MLCC MORTGAGE INVESTORS INC
8-K, 1997-01-27
ASSET-BACKED SECURITIES
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<PAGE>   1
                                                This document contains 6 pages.
                                                The Exhibit Index is located on
                                                page 4.


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                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                                    FORM 8-K

                                 CURRENT REPORT

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


                     Date of Report (Date of earliest Event
                           Reported) January 27, 1997

                   ML Revolving Home Equity Loan Trust 1996-2
                   ------------------------------------------
              (Name of Trust issuing ML Revolving Home Equity Loan
                    Asset Backed Certificates, Series 1996-2)


                          MLCC Mortgage Investors, Inc.
                          -----------------------------
             (Exact name of registrant as specified in its charter)


         Delaware                      33-84894                  59-3247986
- ----------------------------         -----------              ----------------
(State or Other Jurisdiction         (Commission              (I.R.S. Employer
     of Incorporation)               File Number)            Identification No.)


                          MLCC Mortgage Investors, Inc.
                            4802 Deer Lake Drive East
                        Jacksonville, Florida 32246-6484
                           Attention: General Counsel
                           --------------------------
                         (Address of Principal Executive
                              Offices and Zip Code)

Registrant's telephone number, including area code (904) 928-6000
                                                   ---------------

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<PAGE>   2
Item 7.  Financial Statements and Exhibits.


(c)      Exhibits.

         The following is filed herewith. The exhibit number corresponds with
Item 601(b) of Regulation S-K.

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

            19.1                                Servicing Certificate and
                                                Statement to Certificateholders
                                                for ML Revolving Home Equity
                                                Loan Asset Backed Certificates,
                                                Series 1996-2, for the January
                                                27, 1997 distribution pursuant
                                                to Sections 4.01 and 5.03 of the
                                                Pooling and Servicing Agreement
                                                among Merrill Lynch Credit
                                                Corporation, as Servicer, MLCC
                                                Mortgage Investors, Inc., as
                                                Transferor, and Bankers Trust
                                                Company of California, N.A., as
                                                Trustee, dated as of November 1,
                                                1996.


                                       2
<PAGE>   3
                                   SIGNATURES


                  Pursuant to the requirements of the Securities Exchange Act of
1934, Merrill Lynch Credit Corporation, as Servicer and on behalf of the
registrant, has duly caused this report to be signed on its behalf by the
undersigned hereunto duly authorized.


                                                     MERRILL LYNCH CREDIT
                                                     CORPORATION, as Servicer
                                                     and on behalf of MLCC
                                                     MORTGAGE INVESTORS, INC.



                                            By:  /s/Steven T. Hardy
                                                 ______________________________
                                                     Name:  Steven T. Hardy
                                                     Title: Vice President and
                                                            Controller


Dated:         1/27/97
       _____________________


                                       3
<PAGE>   4
                                  Exhibit Index

Exhibit No.                                                        Page
- -----------                                                        ----


    19.1            Servicing Certificate and Statement to
                    Certificateholders for ML Revolving Home
                    Equity Loan Asset Backed Certificates,
                    Series 1996-2                                    5



                                       4

<PAGE>   1
SERVICING CERTIFICATE                                                     PAGE 5
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<TABLE>
<S>                                                                        <C>                           <C>
MLCC MORTGAGE INVESTORS, INC.                                                Current Collection Period:  17-Dec-96 through 16-Jan-97
ML REVOLVING HOME EQUITY LOAN ASSET BACKED CERTIFICATES, SERIES 1996-2     P & S Agreement Date:                           01-Nov-96

                                       CURRENT PASS-THROUGH RATES:
INVESTOR CERTIFICATES, SERIES 1996-2   LIBOR + 0.17%  5.92000%             Original Closing Date:                          26-Dec-96
                                                                           Distribution Date:                              27-Jan-97
</TABLE>

<TABLE>
<CAPTION>
NOTE:  A RAPID AMORTIZATION EVENT HAS NOT OCCURED SINCE THE PRIOR DISTRIBUTION DATE.

