CHASE COMMERCIAL MORTGAGE SECURITIES CORP
8-K, 1998-04-07
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: April 7, 1998


                   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 3/18/98, Chase Commercial Mortgage Securities
 Corp. (the "Depositor") made the distributions to holders of its Mortgage
Pass-Through Certificates, Series 1996-1, Series 1996-2, Series 1997-1 and 
and Series 1997-2 contemplated by the Pooling and Servicing Agreement dated
as of July 1, 1996 and the Pooling and Servicing Agreement dated as of
December 1, 1996 (collectively, the "Pooling and Servicing Agreements")
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.


     Copies of the Certificateholders' Reports with respect to such
distributions delivered pursuant to Section 4.02 of the Pooling and Servicing
Agreements are being filed as exhibits to this Current Report on Form 8-K.


Item 7(c). Exhibits

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

            20.1               Monthly Reports with respect to the 
                               March 18, 1998 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:  April 6, 1998


                                            THE CHASE MANHATTAN BANK,
                                            as Paying Agent, on behalf of
                                            Chase Commercial Mortgage
                                            Securities Corp.
                                            

                                            By:   /s/ Norma Catone
                                                  -------------------
                                           Name:   Norma Catone
                                           Title:  Second Vice President
 

<PAGE>

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



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

             20.1                  Monthly Reports with respect to the
                                   distribution to Certificateholders on
                                   March 18, 1998
                                     
                                     

 <PAGE>


Chase Commercial Mortgage Securities Corp.
Commercial Mortgage Pass-through Certificates
  Series 1996-1
Statement to Certificateholders


                  DIST DATE.        18-MAR-1998                         PAGE:  1
                  RECORD DATE:      27-FEB-1998
<TABLE>
<CAPTION>
                                                                                        Collateral
                   Original       Beginning                                 Prepayment   Support                      Ending
Class Cusip #    Certificate     Certificate    Principal      Interest    Penalties     Deficit     Total         Certificate
                   Balance         Balance      Distribution  Distribution  (PP/YMCI)   Allocation/  Distribution    Balance
                                                                                         (Reimbur)      
<S>  <C>        <C>             <C>             <C>          <C>           <C>        <C>          <C>            <C>               
  A1  161505AA0  190,000,000.00  182,007,338.01   451,244.37  1,152,713.14    0.00           0.00    1,603,957.51    181,556,093.64
  A2  161505AB8  123,421,002.00  123,421,002.00         0.00    781,666.35    0.00           0.00      781,666.35    123,421,002.00
  P   161505AC6    1,222,154.00    1,192,772.14     1,642.72          0.00    0.00           0.00        1,642.72      1,191,129.42
  B   161505AE2   26,589,563.00   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   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   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   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   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   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   11,078,984.00         0.00     70,166.90    0.00           0.00       70,166.90     11,078,984.00
  R                        0.00            0.00         0.00          0.00    0.00           0.00            0.00              0.00

TOTAL             443,159,375.00 435,137,331.15   452,887.09  2,748,315.54    0.00           0.00    3,201,202.64    434,684,444.06

                     Original         Beginning                           Prepayment                                Ending
Class   Cusip #      Notional          Notional          Interest         Penalties           Total                Notional
                     Balance           Balance         Distribution       (PP/YMCI)        Distribution            Balance
<S>     <C>        <C>               <C>              <C>                <C>              <C>                  <C>           
  X     161505AD4   443,159,377.53    435,137,333.68        297,566.15           0.00       297,566.15          434,684,446.59


