SOUTHERN PACIFIC SECURED ASSETS CORP
8-K, 1997-12-02
ASSET-BACKED SECURITIES
Previous: TELTREND INC, 8-K/A, 1997-12-02
Next: INTEGRATED MEASUREMENT SYSTEMS INC /OR/, S-8, 1997-12-02



                                  UNITED STATES
                       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): November 25, 1997

                  Southern Pacific Secured Assets Corporation,
   Mortgage Loan Asset-Backed Pass-Through Certificates, Series 1996-04 Trust
             (Exact name of registrant as specified in its charter)


New York (governing law of Pooling
and Servicing Agreement)                333-15473-01         52-2011594
(State or other jurisdiction of         (Commission          (I.R.S. Employer
incorporation or organization)          File Number)         Identification No.)



c/o Norwest Bank Minnesota, N.A.
11000 Broken Land Parkway
Columbia,  Maryland                         21044
(Address of principal executive offices)    (Zip Code)

Registrant's telephone number, including area code:  (410) 884-2000


ITEM 5.  Other Events

On November 25, 1997, a distribution  was made to  holders of  Southern  Pacific
Secured   Assets   Corporation,    Mortgage   Loan   Asset-Backed   Pass-Through
Certificates, Series 1996-04 Trust.

ITEM 7.  Financial Statements and Exhibits

         (c)  Exhibits

              Item 601(a) of
              Regulation S-K
              Exhibit Number            Description

              EX-99.1     --  Monthly   report   distributed   to   holders   of
                              Mortgage    Loan     Asset-Backed     Pass-Through
                              Certificates,  Series 1996-04  Trust,  relating to
                              the November 25, 1997, distribution



                                   SIGNATURES

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

                  Southern Pacific Secured Assets Corporation,
   Mortgage Loan Asset-Backed Pass-Through Certificates, Series 1996-04 Trust
                                  (Registrant)

                                By:  Norwest Bank of  Minnesota,  N.A.
                                     as Trustee
                                By:  /s/Sherri J. Sharps
                              Name:  Sherri J. Sharps
                             Title:  Vice President
                              Date:  December 1, 1997


                                INDEX TO EXHIBITS


Exhibit Number                                                Description

EX-99.1   -  Monthly   report   distributed   to  holders   of   Mortgage   Loan
             Asset-Backed  Pass-Through  Certificates,   Series  1996-04  Trust,
             relating to the November 25, 1997, distribution




Southern Pacific Secured Assets Corporation, Series 1996-04

Norwest Bank Minnesota, N.A.
Securities Administration Services
11000 Broken Land Parkway
Columbia, MD 21044-7800



 Reporting   Month:         October 1997
 Distribution Date:     November 25, 1997



Contact:                             Ty Wilkins
Phone:                           (410) 884-2120
InvestorDirect:                  (800) 605-4167



                                        Cover Page

Report Name                                                      Report Number
- ------------------------------------------------------------------------------

Series Structure Summary                                               1

Class Distribution Summary                                             2

Class Distribution Per 1,000 of Original Balance                       3

Class Principal Distribution                                           4

Class Interest Distribution                                            5

Fund Account Summary                                                   6

Collateral Summary                                                     8


<TABLE>
<CAPTION>




                                                               Series Structure Summary

                                                                                   Aggregate
                                                                                    Realized
                                                                                      Losses
                                                          Original                 Principal Aggregate      Aggregate         Ending
         Class                           Interest        Principal   Pass Through    Balance  Interest  Undistributed      Principal
Class    Description    Principal Type   Type              Balance   Rate          Reduction Shortfall      Principal         Factor
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                 <C>               <C>               <C>       <C>            <C>    <C>         
A-1      Senior         Pass Through     Variable   190,000,000.00    5.87125000%       0.00      0.00           0.00   0.7673071621
A-2      Senior         Pass Through     Fixed       50,000,000.00    6.80000000%       0.00      0.00           0.00   0.8200602224
I S      Subordinate    Support          Accretion            0.00    5.04624537%  16,405.86      0.00           0.00
II S     Subordinate    Support          Notional             0.00    4.52109894%  22,065.99      0.00           0.00
R        Residual       Residual         Residual             0.00    0.00000000%       0.00      0.00           0.00   0.0000000000
- ------------------------------------------------------------------------------------------------------------------------------------
Totals                                              240,000,000.00                 38,471.85      0.00           0.00   0.8098048503

