RESIDENTIAL FUNDING MORTGAGE SECURITIES II INC
8-K, 1998-09-15
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)
                                 August 25, 1998


                RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
                          (Exact name of the registrant
                          as specified in its charter)



Delaware            333-28025             41-1808858

(State or other    (Commission            (I.R.S. Employee
jurisdiction of   File No.)               Identification No.)
Incorporation)


8400 Normandale Lake Boulevard                  55437
Minneapolis, Minnesota
(Address of Principal                           (Zip Code)
 Executive Offices)

Registrant's telephone number, including area code
(612) 832-7000

- -------------------------------------------------------


Item 5.  Other Events

See the respective monthly reports, each reflecting the required information for


<PAGE>



the August  1998  distribution  to holders  of the  following  series of Conduit
Mortgage Pass-Through Certificates.


Master Serviced by Residential Funding Corporation

1996-HS1 RFM2 1996-HS2  RFM2 1996-HS3 RFM2 1995-1 RFM2  1996-RHS4  RFM2 1997-HI1
RFM2 1997-HS2 RFM2  1997-HI3 RFM2  1997-GMACM4  RFM2 1997-HS5 RFM2 1998-HS1 RFM2
1998-HI2 RFM2 ->

Item 7. Financial Statements and Exhibits (a) See attached monthly reports.
 .
























<PAGE>





                                   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.


RESIDENTIAL FUNDING MORTGAGE
SECURITIES II, INC.

By:     /s/Davee Olson
Name:   Davee Olson
Title: Chief Financial Officer
Dated  August 25, 1998































<PAGE>



                                   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.


RESIDENTIAL FUNDING MORTGAGE
SECURITIES II, INC.

By:
Name:  Davee Olson
Title:   Chief Financial Officer
Dated: August 25, 1998





<PAGE>




Run:         08/13/98                                               REPT1HC.FRG
             10:18:39

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1995-1     (ISSUER)
                  SERIES 1995-1


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 128,078,000.00     2,324,779.85        304,442.04
525180AF2                   59,357,077.24        18.151282          2.377005

                                  5.95625             0.00     57,032,297.39
                                                  0.000000        445.293473


CERTIFICATES                 6,740,000.00       122,339.64         16,424.48
525180AG0                    3,123,617.67        18.151282          2.436866

                                  6.10625             0.00      3,001,278.03
                                                  0.000000        445.293476


VARIABLE FUNDING NOTES               0.00             0.00              0.00


                                  5.95625             0.00              0.00


- -----------------------------------------------------------------------------
                           134,818,000.00     2,447,119.49        320,866.52
                            62,480,694.91             0.00     60,033,575.42

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                   547,096.43
SECURITY PRINCIPAL COLLECTIONS:                2,422,756.09


AGGREGATE SECURITY COLLECTIONS:                2,969,852.52


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------
FIDELITY LOANS:            18,928,989.26      9.8568
GMACMC LOANS:              19,688,626.01      9.5484

GOAL LINE LOANS:           23,438,239.12     10.1605

TOTAL LOANS:               62,055,854.39      9.8774




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:             24,363.40      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                5.037 %
RESIDUAL OWNERSHIP
INTEREST:                     196,055.67



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500

























Run:         08/13/98                                               REPT2H.FRM
             10:22:20

Page:        2


HOME EQUITY LOAN TRUST 1995-1     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
SERIES 1995-1


PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00       95.00066753

CERTIFICATES                                 0.00         0.00        4.99933247

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  32
CURRENT AMOUNT:            2,022,278.97                               852,784.57
TARGET AMOUNT:             2,022,278.97
                                                   60 - 89 DAYS DELINQUENT   9
                                                                      348,140.75
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 11
                                                                      217,079.96
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT   31
YET REIMBURSED:                    0.00                             1,149,630.72

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:              636,900.13


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500










 ................................................................................