Factor Information Per $1000

Class    Cusip #           Principal          Interest          End Prin       Pass Thru Rate
                          Distribution      Distribution        Balance
<S>    <C>               <C>               <C>                <C>             <C>         
  A1        161505AA0          2.37497037        6.06691127      955.55838758     7.60000%
  A2        161505AB8          0.00000000        6.33333337     1000.00000000     7.60000%
  P         161505AC6          1.34411866        0.00000082      974.61483577     0.00000%
  B         161505AE2          0.00000000        6.33333353     1000.00000000     7.60000%
  C         161505AF9          0.00000000        6.33333321     1000.00000000     7.60000%
  D         161505AG7          0.00000000        6.33333335     1000.00000000     7.60000%
  E         161505AH5          0.00000000        6.33333345     1000.00000000     7.60000%
  F         161505AJ1          0.00000000        6.33333314     1000.00000000     7.60000%
  G         161505AK8          0.00000000        6.33333324     1000.00000000     7.60000%
  H         161505AL6          0.00000000        6.33333345     1000.00000000     7.60000%
  R                            0.00000000        0.00000000        0.00000000     0.00000%

Factor Information Per $1000                                            Pass Througn Rate

 Class   Cusip #           Interest      Ending Notional          Current Pass       Next Pass
                           Distribution        Balance            Through Rate      Through Rate
<S>    <C>                <C>           <C>                     <C>                <C>              
   X        161505AD4          0.67146531      980.87611056        0.82061%        0.82060%




DIST DATE:        18-MAR-1998                                                                                              PAGE:  2
RECORD DATE:      27-FEB-1998

Sec 4.02 (a) (iii)  P & I Advances                                                                                        176,149.62
Sec 4.02 (a) (iv)   Servicing Compensation                                                                                 51,634.65

Sec 4.02 (a) (v)    Aggregate Stated Prinicioal Balance                                     Beginning Balance   Ending Balance
                                                                            Mortgage Loans      432,105,843.14    431,656,337.88
                                                                          REO Loans Outstand      3,031,490.54      3,028,108.71

Sec 4.02 (a) (vi)   Aggregate Number of Mongage Loans                                                                             87
                    Aggregate Mortgage Principal Balance                                                              434,684,446.59
                    Weighted Average Remaining Term to Maturity                                                                93.70
                    Weighted Average Mortgage Rate                                                                          8.53412%


Sec 4.02(a) (vii)   Loans Delinquent                                            Period            Number      Aggregate Principal
                                                                                                                   Balance
                                                                               1 Month                       0              0.00
                                                                               2 Months                      0              0.00
                                                                           3 Months or more                  0              0.00
                                                                            In Foreclosure                   0              0.00

Sec 4.02(a) (viii)  Appraisal Value of REO Property                                                                     4,450,000.00
Sec 4.02 (a) (ix)   Available Distribution Amount                                                                       3,498,768.78
Sec 4.02 (a) (x)    Accrued Certificate Interest                                Class       Accrued Cert InterCert Deferred Interest
                                                                                  A1              1,152,713.14              0.00
                                                                                  A2                781,666.35              0.00
                                                                                  B                 168,400.57              0.00
                                                                                  C                 140,333.80              0.00
                                                                                  D                  98,233.66              0.00
                                                                                  E                  70,166.80              0.00
                                                                                  F                 154,367.18              0.00
                                                                                  G                 112,267.04              0.00
                                                                                  H                  70,166.90              0.00
                                                                                  X                 297,566.15              0.00

Sec 4.02 (a) (xiii) Scheduled Principal Distribution Amount                                                               452,887.09
Sec 4.02 (a) (xiii) Unscheduled Pnncipal Distrinution Amount                                                                    0.00

Sec 4.02 (a) (xvi)  Appraisal Reduction Amounts                              Loan Number    Appraisal ReductioAppraisal Reductions
                                                                                                 Effected          Amounts










Sec 4.02 (a) (xvii) Number of Loans Extended or Modified                                                                           0
Sec 4.02 (a) (xvii) Stated Principal Balance of Mortgage Loans Extended or Modified                                             0.00
Sec 4.02 (a) (xviii Class Unpaid Interest Shortfall                             Class         Current Unpaid  Cumulative Unpaid
                                                                                            Interest ShortfallInterest Shortfall
                                                                                  A1                      0.00              0.00
                                                                                  A2                      0.00              0.00
                                                                                  B                       0.00              0.00
                                                                                  C                       0.00              0.00
                                                                                  D                       0.00              0.00
                                                                                  E                       0.00              0.00
                                                                                  F                       0.00              0.00
                                                                                  G                       0.00              0.00
                                                                                  H                       0.00          2,167.80
                                                                                  X                       0.00              0.00

