (the "Depositor") made the distribution to holders of its Mortgage
Pass-Through Certificates, Series 1996-1 contemplated by the Pooling and
Servicing Agreement dated as of July 1, 1996 (the "Pooling and Servicing
Agreement") among the Depositor, The Chase Manhattan Bank, as Servicer,
Lennar Partners Inc., as Special Servicer, LaSalle National Bank, as Trustee 
and ABN Amro Bank N.V., as Fiscal Agent.

         A copy of the Certificateholders Report with respect to such
distribution delivered pursuant to Section 4.02 of the Pooling and Servicing
Agreement is being filed as an Exhibit to this Current Report on Form 8-K.


Item 7(c). Exhibits

           Exhibits            Description
           --------            -----------

            20.1               Monthly Report with respect to the October 18,
                               1996 distribution




<PAGE>


                                   SIGNATURES


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


Dated:  November 5, 1996


                                            CHASE COMMERCIAL M0RTGAGE
                                            SECURITIES CORP.
                                            

                                            By:   /s/ Denis Kelly
                                                  -------------------
                                           Name:   Denis Kelly
                                           Title:  Assistant Treasurer
 

<PAGE>

                                 INDEX TO EXHIBITS
                                 -----------------



           Exhibit No.             Description
           -----------             ----------- 

             20.1                  Monthly Report with respect to the
                                   distribution to Certificateholders on
                                   October 18, 1996
                                     
             




<PAGE>

<TABLE>
<CAPTION>
                                                                               Exhibit 20.1

- -----------------------------------------------------------------------------------------------------------------------------------


     RUN DATE:10/18/96   11:28:48           Chase Commercial Mortgage Securities Corp.                      Page  1
     DIST. DATE: 10/18/96                  Commercial Mortgage Pass-Through Certificates
     REC. DATE:   9/30/96
                                  Series 1996-1

                       Monthly Certificate Holders Report


 CLASS CUSIP        BEG. BALANCE     PRIN. DIST.      INT. DIST.      PREP PENAL    COLL DEFICIT      TOTAL DIST    END BALANCE
<S>   <C>       <C>                 <C>              <C>              <C>           <C>           <C>            <C>              

 A1   161505AA0  189,208,467.28      399,989.26    1,198,320.29            0.00            0.00    1,598,309.55  188,808,478.02
 A2   161505AB8  123,421,002.00            0.00      781,666.35            0.00            0.00      781,666.35  123,421,002.00
 B    161505AE2   26,589,563.00            0.00      168,400.57            0.00            0.00      168,400.57   26,589,563.00
 C    161505AF9   22,157,969.00            0.00      140,333.80            0.00            0.00      140,333.80   22,157,969.00
 D    161505AG7   15,510,578.00            0.00       98,233.66            0.00            0.00       98,233.66   15,510,578.00
 E    161505AH5   11,078,984.00            0.00       70,166.90            0.00            0.00       70,166.90   11,078,984.00
 F    161505AJ1   24,373,766.00            0.00      154,367.18            0.00            0.00      154,367.18   24,373,766.00
 G    161505AK8   17,726,375.00            0.00      112,267.04            0.00            0.00      112,267.04   17,726,375.00
 H    161505AL6   11,078,984.00            0.00       69,891.71            0.00            0.00       69,891.71   11,078,984.00
 P    161505AC6    1,219,218.99        1,480.99            0.00            0.00            0.00        1,480.99    1,217,738.00
 R                         0.00            0.00            0.00            0.00            0.00            0.00            0.00
 X    161505AD4  442,364,909.80            0.00      302,548.11            0.00            0.00      302,548.11  441,963,439.55


   TOTAL:        442,364,907.27      401,470.25    3,096,195.61            0.00            0.00    3,497,665.86  441,963,437.02
</TABLE>

<PAGE>


<TABLE>
<CAPTION>

     RUN DATE:10/18/96   11:28:48           Chase Commercial Mortgage Securities Corp.                            Page  2
     DIST. DATE: 10/18/96                  Commercial Mortgage Pass-Through Certificates
     REC. DATE:   9/30/96
                                  Series 1996-1

                       Monthly Certificate Holders Report



 CLASS  CUSIP      ACCR INT       APPR RED AMT    UNPAID INT     PRIN FACTOR     INT FACTOR   E. BAL FACTOR  CURR RATE   NEXT RATE

<S>   <C>       <C>              <C>             <C>            <C>             <C>         <C>              <C>        <C>     

 A1   161505A   1,198,320.29         0.00            0.00        2.10520663     6.30694889     993.72883168    7.60000   7.60000
 A2   161505A     781,666.35         0.00            0.00        0.00000000     6.33333337   1,000.00000000    7.60000   7.60000
 P    161505A           0.00         0.00            0.00        1.21178673     0.00000000     996.38670740    0.00000   0.00000
 B    161505A     168,400.57         0.00            0.00        0.00000000     6.33333350   1,000.00000000    7.60000   7.60000
 C    161505A     140,333.80         0.00            0.00        0.00000000     6.33333317   1,000.00000000    7.60000   7.60000
 D    161505A      98,233.66         0.00            0.00        0.00000000     6.33333329   1,000.00000000    7.60000   7.60000
 E    161505A      70,166.90         0.00            0.00        0.00000000     6.33333345   1,000.00000000    7.60000   7.60000
 F    161505A     154,367.18         0.00            0.00        0.00000000     6.33333314   1,000.00000000    7.60000   7.60000
 G    161505A     112,267.04         0.00            0.00        0.00000000     6.33333324   1,000.00000000    7.60000   7.60000
 H    161505A      70,166.90         0.00            0.00        0.00000000     6.30849453   1,000.00000000    7.60000   7.60000
 R                      0.00         0.00           -9.12        0.00000000     0.00000000       0.00000000    0.00000   0.00000
 X    161505A     302,548.11         0.00            0.00        0.00000000     0.68270723     997.30133663    0.82071   0.82071


   TOTAL:       3,096,470.80         0.00           -9.12
</TABLE>


<PAGE>

<TABLE>
<CAPTION>

     RUN DATE:10/18/96   11:28:54           Chase Commercial Mortgage Securities Corp.                            Page  3
     DIST. DATE: 10/18/96                  Commercial Mortgage Pass-Through Certificates
     REC.  DATE:  9/30/96
                                  Series 1996-1

                       Monthly Certificate Holders Report


          <S>                                                        <C>


         P & I Advances                                                     25,486.45

         Servicing Compensation                                             49,534.33

         Beginning Balance(Mortgage Loans)                             442,364,909.80

         Ending Balance(Mortgage Loans)                                441,963,439.55

         Beginning Balance(REO Loans)                                            0.00

         Aggregate Number of Mortgage Loans                                        87

         Aggregate Mortgage Principal Balance                          441,963,439.55

         Weighted Average Remaining Term to Maturity                           110.71

         Weighted Average Mortgage Rate                                       8.53414%

         # of Loans Delinquent(1 month)                                             0

         Balance of Loans Delinquent(1 month)                                    0.00

         # of Loans Delinquent(2 month)                                             0

         Balance of Loans Delinquent(2 month)                                    0.00

         # of Loans Delinquent(3 month)                                             0

         Balance of Loans Delinquent(3 month)                                    0.00

         # of Loans Delinquent(In Foreclosure)                                      0

         Balance of Loans Delinquent(In Foreclosure)                             0.00

         Appraisal Value of REO Property                                         0.00

         Available Distribution Amount                                   3,497,665.86

         Scheduled Principal Distribution Amount                           401,470.25

         Unscheduled Principal Distribution Amount                               0.00

</TABLE>


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