</TABLE>
<TABLE>
<CAPTION>






                                                         Class Distribution Summary

                                           Beginning                                     Principal          Ending
                        Pass Through       Principal Total Interest  Total Principal       Balance       Principal          Total
Class      Record Date          Rate         Balance   Distribution     Distribution     Reduction         Balance   Distribution
- ---------------------------------------------------------------------------------------------------------------------------------
<S>        <C>           <C>          <C>                <C>            <C>                   <C>   <C>              <C>         
A-1        10/31/1997    5.87125000%  150,388,365.66     711,279.53     4,600,004.86          0.00  145,788,360.80   5,311,284.39
A-2        10/31/1997    6.80000000%   42,345,908.74     239,960.15     1,342,897.62          0.00   41,003,011.12   1,582,857.77
I S        10/31/1997    5.04624537%    5,653,473.05           0.00             0.00     16,405.86    6,271,382.10           0.00
II S       10/31/1997    4.52109894%    1,126,425.68           0.00             0.00  (163,984.36)    1,290,410.04           0.00
R          10/31/1997    0.00000000%            0.00           0.00             0.00          0.00            0.00           0.00
- ---------------------------------------------------------------------------------------------------------------------------------
Totals                                199,514,173.13     951,239.68     5,942,902.48  (147,578.50)  194,353,164.06   6,894,142.16

</TABLE>
<TABLE>
<CAPTION>





                                          Class Distribution Per 1,000 of Original Balance

                                                                        Total Other
                                     Total Interest       Scheduled       Principal Total Principal       Principal          Ending
                                       Distribution       Principal    Distribution    Distribution         Balance       Principal
Class    Cusip     Original Balance          Factor          Factor          Factor          Factor       Reduction          Factor
- -----------------------------------------------------------------------------------------------------------------------------------
<S>      <C>         <C>                 <C>             <C>            <C>             <C>              <C>           <C>         
A-1      843590AY6   190,000,000.00      3.74357647      0.33889116     20.53316121     24.21055189      0.00000000    0.7673071621
A-2      843590AZ3    50,000,000.00      4.79920300      0.57379360     23.00447160     26.85795240      0.00000000    0.8200602224
I S      N/A                   0.00            N/A             N/A             N/A             N/A             N/A             N/A
II S     N/A                   0.00            N/A             N/A             N/A             N/A             N/A             N/A
R        N/A                   0.00            N/A             N/A             N/A             N/A             N/A             N/A
- -----------------------------------------------------------------------------------------------------------------------------------
Totals               240,000,000.00                                                                                    0.8098048503
</TABLE>
<TABLE>
<CAPTION>







                                                            Class Principal Distribution

            Beginning                                                                       Principal           Ending       Current
            Principal  Scheduled    Unscheduled                    Other  Total Principal     Balance        Principal Undistributed
Class         Balance  Principal      Principal     Accretion  Principal     Distribution  Reduction*          Balance     Principal
- ------------------------------------------------------------------------------------------------------------------------------------
<S>    <C>             <C>         <C>             <C>              <C>      <C>                 <C>    <C>                     <C> 
A-1    150,388,365.66  64,389.32   3,901,300.63    634,314.91       0.00     4,600,004.86        0.00   145,788,360.80          0.00
A-2     42,345,908.74  28,689.68   1,150,223.58    163,984.36       0.00     1,342,897.62        0.00    41,003,011.12          0.00
I S      5,653,473.05       0.00           0.00  (634,314.91)       0.00             0.00   16,405.86     6,271,382.10          0.00
II S     1,126,425.68       0.00           0.00          0.00       0.00             0.00 (163,984.36)    1,290,410.04          0.00
R                0.00       0.00           0.00          0.00       0.00             0.00        0.00             0.00          0.00
- ------------------------------------------------------------------------------------------------------------------------------------
Totals 199,514,173.13  93,079.00   5,051,524.21    163,984.36       0.00     5,942,902.48 (147,578.50)  194,353,164.06          0.00