<S>                    <C>                                                 <C>                                                 <C>
                            32   less than - Accrual Days                   Investor Floating Allocation Percentage      96.449000%
LIBOR   5.75000%       8.97700%  less than - Net Loan Rate                  Investor Fixed Allocation Percentage         98.000000%
WAC     9.47700%       8.88700%  less than - Alternate Certificate Rate
</TABLE>

<TABLE>
<S>                                                                              <C>                                <C>
- ----------------------------------------------------------------------------------------------------------------------------------
     1       Beginning Pool Balance                                              (P&S 4.01xx, 5.03xii)              286,325,930.73
     2       Beginning Pool Factor                                                                                      101.608000%
- ----------------------------------------------------------------------------------------------------------------------------------
     3       Beginning Invested Amount                                           (P&S 4.01xxi)                      276,159,000.31
     4       Beginning Transferor Interest                                                                           10,166,930.42
     5       Beginning Certificate Principal Balance    (INSURED AMOUNT)         (P&S 4.01xxiv)                     276,159,000.31
     6       Beginning Overcollateralization Amount                              (P&S 4.01xxix)                               0.00

     7       Minimum Transferor Interest                                                                              5,636,208.00
     8       Required Amount                                                     (P&S  4.01xxii, 5.03x)               5,635,904.17
     9       Transferor Subordinated Amount                                      (P&S 4.01xxiii)                      5,635,904.17
- ----------------------------------------------------------------------------------------------------------------------------------
             COLLECTION AMOUNTS
- ----------------------------------------------------------------------------------------------------------------------------------
    10       Aggregate of all Trust Interest Collections                         (P&S 4.01i )                         2,685,162.52
    11       Aggregate of all Trust Principal Collections                        (P&S 4.01ii )                       15,958,087.10
    12       Aggregate of any Trust Insurance Proceeds                           (P&S 4.01iii )                               0.00
    13       Aggregate of any Net Trust Liquidation Proceeds                     (P&S 4.01iv)                                 0.00
    14       Aggregate of Transfer Deposits                                      (P&S 4.01v)                                  0.00
    15       Monthly Advance / (Reimbursement) for Such Distribution Date        (P&S 4.01vi &viii, 5.03xv)                   0.00
    16       Available Distribution Amount (10+11+12+13+14+15)                                                       18,643,249.62
    17       Distribution to Trustee  (If ln 11 more than ln 20, ln 11 - ln 20
             + ln 10 + ln 15, ln 10 + ln 15)                                                                          2,685,162.52
    18       Investor Loss Amount                                                (P&S 4.01xviii)                              0.00
    19       Current Investor Loss Distribution Amount                                                                        0.00
    20       Current Month Additional Balances                                   (P&S 4.01xxvii)                     20,448,944.63
    21       Available Excess Interest (10+15-24ii-25ii-26ii)                                                         1,112,054.90
    22       Liquidation Loss Amounts                                            (P&S 4.01xviii)                              0.00
    23       Aggregate of Liquidation Loss & Investor Loss Amounts (22+18)       (P&S 4.01xviii)                              0.00
- ----------------------------------------------------------------------------------------------------------------------------------
             DISTRIBUTION AMOUNTS
- ----------------------------------------------------------------------------------------------------------------------------------
    24 i.    Total Amount to Certificate Insurer                                                                         24,547.47
       ii.   Monthly Insurance Premium                                                                                   24,547.47
       iii.  Reimbursement Amount                                                (P&S 4.01xxx)                                0.00
        iv.  Redirection of Certificate Insurance                                                                             0.00

    25 i.    Investor Certificate Distribution Amount (25vii+25xii)              (P&S 5.03i)                          1,453,210.03
- ----------------------------------------------------------------------------------------------------------------------------------
       ii.   Certificate Formula Interest                                        (P&S 4.01xi)                         1,453,210.03
       iii.  Certificate Interest Collections (FLAP x Aggregate Int Collections) (P&S 4.01x)                          2,589,812.40
       iv.   Unpaid Certificate Interest Shortfall Included in 25vii             (P&S 4.01xiii)                               0.00
       v.    Unpaid Interest Shortfall (carryover into current period)           (P&S 4.01xii)                                0.00
       vi.   Remaining Unpaid Interest Shortfall after giving effect to current 
             distribution                                                        (P&S 4.01xii)                                0.00
       vii.  Total Certificate Distribution Allocable to Interest                                                     1,453,210.03
- ----------------------------------------------------------------------------------------------------------------------------------
       viii. Maximum Principal Payment (FAP x principal collections)             (P&S 4.01xvii)                      15,638,925.36
       ix.   Alternative Principal Payment                                       (P&S 4.01xvii)                               0.00
       x.    Scheduled Principal Collections Payment                             (P&S 4.01xvii)                               0.00
       xi.   Accelerated Principal Distribution Amount                           (P&S 4.01xvi)                                0.00
       xii.  Total Certificate Distribution Allocable to Principal (19+25x+25xi)                                              0.00

    26 i.    Transferor Distribution Amount                                                                           1,207,405.02
       ii.   Transferor Interest Collections (10+15-19-25viii)                   (P&S 4.01xv)                            95,350.12
       iii.  Residual Amount included in 26i                                     (P&S 4.01xxxi)                       1,112,054.90
       iv.   Transferor Principal Collections (11-25viii)                        (P&S 4.01xv)                                 0.00
- ----------------------------------------------------------------------------------------------------------------------------------
    27       Investor Loss Reduction Amount (From Previous Distributions)        (P&S 4.01xix)                                0.00
    28       Liquidation Loss Amounts (From Previous Distributions)              (P&S 4.01 xxxvi)                             0.00
    29       Cumulative Number of all Retransferred Mortgage Loans (From 
             Previous Distributions)                                             (P&S 4.01xxxvii, 5.03xx)                     0.00
    30       Cumulative Retransferred Mortgage Loan Trust Balances (From 
             Previous Distributions)                                             (P&S 4.01xxxvii, 5.03xx)                     0.00
- ----------------------------------------------------------------------------------------------------------------------------------
    31       Number of all Retransferred Mortgage Loans (Current Retransfer 
             Date)                                                               (P&S 4.01xxxvii, 5.03xx)                     0.00
    32       Retransferred Mortgage Loan Trust Balances (Current Retransfer 
             Date)                                                               (P&S 4.01xxxvii, 5.03xx)                     0.00
- ----------------------------------------------------------------------------------------------------------------------------------
    33       Ending Pool Balance                                                 (P&S 5.03xii)                      290,816,788.26
    34       Ending Pool Factor                                                  (P&S 4.01xxv, 5.03ix)                  103.201467%
- ----------------------------------------------------------------------------------------------------------------------------------
    35       Ending Invested Amount                                                                                 276,159,000.31
    36       Ending Transferor Interest                                          (P&S 4.01xxvi)                      14,657,787.95
    37       Ending Certificate Principal Balance     (INSURED AMOUNT)           (P&S 4.01xxv, 4.01xxix)            276,159,000.31
    38       Ending Overcollateralization Amount                                 (P&S 4.01xxiv, 5.03xiii)                     0.00
- ----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>   2
STATEMENT TO CERTIFICATEHOLDERS                                          PAGE 6
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<TABLE>
<S>                                                                      <C>                         <C>
MLCC MORTGAGE INVESTORS, INC.                                            Current Collection Period:  17-Dec-96 through 16-Jan-97
ML REVOLVING HOME EQUITY LOAN ASSET BACKED CERTIFICATES, SERIES 1996-2   P & S Agreement Date:                             01-Nov-96

                                      CURRENT PASS-THROUGH RATES:   
INVESTOR CERTIFICATES, SERIES 1996-2  LIBOR + 0.17%   5.92000%           Original Closing Date:                            26-Dec-96
                                                                         Distribution Date:                                27-Jan-97
</TABLE>

<TABLE>
<CAPTION>
NOTE:  A RAPID AMORTIZATION EVENT HAS NOT OCCURED SINCE THE PRIOR DISTRIBUTION DATE.
<S>                    <C>                                                 <C>                                           <C>
                             32  less than - Accrual Days                   Investor Floating Allocation Percentage       96.449000%
LIBOR  5.75000%        8.97700%  less than - Net Loan Rate                  Investor Fixed Allocation Percentage          98.000000%
WAC    9.47700%        8.88700%  less than - Alternate Certificate Rate
- ----------------------------------------------------------------------------------------------------------------------------------
</TABLE>

<TABLE>
<CAPTION>
       Distribution to Holders of Certificates (per Certificate with a $1,000 denomination)

<S>                                                                              <C>                                 <C>
    39 i.    Total Certificate Distribution Amount Allocable to Interest         (P&S 5.03ii)                             5.262222
       ii.   Unpaid Certificate Interest Shortfall Included in Current 
             Distribution                                                        (P&S 5.03iii)                            0.000000
       iii.  Unpaid Certificate Interest Shortfall Remaining after Current 
             Distribution (Carryover)                                            (P&S 5.03iv)                             0.000000

    40 i     Total Certificate Distribution Allocable to Principal               (P&S 5.03v)                              0.000000
       ii.   Scheduled Principal Collections Payment                             (P&S 5.03v)                              0.000000
       iii.  Accelerated Principal Distribution Amount                           (P&S 5.03v)                              0.000000

    41 i     Reimbursed Investor Loss Reduction Amounts Included in Current 
             Distribution                                                        (P&S 5.03vi)                             0.000000
       ii    Investor Loss Reduction Amounts after Current Distribution 
             (Carryover)                                                         (P&S 5.03vii)                            0.000000

    42       Servicing Fee                                                       (P&S 5.03xv)                           121,590.46
    43       Monthly Advance paid by the Servicer                                (P&S 5.03xiv)                                0.00
    44       Monthly (Advance Reimbursement) to the Servicer                                                                  0.00
    45       Cumulative Monthly Advance paid by the Servicer                                                                  0.00
    46       Amount of Insured Payments by the Certificate Insurer               (P&S 5.03xix)                                0.00
    47       Transferor Subordinated Amount after giving effect to the current 
             distribution                                                        (P&S 5.03xi)                         5,635,904.17

    48 i.    Number of Mortgage Loans 31 to 60 days delinquent                   (P&S 4.01xxxii, 5.03xvi)                      102
       ii.   Aggregate Principal Balances of Mortgage Loans 31 to 60 days 
             delinquent                                                          (P&S 4.01xxxii, 5.03xvi)             6,941,916.40
    49 i.    Number of Mortgage Loans 61 to 90 days delinquent                   (P&S 4.01xxxii, 5.03xvi)                       18
       ii.   Aggregate Principal Balances of Mortgage Loans 61 to 90 days 
             delinquent                                                          (P&S 4.01xxxii, 5.03xvi)             1,176,480.83
    50 i.    Number of Mortgage Loans 91 or more days delinquent                 (P&S 4.01xxxii, 5.03xvi)                        0
       ii.   Aggregate Principal Balances of Mortgage Loans 91 or more days 
             delinquent                                                          (P&S 4.01xxxii, 5.03xvi)                     0.00
    51 i.    Number of Mortgage Loans in Foreclosure                             (P&S 4.01xxxiii, 5.03xvii)                      0
       ii.   Aggregate Principal Balances of Mortgage Loans in Foreclosure       (P&S 4.01xxxiii, 5.03xvii)                   0.00

    52       Book Value of Real Estate Acquired Through Foreclosure or Grant 
             of a Deed                                                           (P&S 4.01xxxiv, 5.03xviii)                   0.00
    53       The Aggregate Trust Balances of any Liquidated Loans in the 
             Current Month                                                       (P&S 4.01xxxv)                               0.00
- ----------------------------------------------------------------------------------------------------------------------------------
</TABLE>


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