Sec 4.02 (a) (xix)  Distribution to Residual Certificates                                                                       0.00

</TABLE>

<PAGE>
     
RUN DATE:03/18/98   12:06:40    Chase Commercial Mortgage Securities Corp.
DIST. DATE: 19-MAR-1998        Commercial Mortgage Pass-Through Certificates
REC.  DATE: 27-FEB-1998                     Series 1996-2
Page  1
                                   Monthly Certificate Holders Report


<TABLE>
<CAPTION>

 CLAS CUSIP        BEG. BALANCE     PRIN. DIST.      INT. DIST.      PREP PENAL    COLL DEFICIT      TOTAL DIST    END BALANCE
<S>  <C>          <C>              <C>              <C>             <C>           <C>               <C>           <C>
 A-1  161505AN2   51,809,176.22      162,993.80      289,267.90            0.00            0.00      452,261.70   51,646,182.42
 A-2  161505AP7  128,080,472.00            0.00      736,462.71            0.00            0.00      736,462.71  128,080,472.00
 B    161505AQ5   17,027,021.00            0.00       97,905.37            0.00            0.00       97,905.37   17,027,021.00
 C    161505AR3   15,717,250.00            0.00       90,374.19            0.00            0.00       90,374.19   15,717,250.00
 D    161505AS1   13,097,708.00            0.00       75,311.82            0.00            0.00       75,311.82   13,097,708.00
 E    161505AT9    5,239,083.00            0.00       30,124.73            0.00            0.00       30,124.73    5,239,083.00
 F    161505AV4   13,097,708.00            0.00       75,311.82            0.00            0.00       75,311.82   13,097,708.00
 G    161505AW2    9,168,396.00            0.00       52,718.28            0.00            0.00       52,718.28    9,168,396.00
 H    161505AX0    6,548,854.00            0.00       37,655.91            0.00            0.00       37,655.91    6,548,854.00
 R    N/A                  0.00            0.00            0.00            0.00            0.00            0.00            0.00
 X    161505AU6  259,785,669.86            0.00      317,438.17            0.00            0.00      317,438.17  259,622,676.06


   TOTAL:        259,785,668.22      162,993.80    1,802,570.90            0.00            0.00    1,965,564.70  259,622,674.42
1
     RUN DATE:03/18/98   12:06:40           Chase Commercial Mortgage Securities Corp.                            Page  2
     DIST. DATE: 19-MAR-1998               Commercial Mortgage Pass-Through Certificates
     REC.  DATE: 27-FEB-1998
                                                           Series 1996-2

                                                Monthly Certificate Holders Report


<CAPTION>

 CLAS CUSIP         ACCR INT       PRIN FACTOR     INT FACTOR     E. BAL FACTOR   CURR RATE   NEXT RATE
<S>  <C>          <C>            <C>              <C>            <C>             <C>        <C>           
 A-1  161505A     289,267.90       3.01965233      5.35902892       956.80642501   6.70000     6.70000
 A-2  161505A     736,462.71       0.00000000      5.74999997     1,000.00000000   6.90000     6.90000
 B    161505A      97,905.37       0.00000000      5.74999996     1,000.00000000   6.90000     6.90000
 C    161505A      90,374.19       0.00000000      5.75000016     1,000.00000000   6.90000     6.90000
 D    161505A      75,311.82       0.00000000      5.74999992     1,000.00000000   6.90000     6.90000
 E    161505A      30,124.73       0.00000000      5.75000052     1,000.00000000   6.90000     6.90000
 F    161505A      75,311.82       0.00000000      5.74999992     1,000.00000000   6.90000     6.90000
 G    161505A      52,718.28       0.00000000      5.75000033     1,000.00000000   6.90000     6.90000
 H    161505A      37,655.91       0.00000000      5.74999992     1,000.00000000   6.90000     6.90000
 R    N/A               0.00       0.00000000      0.00000000         0.00000000   0.00000     0.00000
 X    161505A           0.00       0.00000000      1.21180807       991.09963398   1.46631     1.46633


   TOTAL:       1,485,132.73
1
     RUN DATE:03/18/98   12:06:41           Chase Commercial Mortgage Securities Corp.                            Page  3
     DIST. DATE: 19-MAR-1998               Commercial Mortgage Pass-Through Certificates
     REC.  DATE: 27-FEB-1998
                                                           Series 1996-2

                                                Monthly Certificate Holders Report




P & I Advances                                                     26,924.93

Servicing Compensation                                             21,375.00

Trustee Compensation                                                1,861.90

Beginning Balance(Mortgage Loans)                             259,785,669.86

Ending Balance(Mortgage Loans)                                259,622,676.06

Beginning Balance(REO Loans)                                            0.00

Ending Balance(REO Loans)                                               0.00

Aggregate Number of Mortgage Loans                                        96

Aggregate Mortgage Principal Balance                          259,622,676.06

Weighted Average Remaining Term to Maturity                            95.75

Weighted Average Mortgage Rate                                       8.43387%

# 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)                                             1

Balance of Loans Delinquent(3 month)                            3,315,749.79

# of Loans Delinquent(In Foreclosure)                                      0

Balance of Loans Delinquent(In Foreclosure)                             0.00

Appraisal Value of REO Property                                         0.00

Available Distribution Amount                                   1,965,564.70

Scheduled Principal Distribution Amount                           162,993.80

Unscheduled Principal Distribution Amount                               0.00


</TABLE>
<PAGE>
Chase Commercial Mortgage Securities Corp.                               Page  1
DIST. DATE    19-MAR-1998   Commercial MortgagePass-Through Certificates
REC.  DATE    27-FEB-1998
Series 1997-1

                                    Monthly Certificate Holders Report


<TABLE>
<CAPTION>

CLAS    CUSIP         BEG. BALANCE  PRIN. DIST.    INT. DIST.     PREP PENAL    COLL DEFICIT     TOTAL DIST     END BALANCE
<S>   <C>           <C>            <C>            <C>            <C>           <C>
A-1     161505AY8      96,436,558.08     537,891.18     584,244.81          0.00           0.00  1,122,135.99  95,898,666.90
A-2     161505AZ5     283,717,991.00           0.00   1,742,501.33          0.00           0.00  1,742,501.33 283,717,991.00
B       161505BB7      26,688,749.00           0.00     163,913.40          0.00           0.00    163,913.40  26,688,749.00
C       161505BC5      26,688,749.00           0.00     163,913.40          0.00           0.00    163,913.40  26,688,749.00
D       161505BD3      29,357,624.00           0.00     180,304.74          0.00           0.00    180,304.74  29,357,624.00
E       161505BE1      10,675,500.00           0.00      65,565.36          0.00           0.00     65,565.36  10,675,500.00
F       161505BF8      29,357,624.00           0.00     180,304.74          0.00           0.00    180,304.74  29,357,624.00
G       161505BG6       5,337,750.00           0.00      32,782.68          0.00           0.00     32,782.68   5,337,750.00
H       161505BH4       8,006,625.00           0.00      49,174.02          0.00           0.00     49,174.02   8,006,625.00
I       161505BJ0      13,344,374.00           0.00      81,956.70          0.00           0.00     81,956.70  13,344,374.00
R       N/A                     0.00           0.00           0.00          0.00           0.00          0.00           0.00
LR      N/A                     0.00           0.00           0.00          0.00           0.00          0.00           0.00
X       161505BA9     529,611,544.08           0.00     616,486.94          0.00           0.00    616,486.94 529,073,652.90

TOTAL:                529,611,544.08     537,891.18 530,149,435.26          0.00           0.001,060,298,870.529,073,652.9
</TABLE>

Chase Commercial Mortgage Securities Corp.                               Page  2
DIST. DATE    19-MAR-1998   Commercial MortgagePass-Through Certificates
REC.  DATE    27-FEB-1998
Series 1997-1

                                    Monthly Certificate Holders Report


<TABLE>
<CAPTION>

CLASS    CUSIP         ACCR INT      PRIN FACTOR    INT FACTOR        E. BAL FACTOR     CURR RATE     NEXT RATE
<S>     <C>          <C>            <C>            <C>               <C>               <C>          <C>        
A-1     161505AY8         584,244.81    5.346830815    5.807602485    953.267066600     7.27000000    7.27000000
A-2     161505AZ5       1,742,501.33    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
B       161505BB7         163,913.40    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
C       161505BC5         163,913.40    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
D       161505BD3         180,304.74    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
E       161505BE1          65,565.36    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
F       161505BF8         180,304.74    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
G       161505BG6          32,782.68    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
H       161505BH4          49,174.02    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
I       161505BJ0          81,956.70    0.000000000    6.1416666671   000.000000000     7.37000000    7.37000000
R       N/A                     0.00    0.000000000    0.000000000      0.000000000     0.00000000    0.00000000
LR      N/A                     0.00    0.000000000    0.000000000      0.000000000     0.00000000    0.00000000
X       161505BA9         616,486.94    0.000000000    1.154956595    991.192294088     1.39684328    1.39674145

TOTAL:                  3,861,148.13
</TABLE>

Chase Commercial Mortgage Securities Corp.                               Page  3
DIST. DATE    19-MAR-1998   Commercial MortgagePass-Through Certificates
REC.  DATE    27-FEB-1998
Series 1997-1

                                    Monthly Certificate Holders Report




P & I Advances                                                277,857.16
Servicing Compensation                                         40,601.12
Trustee Compensation                                            2,824.59
Special Servicing Compensation                                      0.00
Beginning Balance(Mortgage Loans)                         529,611,543.35
Ending Balance(Mortgage Loans)                            529,073,652.17
Beginning Balance(REOLoans)                                         0.00
Ending Balance(REO Loans)                                           0.00
Aggregate Number of Mortgage Loans                                   107
Aggregate Mortgage Principal Balance                      529,073,652.17
Weighted Average Remaining Term to Maturity                       112.48
Weighted Average Mortgage Rate                                 8.8528656
# of Loans Delinquent(1 month)                                      0.00
Balance of Loans Delinquent(1 month)                                0.00
# of Loans Delinquent(2 month)                                      0.00
Balance of Loans Delinquent(2 month)                                0.00
# of Loans Delinquent(3 month)                                      1.00
Balance of Loans Delinquent(3 month)                        1,729,917.82
# of Loans Delinquent(In Foreclosure)                               0.00
Balance of Loans Delinquent(In Foreclosure)                         0.00
Appraisal Value of REO Property                                     0.00
Available DistributionAmount                                4,399,039.31
Scheduled Principal Distribution Amount                       537,891.18
Unscheduled PrincipalDistribution Amount                            0.00





                      CHASECOMMERCIALMORTGAGE SECURITIES CORP.           Page: 8
DIST.DAT19-FEB-1998   COMMERCIAL MORTGAGE PASS-THROUGH CERTIFICATES
REC.DATE3-JAN-1998
                      Series 1997-1

                      MonthlyCertificateHolders Report

                      Advance Summary


Master Servicer Unreimbursed P&I Advances
                                 Outstanding(Cumulative)             277,857.16
Interest Accrued & Payable to Master Service in
                                 Respect of Advances Made             357,181.00

Accrued Interest Paid to Servicer in Respect of Advances Made               0.00


Servicing Fee Breakdown


Current Period Accrued Servicing Fees                                  43,177.19
Less Delinquent ServicingFees                                           2,576.07
Plus Additional ServicingFees                                               0.00
Less Reductions to Servicing Fees                                           0.00
Plus Servicing Fees for Delinquent Payments Received                        0.00
Plus Adjustments for Prior Servicing Calculation                            0.00
Total Servicing Fees Collected                                         40,601.12
<TABLE>
<CAPTION>

        ACCRUED       PREPAYMENT    BEGINNING                                      TOTAL                         ENDING
        CERTIFICATE   INTEREST      UNPAID          INTEREST                      INTEREST                       UNPAID
CLASS   INTERST       SHORTFALL     INTEREST        LOSS          EXPENSES         PAYABLE        DISTRIBUTABLE  INTEREST
<S>   <C>           <C>            <C>             <C>           <C>            <C>             <C>             <C>

A-1        584,244.81          0.00          (0.00)          0.00          0.00     584,244.81    584,244.81         0.00
A-2      1,742,501.33          0.00           0.00           0.00          0.00   1,742,501.33  1,742,501.33         0.00
B          163,913.40          0.00           0.00           0.00          0.00     163,913.40    163,913.40         0.00
C          163,913.40          0.00           0.00           0.00          0.00     163,913.40    163,913.40         0.00
D          180,304.74          0.00           0.00           0.00          0.00     180,304.74    180,304.74         0.00
E           65,565.36          0.00           0.00           0.00          0.00      65,565.36     65,565.36         0.00
F          180,304.74          0.00           0.00           0.00          0.00     180,304.74    180,304.74         0.00
G           32,782.68          0.00           0.00           0.00          0.00      32,782.68     32,782.68         0.00
H           49,174.02          0.00           0.00           0.00          0.00      49,174.02     49,174.02         0.00
I           81,956.70          0.00           0.00           0.00          0.00      81,956.70     81,956.70         0.00
R                0.00          0.00           0.00           0.00          0.00           0.00          0.00         0.00
LR               0.00          0.00           0.00           0.00          0.00           0.00          0.00         0.00
X          616,486.94          0.00           0.00           0.00          0.00     616,486.94    616,486.94         0.00

TOTAL    3,861,148.13          0.00          (0.00)          0.00          0.00   3,861,148.13  3,861,148.13         0.00
</TABLE>
<PAGE>
<TABLE>
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                        CHASE COMMERCIAL MORTGAGE SECURITIES CORP
                                                                            COMMERCIAL MORTGAGE PASS-THROUGH
                                                                                      SERIES 1997-2
                                                                                 DISTRIBUTION STATEMENT
====================================================================================================================================
                                                                                                                   

DISTRIBUTION DATE:             19-Mar-98                                                                                    PAGE # 1
RECORD DATE:                   28-Feb-1998




<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
                    Original        Beginning                              Prepayment Collateral Support    Total          Ending
Class  Cusip#    Certificate      Certificate   Principal      Interest    Penalties       Deficit       Distribution    Principal
                    Balance          Balance   Distribution   Distribution (PP/YMC)   Allocation/Reimb)                   Balance
- ------------------------------------------------------------------------------------------------------------------------------------
<S> <C>       <C>             <C>              <C>          <C>            <C>       <C>               <C>           <C>           
A-1  161505BK7 196,000,000.00  194,638,234.75    884,543.36  1,046,180.51    0.00           0.00        1,930,723.87  193,753,691.39
A-2  161505BL5 390,074,509.00  390,074,509.00          0.00  2,145,409.80    0.00           0.00        2,145,409.80  390,074,509.00
 B   161505BN1  32,559,695.00   32,559,695.00          0.00    179,078.32    0.00           0.00          179,078.32   32,559,695.00
 C   161505BP6  48,839,542.00   48,839,542.00          0.00    268,617.48    0.00           0.00          268,617.48   48,839,542.00
 D   161505BQ4  44,769,581.00   44,769,581.00          0.00    246,232.70    0.00           0.00          246,232.70   44,769,581.00
 E   161505BR2  12,209,885.00   12,209,885.00          0.00     67,154.37    0.00           0.00           67,154.37   12,209,885.00
 F   161505BS0  48,839,542.00   48,839,542.00          0.00    268,617.48    0.00           0.00          268,617.48   48,839,542.00
 G   161505BT8   6,104,943.00    6,104,943.00          0.00     33,577.19    0.00           0.00           33,577.19    6,104,943.00
 H   161505BU5  12,209,886.00   12,209,886.00          0.00     67,154.37    0.00           0.00           67,154.37   12,209,886.00
 I   161505BV3   8,139,924.00    8,139,924.00          0.00     44,769.58    0.00           0.00           44,769.58    8,139,924.00
 J   161505BW1  14,244,866.00   14,244,866.00          0.00     78,346.76    0.00           0.00           78,346.76   14,244,866.00
 R      N/A            N/A             N/A           N/A            70.26    0.00           0.00               70.26            0.00
 LR     N/A            N/A             N/A           N/A             0.00    0.00           0.00                0.00            0.00
- ------------------------------------------------------------------------------------------------------------------------------------
TOTALS         813,992,373.00  812,630,607.75    884,543.36  4,445,208.82    0.00           0.00        5,329,752.18  811,746,064.39
- ------------------------------------------------------------------------------------------------------------------------------------