<FN>


*Principal Balance Reduction

Realized Losses Principal Balance Reduction                         (147,578.50)
Negative Amortization Principal Balance Reduction                          0.00
Other                                                                      0.00
</FN>
</TABLE>
<TABLE>
<CAPTION>





                                                             Class Interest Distribution

                            Beginning                                                      Negative                           Ending
                           Principal/                  Interest                        Amortization                       Principal/
        Pass Through         Notional      Interest  Shortfall/                 Other      Interest   Total Interest        Notional
Class   Rate                  Balance       Accrual  (Recovery)   Accretion  Interest     Reduction     Distribution         Balance
- ------------------------------------------------------------------------------------------------------------------------------------
<S>      <C>           <C>               <C>               <C>         <C>       <C>           <C>        <C>         <C>           
A-1      5.87125000%   150,388,365.66    711,279.53        0.00        0.00      0.00          0.00       711,279.53  145,788,360.80
A-2      6.80000000%    42,345,908.74    239,960.15        0.00        0.00      0.00          0.00       239,960.15   41,003,011.12
I S      5.04624537%   156,041,838.72    634,314.91        0.00  634,314.91      0.00          0.00             0.00  152,059,742.91
II S     4.52109894%    43,519,347.80    163,962.73  163,962.73        0.00      0.00          0.00             0.00   42,340,434.54
R        0.00000000%             0.00          0.00        0.00        0.00      0.00          0.00             0.00            0.00
- ------------------------------------------------------------------------------------------------------------------------------------
Totals                                 1,749,517.32  163,962.73  634,314.91      0.00          0.00       951,239.68

<FN>

Notes:
The current Accrual Period for Class A-1 Certificates is 28 days.

</FN>
</TABLE>
<TABLE>
<CAPTION>






                                                                     Fund Account Summary



Proceeds Account
<S>                                                                        <C> 
Beginning Balance                                                          0.00

DEPOSITS:                                                                                   
Interest Net of Servicing Fee                                      1,774,878.00                                    
Scheduled Principal                                                   93,079.00                                    
Other Principal                                                    5,067,930.07                                    
Negative Amortization                                                      0.00                                    
Deposits from Reserve Fund                                                 0.00                                    
Gain/Loss Adjustment                                                 (16,405.86)                                    
Other Deposits                                                             0.00

Total Deposit                                                      6,919,481.21                

                                                                                            


WITHDRAWALS:                                                                   
Interest Payments                                                    951,239.68                    
Scheduled Principal Payment                                           93,079.00                    
Other Principal Payments                                           5,849,823.48                    
Reserve Fund 1                                                             0.00                    
Fees and Expenses                                                     25,339.05                    
Other Withdrawals                                                          0.00                    
                                                                               
