ABN AMRO MORTGAGE CORP
8-K, 1998-06-25
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: March 27, 1998
   (Date of earliest event reported)
  
  
  ABN AMRO Mortgage Corporation 
  (Sponsor)
  (Issuer in Respect of Commercial Mortgage Pass-Through 
Certificates Series 1998-1)
  (Exact name of registrant as specified in charter) 
  
   
  Delaware                  333-42127  363886007
  (State or other juris-   (Commission  (I.R.S. Employer 
  diction of organization) File No.) Identification No.)
  
  
  
  181 West Madison Street Chicago, Illinois  60602 
  (Address of principal executive offices)                                 
    (Zip Code)
  
  
  Registrant's Telephone Number, including area code 
  (248) 643-2530
  
  
  (Former name or former address, if changed since last 
  report.)
  
  
  
  
  
  
  
  
  
  ITEM 7.  FINANCIAL STATEMENTS, PRO FORMA FINANCIAL  
  INFORMATION AND EXHIBITS
  
  
  (c)     Exhibits
            
              
  Exhibit No.                   Description
            
  
  99.1Monthly distribution report pursuant to Section 4.02 
  of the Poolingand Servicing Agreement for the distribution 
  on April 14, 1998.
  
  Pursuant to the requirements of the Securities Exchange Act 
  of 1934, the Registrant has duly caused this report to be 
  signed on behalf of the Registrant by the undersigned thereunto 
  duly authorized.
  
                      LASALLE NATIONAL BANK, IN
                      ITS CAPACITY AS TRUSTEE
                      UNDER THE POOLING AND 
                      SERVICING AGREEMENT ON 
                      BEHALF OF ABN AMRO MORTGAGE 
                      CORPORATION, REGISTRANT
  
  
  
                      By:
  
                      /s/ Russell Goldenberg   
                      Russell Goldenberg, 
                      Senior Vice President
  
  
  
  Date: June 24, 1998
                          
  
  
  
  
  Exhibit Index
  
  
  
  
  
  
  
  Exhibit No.                   Description
  
            
  
  99.1Monthly distribution report pursuant to Section 4.02 of the Pooling
   and Servicing Agreement for the distribution on April 14, 1998.
  
  
  
  ABN AMRO
  LaSalle National Bank
  
  Administrator:
    Ryan Kutty  (800) 246-5761
    135 S. LaSalle Street   Suite 1625
    Chicago, IL   60674-4107
  
  ABN AMRO Mortgage Corporation
  (LaSalle Home Mortgage Corporation, as Servicer)
  Multi-Class Mortgage Pass-Through Certificates
  Series 1998-1
  
  
  
  Payment Date:           04/27/98
  Prior Payment:NA
  Record Date:            03/31/98
  
  WAC:                   7.394587%
  
  
  
                                                    Number Of Pages
  
  Table Of Contents                                               1
  
  REMIC Certificate Report                                        3
  
  Other Related Information                                       2
  
  Asset Backed Facts Sheets                                       3
  
  Delinquency Loan Detail
  
  
  Total Pages Included  In This Package                           9
  
  
  LaSalle Web Site                                  www.lnbabs.com
  
  LaSalle Bulletin Board                            (714) 282-3990
  ASAP #:                                                       330
  Monthly Data File Name:                           0330MMYY.EXE
  
  ABN AMRO Acct: 67-7920-20-9
                Original             Opening        Principal
  Class         Face Value (1)       Balance        Payment
  CUSIP         Per $1,000           Per $1,000     Per $1,000
  
  IA-1              78,344,523.04     78,344,523.04        23138.38
  00077BAN3         1000.000000000    1000.000000000    0.295341386
  IA-2                    23,789,603.      23,789,60    0.000000000
  00077BAA1         1000.000000000    1000.000000000    0.000000000
  IA-3                    63,730,000.      63,730,00         490,28
  00077BAB9         1000.000000000    1000.000000000    7.693189079
  IA-4                    10,043,000.      10,043,00    0.000000000
  00077BAC7         1000.000000000    1000.000000000    0.000000000
  IA-5                    37,632,681.      37,632,68    0.000000000
  00077BAD5         1000.000000000    1000.000000000    0.000000000
  IA-6                    14,254,582.      14,254,58    0.000000000
  00077BAE3         1000.000000000    1000.000000000    0.000000000
  IA-X                      7,010,057        7,010,0    0.000000000
  00077BAG8         1000.000000000    1000.000000000    0.000000000
  IIA-1                   45,850,628.      45,850,62         158,37
  00077BAF0         1000.000000000    1000.000000000    3.454229242
  IIA-X                     1,828,335        1,828,3    0.000000000
  00077BAG8         1000.000000000    1000.000000000    0.000000000
  IIA-P                       333,045          333,0            1,1
  00077BAH6         1000.000000000    1000.000000000    3.401010446
  M                         5,416,841        5,416,8            6,2
  00077BAJ2         1000.000000000    1000.000000000    1.159365763
  B-1                       2,280,777        2,280,7            2,6
  00077BAK9         1000.000000000    1000.000000000    1.159363673
  B-2                       1,140,388        1,140,3            1,3
  00077BAL7         1000.000000000    1000.000000000    1.159368566
  B-3                       1,140,387        1,140,3            1,3
  00077BAP8         1000.000000000    1000.000000000    1.159369582
  B-4                         570,194          570,1
  00077BAQ6         1000.000000000    1000.000000000    1.159359797
  
  
                Principal            Negative       Closing
  Class         Adj. or Loss         Amortization   Balance
  CUSIP         Per $1,000           Per $1,000     Per $1,000
  
  IA-1                       0.00        279,276.64  78,600,661.30
  00077BAN3           0.000000000       3.564724491  1003.269383105
  IA-2                       0.00              0.00     23,789,603.
  00077BAA1           0.000000000       0.000000000  1000.000000000
  IA-3                       0.00              0.00     63,239,713.
  00077BAB9           0.000000000       0.000000000   992.306810921
  IA-4                       0.00         58,584.17     10,101,584.
  00077BAC7           0.000000000       5.833333665   1005.83333367
  IA-5                       0.00              0.00     37,632,681.
  00077BAD5           0.000000000       0.000000000  1000.000000000
  IA-6                       0.00              0.00     14,254,582.
  00077BAE3           0.000000000       0.000000000  1000.000000000
  IA-X                       0.00              0.00       7,010,057
  00077BAG8           0.000000000       0.000000000  1000.000000000
  IIA-1                      0.00              0.00     45,692,249.
  00077BAF0           0.000000000       0.000000000   996.545770758
  IIA-X                      0.00              0.00       1,828,335
  00077BAG8           0.000000000       0.000000000  1000.000000000
  IIA-P                      0.00              0.00          331,91
  00077BAH6           0.000000000       0.000000000   996.598989554
  M                          0.00              0.00       5,410,560
  00077BAJ2           0.000000000       0.000000000   998.840634237
  B-1                        0.00              0.00       2,278,132
  00077BAK9           0.000000000       0.000000000   998.840636327
  B-2                        0.00              0.00       1,139,065
  00077BAL7           0.000000000       0.000000000   998.840631434
  B-3                        0.00              0.00       1,139,064
  00077BAP8           0.000000000       0.000000000   998.840630418
  B-4                        0.00              0.00          569,53
  00077BAQ6           0.000000000       0.000000000   998.840640203
  
  
                Interest             Interest       Pass-Through
  Class         Payment              Adjustment     Rate (2)
  CUSIP         Per $1,000           Per $1,000     Next Rate (3)
  
  IA-1                 215,065.36       (279,276.64)    0.075718172
  00077BAN3           2.745123101      (3.564724491)   0.075725781
  IA-2                 128,860.35              0.00     0.065000000
  00077BAA1           5.416666684       0.000000000 Fixed
  IA-3                 371,758.33              0.00     0.070000000
  00077BAB9           5.833333281       0.000000000 Fixed
  IA-4                       0.00        (58,584.17)    0.070000000
  00077BAC7           0.000000000      (5.833333665)Fixed
  IA-5                 203,843.69              0.00     0.065000000
  00077BAD5           5.416666700       0.000000000 Fixed
  IA-6                  77,212.32              0.00     0.065000000
  00077BAE3           5.416666725       0.000000000 Fixed
  IA-X                  39,431.57              0.00     0.067500000
  00077BAG8           5.624999349       0.000000000 Fixed
  IIA-1                248,357.57              0.00     0.065000000
  00077BAF0           5.416666703       0.000000000 Fixed
  IIA-X                  9,903.49              0.00     0.065000000
  00077BAG8           5.416668668       0.000000000 Fixed
  IIA-P                      0.00              0.00
  00077BAH6           0.000000000       0.000000000
  M                     30,279.50              0.00     0.067078586
  00077BAJ2           5.589881630       0.000000000     0.067048906
  B-1                   12,749.27              0.00     0.067078586
  00077BAK9           5.589880115       0.000000000     0.067048906
  B-2                    6,374.63              0.00     0.067078586
  00077BAL7           5.589878182       0.000000000     0.067048906
  B-3                    6,374.63              0.00     0.067078586
  00077BAP8           5.589883084       0.000000000     0.067048906
  B-4                    3,187.32              0.00     0.067078586
  00077BAQ6           5.589886951       0.000000000     0.067048906
  
