MERIT SECURITIES CORP
8-K, 1997-08-11
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) July 28, 1997

                     MERIT Securities Corporation, Series 9
               (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.)



  10900 Nuckols Road
  Glen Allen, Virginia
  Attn:  Vice President                                           23060
  (Address of principal executive offices)                      (Zip Code)

        Registrant's telephone number including area code (804) 217-5800


<PAGE>




                     MERIT Securities Corporation, Series 9
                                    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 9 makes monthly remittances to security
holders. The latest  remittance was made July 28, 1997. 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 July 28, 1997





                                        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.


July 30, 1997                               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  July 28, 1997


                                        5




MERIT SECURITIES CORPORATION


Monthly Payment Report

Payment Statement
MERIT 9
Payment Date:     28-Jul-97
Reporting Month:  June

<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>            
Class A-1           6.087500%  $766,000,000.00 $4,274,439.58 $4,274,439.58 $20,086,670.47 $24,361,110.05 $0.00   $745,913,329.53
Class A-2           6.237500%  $119,200,000.00   $681,550.83   $681,550.83          $0.00    $681,550.83 $0.00   $119,200,000.00
Class A-3          14.000000%   $30,520,000.00   $391,673.33   $391,673.33          $0.00    $391,673.33 $0.00    $30,520,000.00
Class B-1           6.783718%   $42,791,000.00   $266,091.90   $266,091.90          $0.00    $266,091.90 $0.00    $42,791,000.00
Class B-2           6.687500%   $15,095,000.00    $92,535.49    $92,535.49          $0.00     $92,535.49 $0.00    $15,095,000.00
Class B-3           7.437500%   $10,063,000.00    $68,606.60    $68,606.60          $0.00     $68,606.60 $0.00    $10,063,000.00

                               $983,669,000.00 $5,774,897.74 $5,774,897.74 $20,086,670.47 $25,861,568.21 $0.00   $963,582,329.53
</TABLE>

Class              CUSIP     Priority     Principal Type Interest Type
Class A-1          589962BB4 Senior       Sequential     Floater
Class A-2          589962BC2 Senior       Sequential     Floater
Class A-3          589962BD0 Senior       Sequential     Floater
Class B-1          589962BE8 Subordinate  Sequential     Floater
Class B-2          589962BF5 Subordinate  Sequential     Floater
Class B-3          589962BG3 Subordinate  Sequential     Floater
<PAGE>

MERIT SECURITIES CORPORATION

Payments per Bond Denomination
MERIT 9

Payment Date:     28-Jul-97
Reporting Month:  June


<TABLE>
<CAPTION>
                                                         Interest    Interest    Principal
          Original        Original Integral     Record    Accrual     Payment     Payment     Ending          Remaining
Class     Balance         Pct Pool Denomination Date      Factor      Factor      Factor      Balance         Principal Factor
<S>       <C>             <C>      <C>          <C>       <C>         <C>         <C>         <C>             <C>       
Class A-1 $766,000,000.00 77.87%   $1,000.00    30-Jun-97  5.58020833  5.58020833 26.22280740 $745,913,329.53 0.97377719
Class A-2 $119,200,000.00 12.12%   $1,000.00    30-Jun-97  5.71770833  5.71770833  0.00000000 $119,200,000.00 1.00000000
Class A-3  $30,520,000.00  3.10%   $1,000.00    30-Jun-97 12.83333333 12.83333333  0.00000000  $30,520,000.00 1.00000000
Class B-1  $42,791,000.00  4.35%   $1,000.00    30-Jun-97  6.21870799  6.21870799  0.00000000  $42,791,000.00 1.00000000
Class B-2  $15,095,000.00  1.53%   $1,000.00    30-Jun-97  6.13020833  6.13020833  0.00000000  $15,095,000.00 1.00000000
Class B-3  $10,063,000.00  1.02%   $1,000.00    30-Jun-97  6.81770833  6.81770833  0.00000000  $10,063,000.00 1.00000000

          $983,669,000.00                                                                     $963,582,329.53
</TABLE>
<PAGE>

MERIT SECURITIES CORPORATION

Funds Account Activity Report
MERIT 9
Payment Date:   28-Jul-97
Report Date:    June

Collateral Proceeds Account
<TABLE>
<S>                                        <C>                                                <C>  
Beginning Balance                                   $0.00

Deposits                                                        Withdrawals

Interest Net of Servicing Fee               $5,980,071.88       Interest Payments              $5,774,897.74
Principal                                  $20,141,220.17       Principal Payments            $20,086,670.47
Deposits From Reserve Fund                          $0.00       Surplus                          $126,528.47
Other Deposits                                      $0.00       Dynex Servicing Fee               $78,645.67
                                                                Collateralized Reserve Fund       $54,549.70

Total Deposit                              $26,121,292.05       Total Withdrawals             $26,121,292.05

                                                                Ending Balance                         $0.00
</TABLE>

Note: "Principal" and Interest Net of Servicing Fee" includes 
Advances on Delinquencies
<PAGE>

MERIT SECURITIES CORPORATION

Credit Enhancement Summary
MERIT 9

Payment Date:         28-Jul-97
Reporting Month       June

Reserve Funds and Subordination

<TABLE>
<CAPTION>
                            Initial Coverage     Beginning Coverage   Adjustments Losses Collateral Balance Ending Balance
Type                                           
<S>                         <C>   <C>            <C>   <C>            <C>         <C>    <C>                <C>   <C>           
Pool Over Collateralization 2.25% $22,642,778.00 2.25% $22,642,778.00 $0.00       $0.00  $986,170,557.83    2.30% $22,642,778.00
</TABLE>

                                    Beginning Current    Withdrawal Ending
                                    Balance   Deposits   for Losses Balance
Collateralized Reserve Fund         $0.00     $54,549.70 $0.00      $54,549.70
(Included in above coverage amount)

Surplus Summary 

Class                      Total Distribution
Surplus                    $126,528.47

Delinquency Statistics
                                   Current                 % of
                       # of Loan   Balance                 Current Balance
30+ Days               112          $4,574,718             0.47%
60+ Days                17          $2,003,005             0.21%
90+ Days                15          $3,317,344             0.34%
Foreclosure             34          $6,238,993             0.64%
REO                     10          $1,815,924             0.19%

Totals                 188         $17,949,983             1.85%


Advances on Delinquencies                                          $46,028
Non-Recoverable Advances on Delinquencies                            $0.00




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