                                                                               
Total Withdrawals                                                  6,919,481.21
                                                                               
Ending Balance                                                             0.00
                                                                               
</TABLE>
<TABLE>
<CAPTION>



                                                          Collateral Summary

                                                              Total|              Pool 1               Pool 2
                                              --------------------------------------------------------------------------------
<S>                                                    <C>                  <C>                    <C>       
Monthly P&I Constant                                   1,951,352.28|        1,494,775.01           456,577.27
                                                                   |
Positive Amortization                                     93,079.00|           64,389.32            28,689.68
Negative Amortization                                          0.00|                0.00                 0.00
Regular Curtailments                                       5,191.24|            2,305.07             2,886.17
Regular Curtailment Interest                                   0.00|                0.00                 0.00
Prepaid Curtailments                                           0.00|                0.00                 0.00
Prepaid Curtailment Interest                                   0.00|                0.00                 0.00
Liquidations                                           5,062,774.07|        3,915,442.75         1,147,331.32
Principal Adjustments                                       (35.24)|             (41.33)                 6.09
   Total Principal Trust Distribution                  5,161,009.07|        3,982,095.81         1,178,913.26
                                                                   |
Scheduled Interest                                     1,858,273.28|        1,430,385.69           427,887.59
Servicing Fee                                             83,150.50|           65,017.44            18,133.06
Master Servicing Fee                                       1,247.26|              975.26               272.00
Spread                                                         0.00|                0.00                 0.00
     Total Pass-Through Interest                       1,749,783.73|        1,345,594.44           404,189.29
                                                                   |
Beginning Balance                                    199,561,186.52|      156,041,838.72        43,519,347.80
Ending Balance                                       194,400,177.45|      152,059,742.91        42,340,434.54
Gross P&I Distribution                                 6,936,131.85|        5,347,464.06         1,588,667.79
Realized Losses/(Gains)                                   16,405.86|           16,405.86                 0.00
Net P&I Trust Distribution                             6,919,725.99|        5,331,058.20         1,588,667.79
                                                                   |
Beginning Loan Count                                           1959|                1330                  629
Number of Loan Payoffs                                           61|                  47                   14
Ending Loan Count                                              1898|                1283                  615
                                                                   |
Weighted Average Maturity                            294.2500000000|      291.3700000000       304.5900000000
Weighted Average Gross Rate                           11.176789590%|       11.379327591%        11.798547860%
Weighted Average Net Rate                             10.676671740%|       10.862086158%        11.298547900%
Weighted Average Pass-Through Rate                    10.524267230%|       10.704777070%        11.145092290%
Weighted Average Margin                                0.000000000%|        0.000000000%         0.000000000%
                                                                   |
Advances on Delinquencies                                          |
  Current Period Principal                                     0.00|                0.00                 0.00
  Current Period Interest                                      0.00|                0.00                 0.00


<FN>
                                                                                                                         

Notes:
Total  Pass-Through  Interest = Scheduled  Interest less Servicing Fee,  Trustee
Fee, & MBIA Premium.

</FN>
</TABLE>
<TABLE>
<CAPTION>



                                                                                                                             



                                                DELINQUENCY REPORT
                                                    SO-PAC 96-4
                                            INVESTOR 338 - OCTOBER 1997


Deliquency Report ARM Pool- 1 & 3
                  Less Than                                                          30 Day +       Total Outstanding
                  30 Days    30-59 Days    60-89 Days    90+ Days       Totals       Delq Totals    Actual UPB @
Excluding BK, FC, REO                                                                               Month-End

<S>                           <C>           <C>             <C>                      <C>            <C>        
UPB - $      Not reported     4,645,085     1,743,577       753,678                  7,142,341      152,179,583
% - $                             3.05%         1.15%         0.50%                      4.69%

Loans-#      Not reported            46            17             6                         69            1,284
% - #                             3.58%         1.32%         0.47%                      5.37%

BK - $ Only       201,291       132,529             0     1,925,286     2,259,106
% - $               0.13%         0.09%         0.00%         1.27%         1.48%
BK - # Only             2             1             0            13            16
%-#                 0.16%         0.08%         0.00%         1.01%         1.25%



F/C - $ Only          -            -       362,359.32    13,966,797    14,329,156
% - $               0.00%         0.00%         0.24%         9.18%         9.42%
F/C - # Only            0             0             2            73            75
% - #               0.00%         0.00%         0.16%         5.69%         5.84%
                                          


REO - $ Only          -             -             -       1,207,360     1,207,360
% - $               0.00%         0.00%         0.00%         0.79%         0.79%
REO - # Only            0             0             0            13            13
% - #               0.00%         0.00%         0.00%         1.01%         1.01%



</TABLE>
<TABLE>
<CAPTION>


Deliquency Report Fixed Pool - 2 & 4
                    Less Than                                                        30 DAY +      Total Outstanding
                    30 Days  30-59 Days    60-89 Days      90+ Days        Totals    Delq Totals   Actual UPB @
                                                                                                   Month-End
Excluding BK, FC, REO



<S>                           <C>           <C>           <C>                        <C>            <C>       
UPB - $      Not reported     1,217,177     309,303       219,010                    1,745,490      42,379,676
% - $                             2.87%       0.73%         0.52%                        4.12%                
                                                                                                              
Loans-#      Not reported            16           5             3                          24              615          
% - #                             2.60%       0.81%         0.49%                       3.90%             
                                                                                                    
BK - $ Only       346,789        45,421           0       520,144         912,355
% - $               0.82%         0.11%       0.00%         1.23%           2.15%
BK - # Only             7             1           0             6              14
% - #               1.14%         0.16%       0.00%         0.98%           2.28%