Run:         08/14/98                                               REPT1HC.FRG
             15:45:35

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1996-HS1     (ISSUER)
           RFMSII SERIES 1996-HS1


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 162,077,000.00     3,845,527.38        429,309.90
76110VAA6                   84,697,971.77        23.726546          2.648802

                                  5.88625             0.00     80,852,444.39
                                                  0.000000        498.852054


VARIABLE FUNDING NOTES               0.00             0.00              0.00


                                  5.88625             0.00              0.00


CERTIFICATES                14,092,938.00       334,376.74         38,090.42
76110VAB4                    7,364,667.79        23.726546          2.702802

                                  6.00625             0.00      7,030,291.05
                                                  0.000000        498.852053


VARIABLE FUNDING CERT                0.00             0.00              0.00
76110VAB4

                                  6.00625             0.00              0.00


- -----------------------------------------------------------------------------
                           176,169,938.00     4,179,904.12        467,400.32
                            92,062,639.56             0.00     87,882,735.44

=============================================================================




 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                   823,604.03
SECURITY PRINCIPAL COLLECTIONS:                4,078,625.12
AGGREGATE SECURITY COLLECTIONS:                4,902,229.15


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:               90,525,323.26     10.3410




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:            101,566.15      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                2.873 %
RESIDUAL OWNERSHIP
INTEREST:                     241,595.35



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500






















Run:         08/14/98                                               REPT2H.FRM
             15:47:09

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1996-HS1     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
1996-HS1 LLC (LIMITED LIABILITY COMPANY)


PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00       92.00037298

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

CERTIFICATES                                 0.00         0.00        7.99962702

VARIABLE FUNDING CERT                        0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  65
CURRENT AMOUNT:            2,642,587.82                             1,620,182.44
TARGET AMOUNT:             2,642,561.52
                                                   60 - 89 DAYS DELINQUENT  19
                                                                      316,195.69
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 28
                                                                      637,421.63
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT   45
YET REIMBURSED:                    0.00                             1,274,517.85

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:              925,978.27


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500








 ................................................................................


Run:        08/31/98     15:34:40                                    REPT1B.FRG
Page:         1 of 2
               RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
           RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC. (COMPANY)
    HOME EQUITY LOAN PASS-THROUGH CERTIFICATES SERIES 1996-HS2(POOL # 50025)
STATEMENT TO CERTIFICATEHOLDERS

DISTRIBUTION SUMMARY FOR POOL#   50025
- -------------------------------------------------------------------------------
                                       PRINCIPAL       CURRENT
                     ORIGINAL       BALANCE BEFORE   PASS-THROUGH    PRINCIPAL
CLASS   CUSIP       FACE VALUE       DISTRIBUTION       RATE       DISTRIBUTION
- -------------------------------------------------------------------------------
A-1     76110VAC2    74,000,000.00           0.00     6.950000  %          0.00
A-2     76110VAD0    15,000,000.00           0.00     6.950000  %          0.00
A-3     76110VAE8    41,000,000.00  25,363,173.93     7.200000  %  5,909,739.18
A-4     76110VAF5    26,500,000.00  26,500,000.00     7.550000  %          0.00
A-5     76110VAG3     9,374,000.00   9,374,000.00     7.850000  %          0.00
A-6     76110VAH1    12,341,000.00  12,341,000.00     7.950000  %          0.00
A-L     76110VAK4    20,152,179.00  20,152,179.00     7.600000  %          0.00
IO      76110VAJ7             0.00           0.00     1.700000  %          0.00
R-I                           0.00           0.00     0.000000  %          0.00
R-II                          0.00   5,653,464.61     0.000000  %          0.00

- -------------------------------------------------------------------------------
                  198,367,179.00    99,383,817.54                  5,909,739.18
===============================================================================
- -------------------------------------------------------------------------------
                                                                       REMAINING
            INTEREST         TOTAL         DEFERRED    REALIZED       PRINCIPAL
           DISTRIBUTION   DISTRIBUTION     INTEREST     LOSSES         BALANCE
- -------------------------------------------------------------------------------
A-1             0.00          0.00            0.00       0.00              0.00
A-2             0.00          0.00            0.00       0.00              0.00
A-3       152,179.04  6,061,918.22            0.00       0.00     19,453,434.75
A-4       166,729.17    166,729.17            0.00       0.00     26,500,000.00
A-5        61,321.58     61,321.58            0.00       0.00      9,374,000.00
A-6        81,759.13     81,759.13            0.00       0.00     12,341,000.00
A-L       127,630.47    127,630.47            0.00       0.00     20,152,179.00
IO         45,881.81     45,881.81            0.00       0.00              0.00
R-I             0.00          0.00            0.00       0.00              0.00
R-II      157,153.26    157,153.26            0.00       0.00      5,653,464.61

- -------------------------------------------------------------------------------
          792,654.46  6,702,393.64            0.00       0.00     93,474,078.36
===============================================================================
- -------------------------------------------------------------------------------



AMOUNTS PER $1,000 UNIT
- -------------------------------------------------------------------------------
       BEGINNING                                                        ENDING
       BALANCE    PRINCIPAL     INTEREST      TOTAL      DEFERRED       BALANCE
CLASS  FACTOR     FACTOR        FACTOR     DISTRIBUTION  INTEREST       FACTOR
- -------------------------------------------------------------------------------
A-1       0.000000    0.000000     0.000000     0.000000   0.000000    0.000000
A-2       0.000000    0.000000     0.000000     0.000000   0.000000    0.000000
A-3     618.613998  144.139980     3.711684   147.851664   0.000000  474.474018
A-4    1000.000000    0.000000     6.291667     6.291667   0.000000 1000.000000
A-5    1000.000000    0.000000     6.541666     6.541666   0.000000 1000.000000
A-6    1000.000000    0.000000     6.625000     6.625000   0.000000 1000.000000
A-L    1000.000000    0.000000     6.333333     6.333333   0.000000 1000.000000
IO        0.000000    0.000000     0.000000     0.000000   0.000000    0.000000
R-I       0.000000    0.000000     0.000000     0.000000   0.000000    0.000000
R-II      0.000000    0.000000     0.000000     0.000000   0.000000    0.000000

- -------------------------------------------------------------------------------


DETERMINATION DATE       20-August-98
DISTRIBUTION DATE        25-August-98

Run:     08/31/98     15:34:41                                        rept2.frg
Page:      2 of 2
               RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
           RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC. (COMPANY)
       HOME EQUITY LOAN PASS-THROUGH CERTIFICATES 1996-HS2 (POOL # ****)
                    STATEMENT TO CERTIFICATEHOLDERS
              ADDITIONAL RELATED INFORMATION FOR POOL 50025
- -------------------------------------------------------------------------------

SERVICING COMPENSATION RECEIVED BY SUB-SERVICER                       42,425.99
SERVICING COMPENSATION RECEIVED BY MASTER SERVICER                     6,788.24

SUBSERVICER ADVANCES THIS MONTH                                            0.00
MASTER SERVICER ADVANCES THIS MONTH                                        0.00


                                                          NUMBER OF   PRINCIPAL
DELINQUENCIES:                                              LOANS      BALANCE

 (A)  ONE MONTHLY PAYMENT:                                   114   3,467,844.05

 (B)  TWO MONTHLY PAYMENTS:                                    4     112,928.83

 (C)  THREE OR MORE MONTHLY PAYMENTS:                         28     836,944.52


FORECLOSURES
  NUMBER OF LOANS                                                             0
  AGGREGATE PRINCIPAL BALANCE                                              0.00

SCHEDULED PRINCIPAL BALANCE OF MORTGAGE LOANS AFTER
DISTRIBUTION                                                      93,474,078.36

AGGREGATE NUMBER OF LOANS IN THE POOL AS OF THE
DETERMINATION DATE                                                        3,173

NUMBER OF REO LOANS ACQUIRED
INCLUDING ANY PENDING CASH LIQUIDATIONS                                       0

BOOK VALUE OF REAL ESTATE ACQUIRED THROUGH
FORECLOSURE OR GRANT OF A DEED IN LIEU OF
FORECLOSURE, INCLUDING ANY PENDING CASH LIQUIDATIONS                       0.00

REMAINING SUBCLASS INTEREST SHORTFALL                                      0.00

CLASS A SHORTFALL (PRINCIPAL)                                              0.00
CLASS A SHORTFALL (INTEREST)                                               0.00

TOTAL PREPAYMENTS INCLUDED IN THIS DISTRIBUTION                    5,109,652.04

TOTAL REPURCHASES INCLUDED IN THIS DISTRIBUTION                            0.00

DISTRIBUTION PERCENTAGES:
                                               SENIOR          SUBORDINATE
PERCENTAGE FOR CURRENT DISTRIBUTION           0.00000000 %     5.68851630 %
CURRENT PREPAYMENT PERCENTAGE               100.00000000 %     0.00000000 %
PERCENTAGE FOR NEXT DISTRIBUTION             93.95183700 %     6.04816300 %

CLASS IO   - STRIP PASS-THROUGH FOR NEXT DISTRIBUTION                  0.0000 %

      BANKRUPTCY AMOUNT AVAILABLE                               0.00
      FRAUD AMOUNT AVAILABLE                                    0.00
      SPECIAL HAZARD AMOUNT AVAILABLE                           0.00

ENDING GROSS WEIGHTED AVERAGE INTEREST RATE                          0.00000000
ENDING WEIGHTED AVERAGE MATURITY, IN MONTHS                                0.00

POOL TRADING FACTOR:                                                47.12174596

 ................................................................................




Run:         08/13/98                                               REPT1HC.FRG
             10:30:35

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1996-HS3     (ISSUER)
           RFMSII SERIES 1996-HS3


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 247,244,000.00     7,000,883.67        623,895.63
43707QAC2                  123,507,173.78        28.315687          2.523400

                                  5.86625             0.00    116,506,290.11
                                                  0.000000        471.219888


VARIABLE FUNDING NOTES               0.00             0.00              0.00


                                  5.86625             0.00              0.00


CERTIFICATES                21,499,396.00       608,770.16         56,008.72
43707QAD0                   10,739,713.16        28.315687          2.605130

                                  6.05625             0.00     10,130,943.00
                                                  0.000000        471.219889


VARIABLE FUNDING CERT                0.00             0.00              0.00


                                  6.05625             0.00              0.00


- -----------------------------------------------------------------------------
                           268,743,396.00     7,609,653.83        679,904.35
                           134,246,886.94             0.00    126,637,233.11

=============================================================================




 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 1,239,995.53
SECURITY PRINCIPAL COLLECTIONS:                7,609,653.83
AGGREGATE SECURITY COLLECTIONS:                8,849,649.36


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              132,012,101.03     10.3672




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:                  0.00      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.439 %
RESIDUAL OWNERSHIP
INTEREST:                     538,835.42



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500






















Run:         08/13/98                                               REPT2H.FRM
             10:32:15

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1996-HS3     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
1996-HS3 LLC (LIMITED LIABILITY COMPANY)


PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00       92.00002815

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

CERTIFICATES                                 0.00         0.00        7.99997185

VARIABLE FUNDING CERT                        0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  98
CURRENT AMOUNT:            5,374,867.92                             2,253,053.24
TARGET AMOUNT:             5,374,867.92
                                                   60 - 89 DAYS DELINQUENT  18
                                                                      463,409.05
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 40
                                                                    1,114,235.83
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT   44
YET REIMBURSED:                    0.00                             1,044,262.33

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:            1,329,630.68


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500








 ................................................................................




Run:         08/28/98                                               REPT1HE.FRG
             11:17:18

Page:        1


RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1996-RHS4
GMAC MORTGAGE CORPORATION (MASTER SERVICER)
RESIDENTIAL FUNDING CORPORATION (ADMINISTRATOR)
1996-RHS4    LLC (LIMITED LIABILITY COMPANY)


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 116,693,900.00     3,220,943.52        348,775.26
43707QAE8                   69,518,015.72        27.601644          2.988805

                                  5.82625             0.00     66,297,072.20
                                                  0.000000        568.128002


VARIABLE FUNDING NOTES               0.00             0.00              0.00
                                     0.00         0.000000          0.000000

                                  5.82625             0.00              0.00
                                                  0.000000          0.000000


CERTIFICATES                10,147,353.78       280,083.65         31,525.72
43707QAF5                    6,045,079.47        27.601644          3.106792

                                  6.05625             0.00      5,764,995.82
                                                  0.000000        568.128001


VARIABLE FUNDING CERT                0.00             0.00              0.00
                                     0.00         0.000000          0.000000

                                  6.05625             0.00              0.00
                                                  0.000000          0.000000


- -----------------------------------------------------------------------------


                           126,841,253.78     3,501,027.17        380,300.98
                            75,563,095.19             0.00     72,062,068.02

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                   657,605.31
SECURITY PRINCIPAL COLLECTIONS:                3,478,591.15
AGGREGATE SECURITY COLLECTIONS:                4,136,196.46


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------

                           74,281,789.96      9.8331

TOTAL LOANS:               74,281,789.96      9.6984





AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:             22,436.02      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.154 %
RESIDUAL OWNERSHIP
INTEREST:                     246,997.15



ADMINISTRATOR:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500





















Run:         08/28/98                                               REPT2H.FRM
             11:18:15

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1996-RHS4    (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00       91.99995784

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

CERTIFICATES                                 0.00         0.00        8.00004216

VARIABLE FUNDING CERT                        0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT 200
CURRENT AMOUNT:            2,219,721.94                               654,212.55
TARGET AMOUNT:             2,219,721.94
                                                   60 - 89 DAYS DELINQUENT  50
                                                                      121,949.15
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 30
                                                                      114,448.63
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT  140
YET REIMBURSED:                    0.00                               415,155.13

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:            1,201,806.79


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500








 ................................................................................




