MERIT SECURITIES CORP
8-K, 1996-11-07
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 (Date of earliest event reported) October 28, 1996

                     MERIT Securities Corporation, Series 3
               (Exact name of registrant as specified in charter)

         Virginia                  03992                        54-1736551
(State or other jurisdiction    (Commission                   (IRS Employer
     of incorporation)          File Number)                Identification No.)

     4880 Cox Road
     Glen Allen, Virginia
     Attn:  Vice President                              23060
     (Address of principal executive offices)         (Zip Code)

  Registrant's telephone number including area code (804) 967-5800

<PAGE>

                     MERIT Securities Corporation, Series 3
                                    Form 8-K

                                      INDEX

                                                           Page Number

Item 5.       Other Events                                      3

Item 7.       Financial Statements and Exhibits                 3

SIGNATURES                                                      4

INDEX OF EXHIBITS                                               5

                                  2

<PAGE>

ITEM 5.  OTHER EVENTS

The MERIT Securities Corporation, Series 3 makes monthly remittances to security
holders. The latest remittance was made October 28, 1996. We have furnished a
monthly remittance statement delivered to the trustee with security holder
payment instructions.

Monthly Remittance Statement.........................................Exhibit 1

ITEM 7.  FINANCIAL STATEMENTS AND EXHIBITS

     Exhibits

     1.  Monthly Remittance Statement dated as of October 28, 1996

                                  3

<PAGE>


                              Signatures

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

November 5, 1996                    MERIT SECURITIES CORPORATION

                           By:______________________________

                           Name:    Lisa R. Cooke

                           Title:   Vice President

                                  4

<PAGE>

                                INDEX OF EXHIBITS

                                         Page of  Sequentially
                                         Numbered Pages

1.   Monthly Remittance Statement dated                    6-10
     as of November 28, 1996

                                  5






MERIT SECURITIES CORPORATION

Payments per Bond Denomination
MERIT Series 3

Payment Date:     28-Oct-96
Reporting Month:  September

<TABLE>
<CAPTION>
                                                                            Interest    Interest   Principal
                 Original        Original Integral    Record    Accrual     Payment     Payment    Ending         Remaining
Class            Balance         Pct Pool Denominatio Date      Factor      Factor      Factor     Balance        Principal Factor
<S>              <C>             <C>      <C>         <C>       <C>         <C>         <C>        <C>            <C>             
Merit 3 Class A  $144,348,444.00 85.00%   $1,000.00   30-Sep-96  2.54197482  2.54197482 9.67735274 $72,142,318.19 0.49977898
Merit 3 Class B   $13,585,736.00  8.00%   $1,000.00   30-Sep-96 12.50000000 12.50000000 0.00000000 $13,585,736.00 1.00000000

                 $157,934,180.00                                                                   $85,728,054.19
</TABLE>
<PAGE>

MERIT SECURITIES CORPORATION

Credit Enhancement Summary
MERIT Series 3

Payment Date:         28-Oct-96
Reporting Month       September

Reserve Funds and Subordination
<TABLE>
<CAPTION>
                          Initial Coverage     Beginning Coverage    Adjustments Losses     Insured Balance Ending Coverage
Type     
<S>                       <C>   <C>            <C>    <C>            <C>         <C>        <C>             <C>    <C>           
Pool Over Collaterization 7.00% $11,887,519.82 12.01% $11,887,519.82 $0.00       $18,760.63 $97,615,574.01  12.18% $11,887,519.82
</TABLE>

Insurance Policies
<TABLE>
<CAPTION>
                                Initial Coverage    Beginning Coverage   Adjustments Losses Insured Balance Ending Coverage
Type             Purpose          
<S>                             <C>    <C>           <C>    <C>           <C>         <C>    <C>             <C>    <C>          
Insurance Policy Pool Insurance 25.00% $2,619,994.00 35.98% $2,619,944.00 $0.00       $0.00  $7,263,903.21   36.07% $2,619,944.00
</TABLE>

Surplus Summary  

Class                      Total Distribution
Surplus                            $231,719.17

Delinquency Statistics
                                     Current              % of
                    # of Loans      Balance          Current Balance
30+ Days                29          $4,109,804             4.21%
60+ Days                 9          $2,097,223             2.15%
90+ Days                28          $4,897,511             5.02%
Foreclosure              8          $1,463,805             1.50%
REO                     17          $2,452,690             2.51%

Totals                  91         $15,021,033            15.39%


Advances on Delinquencies                                      $136,721.48
Non-Recoverable Advances on Delinquencies                            $0.00
<PAGE>

MERIT SECURITIES CORPORATION

Funds Account Activity Report
MERIT Series 3

Payment Date:     28-Oct-96
Report Date:      September

Collateral Proceeds Account

<TABLE>
<S>                                           <C>                                              <C>
Beginning Balance                                     $0.00
Deposits                                                               Withdrawals
Interest Net of Servicing Fee                   $782,044.59            Interest Payments         $536,751.81
Principal                                     $1,396,910.81            Principal Payments      $1,396,910.81
Deposits From Reserve Fund                            $0.00            Surplus                   $231,719.17
Other Deposits                                        $0.00            FSA Fee                       $13,573.61
                                                                       Discount Principal Reserve      $0.00

Total Deposit                                 $2,178,955.40            Total Withdrawals       $2,178,955.40

                                                                       Ending Balance                  $0.00
</TABLE>

MERIT SECURITIES CORPORATION

Monthly Payment Report

Payment Statement
MERIT Series 3

Payment Date:     28-Oct-96
Reporting Month:  September

<TABLE>
<CAPTION>
                Class
                Interest   Beginning      Interest    Interest     Principal    Total         Applied Ending
Class           Rate       Balance        Accrual     Payment      Payment      Distribution  Losses  Balance
<S>             <C>        <C>            <C>         <C>         <C>           <C>           <C>     <C>                
Merit 3 Class A  5.987500% $73,539,229.00 $366,930.11 $366,930.11 $1,396,910.81 $1,763,840.92 $0.00   $72,142,318.19
Merit 3 Class B 15.000000% $13,585,736.00 $169,821.70 $169,821.70         $0.00   $169,821.70 $0.00   $13,585,736.00

                           $87,124,965.00 $536,751.81 $536,751.81 $1,396,910.81 $1,933,662.62 $0.00   $85,728,054.19
</TABLE>

Class           CUSIP     Priority PrincipalType Interest Type
Merit 3 Class A 589962AG4 Senior    Sequential   Floater
Merit 3 Class B 589962AH2 Senior    Sequential   Floater




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