F/C - $ Only            -             -        -        1,514,540       1,514,540
% - $               0.00%         0.00%       0.00%         3.57%           3.57%
F/C - # Only            0             0           0            16              16
% - #               0.00%         0.00%       0.00%         2.60%           2.60%

REO - $ Only          -             -          -          280,341         280,341     
% - $               0.00%       0.00%         0.00%         0.66%           0.66% 
REO - # Only            0           0             0             4               4 
% - #               0.00%       0.00%         0.00%         0.65%           0.65% 
                                                        
 
</TABLE>
<TABLE>
<CAPTION>





                            CREDIT ENHANCEMENT SUPPLEMENT                                                                      
                                                                                                                             

ORIGINAL AGENCY RATINGS

S&P / DCR                MOODY'S                               CLASSES
- --------------------------------------------------------------------------------
<S>                                                              <C> <C>
AAA                      Aaa                                   A-1,A-2
Not Rated                Not Rated                             I-S, II-S, R

</TABLE>
<TABLE>
<CAPTION>




SUBORDINATION
                                                                 CURRENT      CURRENT     CURRENT
                                                                  PERIOD       PERIOD        POOL
                                           INITIAL COVERAGE    ADDITIONS       LOSSES     BALANCE        CURRENT COVERAGE
                                          -----------------                                          ----------------------
       TYPE        POOL  CARRIER/HOLDER    %         ($MM)         ($MM)        ($MM)       ($MM)         %         ($MM)      NOTES
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                  <C>                 <C>         <C>         <C>          <C>        <C>            <C>       <C>              
Group I Sub. Amt.    1       N/A         0.00%       0.0000      0.634315     0.016406   152.059743     4.14%     6.287788      N/A
Group II Sub. Amt.   2       N/A         0.00%       0.0000      0.163984     0.000000    42.340435     3.16%     1.337423      N/A


</TABLE>
<TABLE>
<CAPTION>





ADDITIONAL SUBORDINATED AMOUNT INFORMATION
<S>                                                                <C>          
Group I Required Subordination Amount                              14,047,231.54

Group I Subordinated Amount(beginning)                              5,653,473.05
Group I Subordination Increase Amount                                 634,314.91
GROUP I SUBORDINATED AMOUNT(ending)                                 6,287,787.96

Group II Required Subordination Amount                              1,550,128.84

Group II Subordinated Amount(beginning)                             1,173,439.06
Group II Subordination Increase Amount                                163,984.36
GROUP II SUBORDINATED AMOUNT(ending)                                1,337,423.42



ADDITIONAL CREDIT INFORMATION
Group I Net Monthly Excess Cashflow                                   634,314.91           
Group II Net Monthly Excess Cashflow                                  163,984.36           
Group I Four Largest Loan Balances                                  2,816,545.33           
Group II Four Largest Loan Balances                                 1,577,552.61           
Group I  Overcollateralization  Amount                                      0.00
Group II Overcollateralization   Amount                                47,013.39
Insured Payments                                                            0.00 
Substitution Amount                                                         0.00
Loan Purchase Price                                                         0.00
Group I Pre-Funding Account Balance                                         0.00
Group II Pre-Funding Account Balance                                        0.00
Group I Interest Coverage Account Balance                                   0.00  
Group II Interest Coverage Account Balance                                  0.00  
Group I Interest Coverage  Addition                                         0.00 
Group II Interest Coverage  Addition                                        0.00  
Group I Class A  Available Funds Cap Carry-Forward Amount                   0.00  
Group I Subsequent Mortage  Loans  Added                        0           0.00  
Group II Subsequent Mortage Loans Added                         0           0.00




Group I Servicer Non Advance Amount                                         0.00 
Group II Servicer Non Advance Amount                                      244.78 
Group I Cumulative Non Advance Amt                                          0.00 
Group II Cumulative Non Advance Amt                                       988.02 




<FN>

PLEASE SEE THE PROSPECTUS AND PROSPECTUS  SUPPLEMENT  FOR DETAILED  DESCRIPTIONS
OF THE CREDIT ENHANCEMENTS.

</FN>
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission