MORSERV INC
8-K, 1996-12-10
ASSET-BACKED SECURITIES
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                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549


                                    FORM 8-K


                        Pursuant to Section 13 or 15 (d)
                     of the Securities Exchange Act of 1934


                       Date of Report: December 10, 1996


                                  MORSERV, INC.
              ----------------------------------------------------
             (Exact name of registrant as specified in its charter)




       Delaware               33-76724                    13-3784934    
     ---------------        ---------------            -------------------
     (State or other        (Commission                (IRS Employer 
     jurisdiction of        File Number)               Identification No.)
     incorporation) 


     343 Thornhall Street, Edison, New Jersey         08837
     ----------------------------------------        --------
     (Address of principal executives offices)        Zip Code

 
                                 (909) 205-6000
              ----------------------------------------------------
              (Registrant's telephone number, including area code)
<PAGE>


Item 5.  Other Events

     On or about November 25, 1996, MorServ, Inc. (the "Company") made the
distribution to holders of its Multi-Class Mortgage Pass-Through Certificates,
Series 1996-1 and Series 1996-2 contemplated by the respective Pooling and 
Servicing Agreement dated as of June 1, 1996 (the "Pooling and Servicing 
Agreement") among the Company, The Chase Manhattan Bank (formerly known as 
'Chemical Bank'), as Master Servicer, and Norwest Bank Minnesota, N.A., 
as Trustee and the Pooling and Servicing Agreement dated as of August 1, 1996
(the "Pooling and Servicing Agreement") among the Company, Chase Manhattan 
Mortgage Corporation as Master Servicer and Citibank, N.A. as Trustee.

     A copy of the Certificateholders Report with respect to such distribution
delivered pursuant to Section 6.02 of each of the Pooling and Servicing 
Agreement is being filed as an Exhibit to this Current Report on Form 8-K.


Item 7 (c).     Exhibit              Description
                -------              -----------

                 20.1                Monthly Certificateholders Statement
                                     with respect to the November 25, 1996
                                     distribution



<PAGE>



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



      Exhibit                  Description
      -------                  -----------

      20.1                     Monthly Certificateholders Statement with 
                               respect to the November 25, 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.



                                       MORSERV, INC.


                                       /s/ Robert J. Kent
                                      ----------------------------
                                      Name:  Robert J. Kent
                                      Title: Senior Vice President


Date:  December 10, 1996

  


              
            
                                                              Exhibit 20.1
                                                              ------------


                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                         MORSERV, INC., Series 1996-1

                        PO AND NON-PO BALANCE INFORMATION
                        ---------------------------------

<TABLE>
<CAPTION>

GROUP                         MORTGAGE GROUP ONE                 TOTAL
- -----                         ------------------                 -----
<S>                          <C>                             <C>   
Initial Certificate Balance     $ 182,690,823.31      $ 182,690,823.31

Beginning Certificate Balance   $ 174,803,533.85      $ 174,803,533.85

Scheduled Principal                 $ 817,448.95          $ 817,448.95

Curtailments                        $ 368,201.95          $ 368,201.95

Repurchase Principal                      $ 0.00                $ 0.00

Paid in Full Principal            $ 1,219,107.05        $ 1,219,107.05

Default Principal                         $ 0.00                $ 0.00

Total Principal                   $ 2,404,757.95        $ 2,404,757.95

Ending Certificate Principal    $ 172,398,775.90      $ 172,398,775.90


                             PO BALANCE INFORMATION
                             ----------------------

GROUP                           MORTGAGE GROUP ONE           TOTAL
- -----                           ------------------           -----
<S>                            <C>                    <C>

Initial Certificate Balance       $ 3,700,335.53     $ 3,700,335.53

Beginning Certificate Balance     $ 3,581,042.33     $ 3,581,042.33

Scheduled Principal                  $ 15,957.33        $ 15,957.33

Curtailments                            $ 730.18           $ 730.18

Repurchase Principal                      $ 0.00             $ 0.00

Paid in Full Principal               $ 29,677.01        $ 29,677.01

Default Principal                         $ 0.00             $ 0.00

Total Principal                      $ 46,364.52        $ 46,364.52
- --------------------------------------------------------------------------------------
Ending Certificate Principal      $ 3,534,677.81     $ 3,534,677.81


</TABLE>

<PAGE>


                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                          MORSERV, INC., Series 1996-1
<TABLE>
<CAPTION>
                           NON-PO BALANCE INFORMATION
                           --------------------------

GROUP                         MORTGAGE GROUP ONE              TOTAL
- -----                         ------------------              -----
<S>                           <C>                  <C>

Initial Certificate Balance     $ 178,990,487.78   $ 178,990,487.78

Beginning Certificate Balance   $ 171,222,491.52   $ 171,222,491.52

Scheduled Principal                 $ 801,491.62       $ 801,491.62

Curtailments                        $ 367,471.77       $ 367,471.77

Repurchase Principal                      $ 0.00             $ 0.00

Paid in Full Principal            $ 1,189,430.04     $ 1,189,430.04

Default Principal                         $ 0.00             $ 0.00

Total Principal                   $ 2,358,393.43     $ 2,358,393.43

Ending Certificate Principal    $ 168,864,098.09   $ 168,864,098.09

</TABLE>

<PAGE>

                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996

                          MORSERV, INC., Series 1996-1


                              INTEREST DISTRIBUTION
                              ---------------------


               CLASS   Interest Distribution

                   A          $ 962,169.69

              SUBORD           $ 36,628.19



                                 MORTGAGE TALLY
                                 --------------
<TABLE>
<CAPTION>


GROUP                MORTGAGE GROUP ONE      TOTAL
- -----                ------------------      -----
<S>                 <C>                    <C> 
Initial Loan Count                  604        604

Beginning Loan Count                589        589

Paid in Full Loans                    5          5

Defaulted Loans                       0          0

Repurchased Loans                     0          0

Ending Loan Count                   584        584


                           POOL PERCENTAGE INFORMATION
                           ---------------------------

               CLASS  Beginning Pool Pct   Ending Pool Pct.   Beg. Non-PO Pct.
               <S>   <C>                  <C>                 <C>  

                   A   96.407901143813%   96.374844776378%   96.332773936000%

              SUBORD    3.592098856187%    3.625155223622%    3.667226064000%


                          Weighted Average Coupon Rate
                          ---------------------------- 

               Group      Beginning WAC         Ending WAC

  MORTGAGE GROUP ONE    7.407097114926%    7.406082419054%


        Loss Summary for Due Period


GROUP             MORTGAGE GROUP ONE

Current Loss                  $ 0.00

Current Recovery              $ 0.00

Cumulative Losses             $ 0.00

</TABLE>

<PAGE>

                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                          MORSERV, INC., Series 1996-1


                          Weighted Average Service Fee
<TABLE>
<CAPTION>


               GROUP     Beginning Rate        Ending Rate
            <S>         <C>                    <C>

  MORTGAGE GROUP ONE           0.22970%           0.22964%



        Class A Principal Prepayment Percentage


               GROUP    Prepayment Pct.

  MORTGAGE GROUP ONE            100.00%


        Excess Interest


            Amount

         46,730.33


                             CREDIT REPORT SUMMARY
                             ---------------------

                       ORIGINAL            BEGINNING           ENDING
         CLASS         CREDIT SUPPORT      CREDIT SUPPORT      CREDIT SUPPORT
         -----         --------------      --------------      --------------
        <S>            <C>                 <C>                 <C>

          M                2.00%               2.05%               2.07%

          B-1              1.25%               1.28%               1.30%

          B-2              0.75%               0.77%               0.78%

          B-3              0.50%               0.51%               0.52%

          B-4              0.30%               0.31%               0.31%

          B-5              0.00%               0.00%               0.00%

</TABLE>

<PAGE>
                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                          MORSERV, INC., Series 1996-1


                     MONTHLY CLASS DISTRIBUTION DETAIL REPORT
                     ----------------------------------------
<TABLE>
<CAPTION>

  Class   Original Balance      Beginning Bal   Beg. Factor Prin. Disbursed  Int. Disbursed     Ending Balance Ending Factor
<S>     <C>                   <C>              <C>    <C>   <C>              <C>              <C>             <C>                 
    A-1    $ 37,144,000.00    $ 31,019,304.74  0.8351094319  $ 1,525,418.37    $ 180,945.94    $ 29,493,886.37  0.7940417394

    A-2    $ 10,143,000.00    $ 10,143,000.00  1.0000000000          $ 0.00     $ 59,167.50    $ 10,143,000.00  1.0000000000

    A-3    $ 26,191,000.00    $ 26,191,000.00  1.0000000000          $ 0.00    $ 152,780.83    $ 26,191,000.00  1.0000000000

    A-4    $ 39,104,000.00    $ 38,033,608.80  0.9726270663    $ 687,018.93    $ 221,862.72    $ 37,346,589.87  0.9550580470

    A-5    $ 34,655,000.00    $ 34,655,000.00  1.0000000000          $ 0.00    $ 202,154.17    $ 34,655,000.00  1.0000000000

    A-6    $ 25,359,000.00    $ 24,901,462.24  0.9819575788    $ 116,563.62    $ 145,258.53    $ 24,784,898.62  0.9773610403

    A-P     $ 3,700,335.53     $ 3,581,042.33  0.9677615181     $ 46,364.52          $ 0.00     $ 3,534,677.81  0.9552317030

  TOTAL   $ 176,296,335.53   $ 168,524,418.11                $ 2,375,365.44    $ 962,169.69   $ 166,149,052.67

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

      M     $ 2,740,000.00     $ 2,690,563.77  0.9819575803     $ 12,594.50     $ 15,694.96     $ 2,677,969.27  0.9773610474

    B-1     $ 1,370,000.00     $ 1,345,281.89  0.9819575839      $ 6,297.26      $ 7,847.48     $ 1,338,984.63  0.9773610438

    B-2       $ 914,000.00       $ 897,509.22  0.9819575711      $ 4,201.24      $ 5,235.47       $ 893,307.98  0.9773610284

    B-3       $ 457,000.00       $ 448,754.62  0.9819575930      $ 2,100.62      $ 2,617.74       $ 446,654.00  0.9773610503

    B-4       $ 365,000.00       $ 358,414.51  0.9819575616      $ 1,677.74      $ 2,090.75       $ 356,736.77  0.9773610137

    B-5       $ 548,487.78       $ 538,591.73  0.9819575743      $ 2,521.15      $ 3,141.79       $ 536,070.58  0.9773610271

      R             $ 0.00             $ 0.00  0.0000000000          $ 0.00          $ 0.00             $ 0.00  0.0000000000

  TOTAL     $ 6,394,487.78     $ 6,279,115.74                   $ 29,392.51     $ 36,628.19     $ 6,249,723.23

</TABLE>

<PAGE>


                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                          MORSERV, INC., Series 1996-1
<TABLE>
<CAPTION>
                  MONTHLY PRINCIPAL DISTRIBUTION DETAIL REPORT
                  --------------------------------------------


  Class        Initial Bal      Beginning Bal  Scheduled Prin. Adj/Shtf  Prin. Disbursed Prin. Dist. Fa     Ending Balance
<S>         <C>              <C>              <C>              <C>      <C>              <C>               <C>                      

    A-1    $ 37,144,000.00    $ 31,019,304.74   $ 1,525,418.37   $ 0.00   $ 1,525,418.37   $ 41.0676925    $ 29,493,886.37

    A-2    $ 10,143,000.00    $ 10,143,000.00           $ 0.00   $ 0.00           $ 0.00    $ 0.0000000    $ 10,143,000.00

    A-3    $ 26,191,000.00    $ 26,191,000.00           $ 0.00   $ 0.00           $ 0.00    $ 0.0000000    $ 26,191,000.00

    A-4    $ 39,104,000.00    $ 38,033,608.80     $ 687,018.93   $ 0.00     $ 687,018.93   $ 17.5690193    $ 37,346,589.87

    A-5    $ 34,655,000.00    $ 34,655,000.00           $ 0.00   $ 0.00           $ 0.00    $ 0.0000000    $ 34,655,000.00

    A-6    $ 25,359,000.00    $ 24,901,462.24     $ 116,563.62   $ 0.00     $ 116,563.62    $ 4.5965385    $ 24,784,898.62

    A-P     $ 3,700,335.53     $ 3,581,042.33      $ 46,364.52   $ 0.00      $ 46,364.52   $ 12.5298151     $ 3,534,677.81

  TOTAL   $ 176,296,335.53   $ 168,524,418.11   $ 2,375,365.44   $ 0.00   $ 2,375,365.44                  $ 166,149,052.67

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

      M     $ 2,740,000.00     $ 2,690,563.77      $ 12,594.50   $ 0.00      $ 12,594.50    $ 4.5965328     $ 2,677,969.27

    B-1     $ 1,370,000.00     $ 1,345,281.89       $ 6,297.26   $ 0.00       $ 6,297.26    $ 4.5965401     $ 1,338,984.63

    B-2       $ 914,000.00       $ 897,509.22       $ 4,201.24   $ 0.00       $ 4,201.24    $ 4.5965427       $ 893,307.98

    B-3       $ 457,000.00       $ 448,754.62       $ 2,100.62   $ 0.00       $ 2,100.62    $ 4.5965427       $ 446,654.00

    B-4       $ 365,000.00       $ 358,414.51       $ 1,677.74   $ 0.00       $ 1,677.74    $ 4.5965479       $ 356,736.77

    B-5       $ 548,487.78       $ 538,591.73       $ 2,521.15   $ 0.00       $ 2,521.15    $ 4.5965473       $ 536,070.58

      R             $ 0.00             $ 0.00           $ 0.00   $ 0.00           $ 0.00    $ 0.0000000             $ 0.00

  TOTAL     $ 6,394,487.78     $ 6,279,115.74      $ 29,392.51   $ 0.00      $ 29,392.51                    $ 6,249,723.23

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

</TABLE>

<PAGE>

                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                          MORSERV, INC., Series 1996-1


                   MONTHLY INTEREST DISTRIBUTION DETAIL REPORT
                   -------------------------------------------
<TABLE>
<CAPTION>


  Class   PTR   Gross Int.Dist. Prep.Short Z Accret Int.Adj. Total Int.Dist Int. Dist. Fac
<S>     <C>    <C>              <C>        <C>     <C>      <C>             <C>                                              

    A-1  7.000%    $ 180,945.94     $ 0.00   $ 0.00   $ 0.00   $ 180,945.94    $ 4.8714716

    A-2  7.000%     $ 59,167.50     $ 0.00   $ 0.00   $ 0.00    $ 59,167.50    $ 5.8333333

    A-3  7.000%    $ 152,780.83     $ 0.00   $ 0.00   $ 0.00   $ 152,780.83    $ 5.8333332

    A-4  7.000%    $ 221,862.72     $ 0.00   $ 0.00   $ 0.00   $ 221,862.72    $ 5.6736579

    A-5  7.000%    $ 202,154.17     $ 0.00   $ 0.00   $ 0.00   $ 202,154.17    $ 5.8333334

    A-6  7.000%    $ 145,258.53     $ 0.00   $ 0.00   $ 0.00   $ 145,258.53    $ 5.7280859

    A-P  0.000%          $ 0.00     $ 0.00   $ 0.00   $ 0.00         $ 0.00    $ 0.0000000

  TOTAL            $ 962,169.69     $ 0.00   $ 0.00   $ 0.00   $ 962,169.69

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

      M  7.000%     $ 15,694.96     $ 0.00   $ 0.00   $ 0.00    $ 15,694.96    $ 5.7280876

    B-1  7.000%      $ 7,847.48     $ 0.00   $ 0.00   $ 0.00     $ 7,847.48    $ 5.7280876

    B-2  7.000%      $ 5,235.47     $ 0.00   $ 0.00   $ 0.00     $ 5,235.47    $ 5.7280853

    B-3  7.000%      $ 2,617.74     $ 0.00   $ 0.00   $ 0.00     $ 2,617.74    $ 5.7280963

    B-4  7.000%      $ 2,090.75     $ 0.00   $ 0.00   $ 0.00     $ 2,090.75    $ 5.7280822

    B-5  7.000%      $ 3,141.79     $ 0.00   $ 0.00   $ 0.00     $ 3,141.79    $ 5.7280948

      R  0.000%          $ 0.00     $ 0.00   $ 0.00   $ 0.00         $ 0.00    $ 0.0000000

  TOTAL             $ 36,628.19     $ 0.00   $ 0.00   $ 0.00    $ 36,628.19

- ------------------------------------------------------------------------------------------
</TABLE>
<PAGE>

                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------


Due Period :  5 Beginning Date     : 10/01/1996  End Date         :  10/31/1996

                Determination Date : 11/14/1996  Remittance Date  :  11/25/1996


                          MORSERV, INC., Series 1996-1


                             MASTER SERVICER SUMMARY
                             -----------------------
<TABLE>
<CAPTION>

               GROUP Servicer Advanc Deliq.for Perd Adv. Recovered   Serv. Fees Excess Interest
             <S>    <C>             <C>            <C>              <C>                <C>

  MORTGAGE GROUP ONE          $ 0.00         $ 0.00         $ 0.00  $ 32,990.69          $ 0.00

               TOTAL          $ 0.00         $ 0.00         $ 0.00  $ 32,990.69          $ 0.00



        Additional Servicing Compensation                                                    $ 0.00


                              Delinquency Information
                              -----------------------
  

    PERIOD           Units             Amount         Percentage
   <S>              <C>               <C>            <C>   

   30 DAYS               2       $ 600,069.10            0.3433%

   60 DAYS               0             $ 0.00            0.0000%

  90+ DAYS               0             $ 0.00            0.0000%

     TOTAL               2       $ 600,069.10            0.3433%



 FORECLOSR               0             $ 0.00            0.0000%

     TOTAL               0             $ 0.00            0.0000%



       REO               0             $ 0.00            0.0000%

     TOTAL               0             $ 0.00            0.0000%
</TABLE>

<PAGE>

Creation Date :  Fri Nov 22, 1996  11:15 AM  MORSERV,INC., SERIES 1996-2

                                   MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996
<TABLE>
<CAPTION>
                        PO AND NON-PO BALANCE INFORMATION
                        --------------------------------- 

GROUP                         MORTGAGE GROUP ONE    MORTGAGE GROUP TWO     TOTAL
- -----                         ------------------    ------------------     -----
<S>                           <C>                 <C>                <C>              
Initial Certificate Balance     $ 167,767,803.07    $ 39,282,178.12   $ 207,049,981.19

Beginning Certificate Balance   $ 165,772,703.84    $ 38,181,360.31   $ 203,954,064.15

Scheduled Principal                 $ 150,185.50       $ 178,760.86       $ 328,946.36

Curtailments                          $ 9,522.60         $ 4,978.56        $ 14,501.16

Repurchase Principal                      $ 0.00             $ 0.00             $ 0.00

Paid in Full Principal              $ 867,578.82       $ 482,435.06     $ 1,350,013.88

Default Principal                         $ 0.00             $ 0.00             $ 0.00

Total Principal                   $ 1,027,286.92       $ 666,174.48     $ 1,693,461.40

Ending Certificate Principal    $ 164,745,416.92    $ 37,515,185.83   $ 202,260,602.75


                             PO BALANCE INFORMATION
                             ----------------------
 
GROUP                         MORTGAGE GROUP ONE     MORTGAGE GROUP TWO      TOTAL
- -----                         ------------------     ------------------      -----
<S>                            <C>                   <C>                 <C>    
Initial Certificate Balance         $ 490,762.82       $ 501,860.84       $ 992,623.66

Beginning Certificate Balance       $ 429,207.91       $ 478,127.55       $ 907,335.46

Scheduled Principal                     $ 430.03         $ 2,165.88         $ 2,595.91

Curtailments                             $ 27.84           $ 105.34           $ 133.18

Repurchase Principal                      $ 0.00             $ 0.00             $ 0.00

Paid in Full Principal                    $ 0.00             $ 0.00             $ 0.00

Default Principal                         $ 0.00             $ 0.00             $ 0.00

Total Principal                         $ 457.87         $ 2,271.22         $ 2,729.09

Ending Certificate Principal        $ 428,750.04       $ 475,856.33       $ 904,606.37


                           NON-PO BALANCE INFORMATION
                           --------------------------

GROUP                         MORTGAGE GROUP ONE     MORTGAGE GROUP TWO      TOTAL
- -----                         ------------------     ------------------      -----
<S>                          <C>                    <C>                      <C>
Initial Certificate Balance     $ 167,277,040.25    $ 38,780,317.28          $ 206,057,357.53

Beginning Certificate Balance   $ 165,343,495.93    $ 37,703,232.76          $ 203,046,728.69

Scheduled Principal                 $ 149,755.47       $ 176,594.98              $ 326,350.45

Curtailments                          $ 9,494.76         $ 4,873.22               $ 14,367.98

Repurchase Principal                      $ 0.00             $ 0.00                    $ 0.00

Paid in Full Principal              $ 867,578.82       $ 482,435.06            $ 1,350,013.88

Default Principal                         $ 0.00             $ 0.00                    $ 0.00

Total Principal                   $ 1,026,829.05       $ 663,903.26            $ 1,690,732.31

Ending Certificate Principal    $ 164,316,666.90    $ 37,039,329.52          $ 201,355,996.42
</TABLE>


<PAGE>

                                  MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996


                              INTEREST DISTRIBUTION
                              ---------------------  
<TABLE>
<CAPTION>

               CLASS     Interest Distribution
              <S>        <C>    

                   A        $ 1,155,040.31

              SUBORD           $ 71,700.35


                  IA          $ 940,772.62


                 IIA          $ 214,267.69


                                 MORTGAGE TALLY
                                 --------------

GROUP                MORTGAGE GROUP ONE     MORTGAGE GROUP TWO      TOTAL
- -----                ------------------     ------------------      -----
<S>                  <C>                    <C>                    <C>    
Initial Loan Count           541                129                  670

Beginning Loan Count         536                127                  663

Paid in Full Loans             3                  2                    5

Defaulted Loans                0                  0                    0

Repurchased Loans              0                  0                    0

Ending Loan Count            533                125                  658


                           POOL PERCENTAGE INFORMATION
                           ---------------------------

               CLASS  Beginning Pool Pct   Ending Pool Pct.   Beg. Non-PO Pct.
              <S>    <C>                   <C>                <C>
                  A   94.181218016194%   94.141994476974%   94.155216182715%

              SUBORD    5.818782797715%    5.858006343749%    5.373910338918%


                  IA   94.191198860282%   94.160271460133%   94.176120048849%


                 IIA   94.137884004584%   94.061732333954%   94.063544512887%


                          Weighted Average Coupon Rate
                          ----------------------------                            
         
               Group      Beginning WAC         Ending WAC
                <S>       <C>              <C>

  MORTGAGE GROUP ONE    8.209263578843%    8.210869140552%

  MORTGAGE GROUP TWO    7.878477077759%    7.859935791841%
</TABLE>
<PAGE>

                                  MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996


                           Loss Summary for Due Period
                           ---------------------------
<TABLE>
<CAPTION>

GROUP             MORTGAGE GROUP ONE      MORTGAGE GROUP TWO
<S>               <C>                     <C>   

Current Loss                  $ 0.00             $ 0.00

Current Recovery              $ 0.00             $ 0.00

Cumulative Losses             $ 0.00             $ 0.00


                          Weighted Average Service Fee
                          ----------------------------


               GROUP     Beginning Rate        Ending Rate
          <S>              <C>                 <C>   

  MORTGAGE GROUP ONE              0.24%              0.24%

  MORTGAGE GROUP TWO              0.23%              0.23%



                     Class A Principal Prepayment Percentage


               GROUP    Prepayment Pct.

  MORTGAGE GROUP ONE            100.00%

  MORTGAGE GROUP TWO            100.00%


                             Current Excess Interest


               Group    Excess Interest

  MORTGAGE GROUP ONE         101,377.78

  MORTGAGE GROUP TWO          15,518.49


                             CREDIT REPORT SUMMARY
                             ---------------------

                       ORIGINAL            BEGINNING           ENDING
         CLASS         CREDIT SUPPORT      CREDIT SUPPORT      CREDIT SUPPORT
         -----         --------------      --------------      --------------
         <S>           <C>                 <C>                 <C> 
          M                3.50%               3.54%               3.57%

          B-1              2.50%               2.53%               2.55%

          B-2              1.75%               1.77%               1.78%

          B-3              0.90%               0.91%               0.92%

          B-4              0.45%               0.46%               0.46%

          B-5              0.00%               0.00%               0.00%
</TABLE>
<PAGE>

                                  MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996
<TABLE>
<CAPTION>


                                MONTHLY CLASS DISTRIBUTION DETAIL REPORT
                                ----------------------------------------      

  Class   Original Balance      Beginning Bal   Beg. Factor Prin. Disbursed  Int. Disbursed     Ending Balance Ending Factor
<S>      <C>                   <C>             <C>          <C>              <C>          

      M     $ 4,658,626.00     $ 4,643,860.83  0.9968305741      $ 7,515.02     $ 28,056.66     $ 4,636,345.81  0.9952174332

    B-1     $ 2,070,499.00     $ 2,063,936.71  0.9968305756      $ 3,340.01     $ 12,469.62     $ 2,060,596.70  0.9952174331

    B-2     $ 1,552,875.00     $ 1,547,953.28  0.9968305755      $ 2,505.01      $ 9,352.22     $ 1,545,448.27  0.9952174322

    B-3     $ 1,759,925.00     $ 1,754,347.05  0.9968305752      $ 2,839.01     $ 10,599.18     $ 1,751,508.04  0.9952174326

    B-4       $ 931,725.00       $ 928,771.97  0.9968284379      $ 1,503.00      $ 5,611.33       $ 927,268.97  0.9952153045

    B-5       $ 931,727.19       $ 928,774.16  0.9968327249      $ 1,503.01      $ 5,611.34       $ 927,271.15  0.9952195776

  TOTAL    $ 11,905,377.19    $ 11,867,644.00                   $ 19,205.06     $ 71,700.35    $ 11,848,438.94

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

   IA-1   $ 114,282,033.00   $ 112,761,044.57  0.9866909225    $ 808,661.81    $ 590,820.89   $ 111,952,382.76  0.9796149038

   IA-2             $ 0.00             $ 0.00  0.0000000000          $ 0.00    $ 254,886.94             $ 0.00  0.0000000000

   IA-3    $ 27,585,318.00    $ 27,218,182.87  0.9866909227    $ 195,194.23          $ 0.00    $ 27,022,988.64  0.9796149038

   IA-4    $ 15,763,039.00    $ 15,734,861.78  0.9982124500     $ 14,251.43     $ 95,064.79    $ 15,720,610.35  0.9973083458

   IA-P       $ 490,762.00       $ 429,207.91  0.8745744577        $ 457.87          $ 0.00       $ 428,750.04  0.8736414800

  TOTAL   $ 158,121,152.00   $ 156,143,297.13                $ 1,018,565.34    $ 940,772.62   $ 155,124,731.79

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

  IIA-1    $ 36,521,592.00    $ 35,464,997.13  0.9710693096    $ 653,419.78    $ 214,267.69    $ 34,811,577.35  0.9531779817

  IIA-P       $ 501,860.00       $ 478,127.55  0.9527110150      $ 2,271.22          $ 0.00       $ 475,856.33  0.9481854103

  TOTAL    $ 37,023,452.00    $ 35,943,124.68                  $ 655,691.00    $ 214,267.69    $ 35,287,433.68

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

      R             $ 0.00             $ 0.00  0.0000000000          $ 0.00          $ 0.00             $ 0.00  0.0000000000

  TOTAL             $ 0.00             $ 0.00                        $ 0.00          $ 0.00             $ 0.00

- ----------------------------------------------------------------------------------------------------------------------------
</TABLE>

<PAGE>

                                  MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996
<TABLE>
<CAPTION>

                  MONTHLY PRINCIPAL DISTRIBUTION DETAIL REPORT
                  --------------------------------------------  

  Class        Initial Bal      Beginning Bal  Scheduled Prin. Adj/Shtf  Prin. Disbursed Prin. Dist. Fa     Ending Balance
 <S>        <C>                <C>            <C>               <C>      <C>             <C>

      M     $ 4,658,626.00     $ 4,643,860.83       $ 7,515.02   $ 0.00       $ 7,515.02    $ 1.6131409     $ 4,636,345.81

    B-1     $ 2,070,499.00     $ 2,063,936.71       $ 3,340.01   $ 0.00       $ 3,340.01    $ 1.6131425     $ 2,060,596.70

    B-2     $ 1,552,875.00     $ 1,547,953.28       $ 2,505.01   $ 0.00       $ 2,505.01    $ 1.6131434     $ 1,545,448.27

    B-3     $ 1,759,925.00     $ 1,754,347.05       $ 2,839.01   $ 0.00       $ 2,839.01    $ 1.6131426     $ 1,751,508.04

    B-4       $ 931,725.00       $ 928,771.97       $ 1,503.00   $ 0.00       $ 1,503.00    $ 1.6131335       $ 927,268.97

    B-5       $ 931,727.19       $ 928,774.16       $ 1,503.01   $ 0.00       $ 1,503.01    $ 1.6131473       $ 927,271.15

  TOTAL    $ 11,905,377.19    $ 11,867,644.00      $ 19,205.06   $ 0.00      $ 19,205.06                   $ 11,848,438.94

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

   IA-1   $ 114,282,033.00   $ 112,761,044.57     $ 808,661.81   $ 0.00     $ 808,661.81    $ 7.0760188   $ 111,952,382.76

   IA-2             $ 0.00             $ 0.00           $ 0.00   $ 0.00           $ 0.00    $ 0.0000000             $ 0.00

   IA-3    $ 27,585,318.00    $ 27,218,182.87     $ 195,194.23   $ 0.00     $ 195,194.23    $ 7.0760188    $ 27,022,988.64

   IA-4    $ 15,763,039.00    $ 15,734,861.78      $ 14,251.43   $ 0.00      $ 14,251.43    $ 0.9041042    $ 15,720,610.35

   IA-P       $ 490,762.00       $ 429,207.91         $ 457.87   $ 0.00         $ 457.87    $ 0.9329777       $ 428,750.04

  TOTAL   $ 158,121,152.00   $ 156,143,297.13   $ 1,018,565.34   $ 0.00   $ 1,018,565.34                  $ 155,124,731.79

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

  IIA-1    $ 36,521,592.00    $ 35,464,997.13     $ 653,419.78   $ 0.00     $ 653,419.78   $ 17.8913280    $ 34,811,577.35

  IIA-P       $ 501,860.00       $ 478,127.55       $ 2,271.22   $ 0.00       $ 2,271.22    $ 4.5256048       $ 475,856.33

  TOTAL    $ 37,023,452.00    $ 35,943,124.68     $ 655,691.00   $ 0.00     $ 655,691.00                   $ 35,287,433.68

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

      R             $ 0.00             $ 0.00           $ 0.00   $ 0.00           $ 0.00    $ 0.0000000             $ 0.00

  TOTAL             $ 0.00             $ 0.00           $ 0.00   $ 0.00           $ 0.00                            $ 0.00

- ---------------------------------------------------------------------------------------------------------------------------
</TABLE>

<PAGE>


                                  MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996
<TABLE>
<CAPTION>

                                MONTHLY INTEREST DISTRIBUTION DETAIL REPORT
                                -------------------------------------------

  Class   PTR   Gross Int.Dist. Prep.Short Z Accret Int.Adj. Sol/Sail S Total Int.Dist Int. Dist. Fac
<S>     <C>    <C>              <C>        <C>      <C>      <C>        <C>            <C>                   

      M 7.2500%     $ 28,056.66     $ 0.00   $ 0.00   $ 0.00     $ 0.00    $ 28,056.66    $ 6.0225182

    B-1 7.2500%     $ 12,469.62     $ 0.00   $ 0.00   $ 0.00     $ 0.00    $ 12,469.62    $ 6.0225192

    B-2 7.2500%      $ 9,352.22     $ 0.00   $ 0.00   $ 0.00     $ 0.00     $ 9,352.22    $ 6.0225195

    B-3 7.2500%     $ 10,599.18     $ 0.00   $ 0.00   $ 0.00     $ 0.00    $ 10,599.18    $ 6.0225180

    B-4 7.2500%      $ 5,611.33     $ 0.00   $ 0.00   $ 0.00     $ 0.00     $ 5,611.33    $ 6.0225044

    B-5 7.2500%      $ 5,611.34     $ 0.00   $ 0.00   $ 0.00     $ 0.00     $ 5,611.34    $ 6.0225269

  TOTAL             $ 71,700.35     $ 0.00   $ 0.00   $ 0.00     $ 0.00    $ 71,700.35

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

   IA-1 6.2875%    $ 590,820.89     $ 0.00   $ 0.00   $ 0.00     $ 0.00   $ 590,820.89    $ 5.1698493

   IA-2 2.7125%    $ 254,886.94     $ 0.00   $ 0.00   $ 0.00     $ 0.00   $ 254,886.94    $ 0.0000000

   IA-3 0.0000%          $ 0.00     $ 0.00   $ 0.00   $ 0.00     $ 0.00         $ 0.00    $ 0.0000000

   IA-4 7.2500%     $ 95,064.79     $ 0.00   $ 0.00   $ 0.00     $ 0.00    $ 95,064.79    $ 6.0308669

   IA-P 0.0000%          $ 0.00     $ 0.00   $ 0.00   $ 0.00     $ 0.00         $ 0.00    $ 0.0000000

  TOTAL            $ 940,772.62     $ 0.00   $ 0.00   $ 0.00     $ 0.00   $ 940,772.62

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

  IIA-1 7.2500%    $ 214,267.69     $ 0.00   $ 0.00   $ 0.00     $ 0.00   $ 214,267.69    $ 5.8668771

  IIA-P 0.0000%          $ 0.00     $ 0.00   $ 0.00   $ 0.00     $ 0.00         $ 0.00    $ 0.0000000

  TOTAL            $ 214,267.69     $ 0.00   $ 0.00   $ 0.00     $ 0.00   $ 214,267.69

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

      R 0.0000%          $ 0.00     $ 0.00   $ 0.00   $ 0.00     $ 0.00         $ 0.00    $ 0.0000000

  TOTAL                  $ 0.00     $ 0.00   $ 0.00   $ 0.00     $ 0.00         $ 0.00

</TABLE>
<PAGE>


                                  MONTHLY CERTIFICATE HOLDERS REPORT
                                   ----------------------------------

Due Period :  3 Beginning Date     :  10/01/1996  End Date         : 10/31/1996

                Determination Date :  11/15/1996  Remittance Date  : 11/25/1996


                             MASTER SERVICER SUMMARY
                             -----------------------
<TABLE>
<CAPTION>

               GROUP Servicer Advanc Deliq.for Perd Adv. Recovered   Serv. Fees Excess Interest
  <S>                <C>             <C>                <C>         <C>         <C>   

  MORTGAGE GROUP ONE          $ 0.00         $ 0.00         $ 0.00  $ 33,731.89    $ 101,377.78

  MORTGAGE GROUP TWO          $ 0.00         $ 0.00         $ 0.00   $ 7,366.91     $ 15,518.49

               TOTAL          $ 0.00         $ 0.00         $ 0.00  $ 41,098.80    $ 116,896.27



        Additional Servicing Compensation $ 0.00
                    

                             Delinquency Information
                             -----------------------


    PERIOD           Units             Amount         Percentage
    ------           -----             ------         ----------
   <S>              <C>        <C>                  <C>  

   30 DAYS               8     $ 3,856,609.42            1.8909%

   60 DAYS               3       $ 759,172.59            0.3722%

  90+ DAYS               0             $ 0.00            0.0000%

     TOTAL              11     $ 4,615,782.01            2.2631%



 FORECLOSE               0             $ 0.00            0.0000%

     TOTAL               0             $ 0.00            0.0000%



       REO               0             $ 0.00            0.0000%

     TOTAL               0             $ 0.00            0.0000%


</TABLE>


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