  
  ABN AMRO Acct: 67-7920-20-9
  
                Original             Opening        Principal
  Class         Face Value (1)       Balance        Payment
  CUSIP         Per $1,000           Per $1,000     Per $1,000
  
  B-5                    570194.64       570,194.64         661.06
  00077BAR4         1000.000000000    1000.000000000   1.159358496
  R (Component R                                            100.00
  9ABSB238          1000.000000000    1000.000000000 1000.000000000
  
                Principal            Negative       Closing
  Class         Adj. or Loss         Amortization   Balance
  CUSIP         Per $1,000           Per $1,000     Per $1,000
  
  B-5                        0.00              0.00     569,533.58
  00077BAR4           0.000000000       0.000000000  998.840641504
  R (Component R             0.00              0.00           0.00
  9ABSB238            0.000000000       0.000000000    0.000000000
  
                Interest             Interest       Pass-Through
  Class         Payment              Adjustment     Rate (2)
  CUSIP         Per $1,000           Per $1,000     Next Rate (3)
  
  B-5                    3,187.33              0.00     0.067078586
  00077BAR4           5.589898214       0.000000000     0.067048906
  R (Component R             0.56              0.00          0.0675
  9ABSB238            5.600000000       0.000000000 Fixed
  
  
  ABN AMRO Acct: 67-7920-20-9
  
                Original             Opening        Principal
  Class         Face Value (1)       Balance        Payment
  CUSIP         Per $1,000           Per $1,000     Per $1,000
  
  REMIC I Intere   285,096,943.82    285,096,943.82     348,066.51
  None              1000.000000000    1000.000000000   1.220870716
  R (Component R             0.00              0.00           0.00
  None              1000.000000000    1000.000000000   0.000000000
  
                Principal            Negative       Closing
  Class         Adj. or Loss         Amortization   Balance
  CUSIP         Per $1,000           Per $1,000     Per $1,000
  
  REMIC I Intere             0.00              0.00 284,748,877.31
  None                0.000000000       0.000000000  998.779129284
  R (Component R             0.00              0.00           0.00
  None                0.000000000       0.000000000    0.000000000
  
                Interest             Interest       Pass-Through
  Class         Payment              Adjustment     Rate (2)
  CUSIP         Per $1,000           Per $1,000     Next Rate (3)
  
  REMIC I Intere     1,694,446.73              0.00     0.071320866
  None                 5.94340545        0.00000000     0.071323001
  R (Component R             0.00              0.00
  None                 0.00000000        0.00000000
  
  Other Related Information
  
               Accrued     ReimbursementNet          Prior
  Class        Certificate of Prior     Prepayment   Unpaid
               Interest    Losses       Int. ShortfalInterest
  
  IA-1           494342.00          0.00         0.00           0.00
  IA-2           128860.35          0.00         0.00           0.00
  IA-3           371758.33          0.00         0.00           0.00
  IA-4            58584.17          0.00         0.00           0.00
  IA-5           203843.69          0.00         0.00           0.00
  IA-6            77212.32          0.00         0.00           0.00
  IA-X            39431.57          0.00         0.00           0.00
  IIA-1          248357.57          0.00         0.00           0.00
  IIA-X            9903.49          0.00         0.00           0.00
  IIA-P               0.00          0.00         0.00           0.00
  M               30279.50          0.00         0.00           0.00
  B-1             12749.27          0.00         0.00           0.00
  B-2              6374.63          0.00         0.00           0.00
  B-3              6374.63          0.00         0.00           0.00
  B-4              3187.32          0.00         0.00           0.00
  B-5              3187.32          0.00         0.00           0.00
  R (Component        0.56          0.00         0.00           0.00
  
  Total         1694446.72          0.00         0.00           0.00
  
               Ending                   Actual
  Class        Unpaid      Interest     Distribution
               Interest    Loss         of Interest
  
  IA-1                 0.00         0.00   494,342.00
  IA-2                 0.00         0.00   128,860.35
  IA-3                 0.00         0.00   371,758.33
  IA-4                 0.00         0.00    58,584.17
  IA-5                 0.00         0.00   203,843.69
  IA-6                 0.00         0.00    77,212.32
  IA-X                 0.00         0.00    39,431.57
  IIA-1                0.00         0.00   248,357.57
  IIA-X                0.00         0.00     9,903.49
  IIA-P                0.00         0.00         0.00
  M                    0.00         0.00    30,279.50
  B-1                  0.00         0.00    12,749.27
  B-2                  0.00         0.00     6,374.63
  B-3                  0.00         0.00     6,374.63
  B-4                  0.00         0.00     3,187.32
  B-5                  0.00         0.00     3,187.32
  R (Component         0.00         0.00         0.56
  
  Total                0.00         0.00 1,694,446.72
  
  
               Advances
                                  Prior Outstanding
               Principal   Interest
  
    Servicer           0.00         0.00
    Trustee:           0.00         0.00
   Fiscal Agent        0.00         0.00
  
                       0.00         0.00
  
                                 Current Period
               Principal   Interest
  
    Servicer           0.00         0.00
    Trustee:           0.00         0.00
   Fiscal Agent        0.00         0.00
  
                       0.00         0.00
  
  
                                       Recovered
               Principal   Interest
  
    Servicer           0.00         0.00
    Trustee:           0.00         0.00
   Fiscal Agent        0.00         0.00
  
                       0.00         0.00
  
                                     Outstanding
               Principal   Interest
  
    Servicer           0.00         0.00
    Trustee:           0.00         0.00
   Fiscal Agent        0.00         0.00
  
                       0.00         0.00
  
  
  Other Related Information
  
                           Summary of REO Properties
  #            Property                 Principal
               Name        Date of REO  Balance      Book Value
              1           0
              2           0
              3           0
              4           0
              5           0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
  
  
               Property    Date of FinalAmount       Aggregate Other
  #            Name        Recovery     of Proceeds  Rev. Collected
              1           0
              2           0
              3           0
              4           0
              5           0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
  
  
               Summary of Repurchased, Liquidated or Disposed Loans
  
               Property                 Principal
  #            Name        Loan Number  Balance      Book Value
  
              1           0
              2           0
              3           0
              4           0
              5           0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
  
  
               Property    Date of FinalAmount       Aggregate Other
  #            Name        Liquidation  of Proceeds  Rev. Collected
  
              1           0
              2           0
              3           0
              4           0
              5           0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
              0           00            0            0
  
  
  
  
  Asset Backed Facts - Pool Total
  
  Distribution Delinq 1 Month           Delinq 2 Months
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution Delinq 3+  Months        Foreclosure/Bankruptcy
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution REO                      Modifications
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution Prepayments              Curr Weighted Avg.
  Date         #           Balance      Coupon       Remit
       04/27/98          0            0       7.3946%        7.1321%
                      0.00%            0
  
  
  Asset Backed Facts - Group 1 Total
  
  Distribution Delinq 1 Month           Delinq 2 Months
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution Delinq 3+  Months        Foreclosure/Bankruptcy
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution REO                      Modifications
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution Prepayments              Curr Weighted Avg.
  Date         #           Balance      Coupon       Remit
       04/27/98           0            0      7.4817%        7.2192%
                      0.00%        0.00%
  
  Asset Backed Facts - Group 2 Total
  
  Distribution Delinq 1 Month           Delinq 2 Months
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
  Distribution Delinq 3+  Months        Foreclosure/Bankruptcy
  Date         #           Balance      #            Balance
       04/27/98           0            0            0              0
                      0.00%        0.00%        0.00%          0.00%
  
Distribution REO                      Modifications
Date         #           Balance      #            Balance
     04/27/98           0            0            0              0
                    0.00%        0.00%        0.00%          0.00%

Distribution Prepayments              Curr Weighted Avg.
Date         #           Balance      Coupon       Remit
     04/27/98          0             0      6.9647%        6.7022%
                    0.00%        0.00%        0.00%          0.00%
_


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