- ------------------------------------------------------------------------------------------------------------------------------------
                     Original            Beginning                             Prepayment          Total              Ending
Class    Cusip#      Notional            Notional             Interest         Penalties        Distribution         Notional
                     Balance              Balance           Distribution        (PP/YMC)                             Balance
- ------------------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------
 A-1   Component    196,000,000.00      194,638,234.75       N/A                     N/A              N/A          193,753,691.39
 WAC   Component    813,992,373.00      812,630,607.75       N/A                     N/A              N/A          811,746,064.39
  X    161505BM3    813,992,373.00      812,630,607.75            893,161.24           0.00       893,161.24       811,746,064.39
- ------------------------------------------------------------------------------------------------------------------------------------

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

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

FACTOR INFORMATION PER $1,000
- ----------------------------------------------------------------------------------------------------------------
                                   Principal            Interest          End. Principal        Pass Through
   Class          Cusip#          Distribution        Distribution            Balance               Rate
- ----------------------------------------------------------------------------------------------------------------
    A-1                161505BK7                 4.5129763265        5.3376556724        988.5392417857       6.4500000%
    A-2                161505BL5                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     B                 161505BN1                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     C                 161505BP6                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     D                 161505BQ4                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     E                 161505BR2                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     F                 161505BS0                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     G                 161505BT8                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     H                 161505BU5                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     I                 161505BV3                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     J                 161505BW1                 0.0000000000        5.5000000000       1000.0000000000       6.6000000%
     R                    N/A                  N/A                 N/A                   N/A                N/A
     LR                   N/A                  N/A                 N/A                   N/A                N/A
- ----------------------------------------------------------------------------------------------------------------

FACTOR INFORMATION PER $1,000
- ----------------------------------------------------------------------------------------------------------------
                                    Interest         Ending Notional       Current Pass          Next Pass
   Class          Cusip#          Distribution           Balance           Through Rate         Through Rate
- ----------------------------------------------------------------------------------------------------------------

    A-1         Component                      N/A                 N/A                     0.1500000%         0.15000000%
    WAC         Component                      N/A                 N/A                     1.2829910%         1.28315857%
     X          161505BM3                        1.0972600         997.2403813             1.3189184%         1.31892273%
- ----------------------------------------------------------------------------------------------------------------

====================================================================================================================================


  IF THERE ARE ANY QUESTIONS OR PROBLEMS WITH THIS STATEMENT, PLEASE CONTACT THE ADMINISTRATOR LISTED BELOW:

                              ---------------------------------------------------------------------------------------------------
                                                   DIANE WALLACE
                                                   CHASE MANHATTAN BANK - STRUCTURED FINANCE SERVICES
                                                   450 WEST 33RD STREET
                                                   NEW YORK, NEW YORK 10001
                                                   (212) 946-8583
                              ---------------------------------------------------------------------------------------------------


                                                                             THE CHASE MANHATTAN BANK
                                                                                     SERVICER
                                                                                       (C) COPYRIGHT 1995, CHASE BANKING CORPORATION
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


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