Run:         08/19/98                                               REPT1HC.FRG
             18:31:08

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1997-HI1     (ISSUER)
           RFMSII SERIES 1997-HI1


PAYMENT DATE:  08/25/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-1 NOTES                   42,750,000.00     3,372,840.23         27,368.35
437184AA2                    4,879,943.01        78.896847          0.640195

                                  6.73000             0.00      1,507,102.78
                                                  0.000000         35.253866


A-2 NOTES                    7,250,000.00             0.00         40,237.50
437184AB0                    7,250,000.00         0.000000          5.550000

                                  6.66000             0.00      7,250,000.00
                                                  0.000000       1000.000000


A-3 NOTES                   26,500,000.00             0.00        148,841.67
437184AC8                   26,500,000.00         0.000000          5.616667

                                  6.74000             0.00     26,500,000.00
                                                  0.000000       1000.000000


A-4 NOTES                   26,100,000.00             0.00        151,380.00
437184AD6                   26,100,000.00         0.000000          5.800000

                                  6.96000             0.00     26,100,000.00
                                                  0.000000       1000.000000









A-5 NOTES                    9,450,000.00             0.00         57,093.75
437184AE4                    9,450,000.00         0.000000          6.041667

                                  7.25000             0.00      9,450,000.00
                                                  0.000000       1000.000000


A-6 NOTES                   25,000,000.00             0.00        156,041.67
437184AF1                   25,000,000.00         0.000000          6.241667

                                  7.49000             0.00     25,000,000.00
                                                  0.000000       1000.000000


A-7 NOTES                   12,268,000.00             0.00         79,639.77
437184AG9                   12,268,000.00         0.000000          6.491667

                                  7.79000             0.00     12,268,000.00
                                                  0.000000       1000.000000


CERTIFICATES                 5,416,428.36             0.00              0.00
                            12,093,640.35         0.000000          0.000000

                                  0.00000             0.00     12,086,027.12
                                                  0.000000       2232.770296


- -----------------------------------------------------------------------------
                           154,734,428.36     3,372,840.23        660,602.71
                           123,541,583.36             0.00    120,161,129.90

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 1,465,353.91
SECURITY PRINCIPAL COLLECTIONS:                2,568,089.02
AGGREGATE SECURITY COLLECTIONS:                4,033,442.93


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              120,161,129.90     13.0550




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00



AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:            812,364.44      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                6.056 %
RESIDUAL OWNERSHIP
INTEREST:                           0.00



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500















































Run:         08/19/98                                               REPT2H.FRM
             18:32:50

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1997-HI1     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/25/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-1 NOTES                                    0.00         0.00        1.25423486

A-2 NOTES                                    0.00         0.00        6.03356510

A-3 NOTES                                    0.00         0.00       22.05372072

A-4 NOTES                                    0.00         0.00       21.72083437

A-5 NOTES                                    0.00         0.00        7.86444003

A-6 NOTES                                    0.00         0.00       20.80539690

A-7 NOTES                                    0.00         0.00       10.20962437

CERTIFICATES                                 0.00         0.00       10.05818365

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  70
CURRENT AMOUNT:           12,086,027.12                             2,395,518.74
TARGET AMOUNT:            13,926,098.55
                                                   60 - 89 DAYS DELINQUENT  25
                                                                      840,989.31
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 69
                                                                    2,132,572.08
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT    0
YET REIMBURSED:                    0.00                                     0.00

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:                    0.00


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608


(818) 753-3500














































































 ................................................................................




Run:         08/13/98                                               REPT1HC.FRG
             16:52:53

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1997-HS2     (ISSUER)
           RFMSII SERIES 1997-HS2


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 300,402,933.00     8,551,115.87        869,659.21
76110VAP3                  173,788,224.85        28.465487          2.894976

                                  5.81125             0.00    165,237,108.98
                                                  0.000000        550.051583


VARIABLE FUNDING NOTES               0.00             0.00              0.00


                                  5.81125             0.00              0.00


CERTIFICATES                         0.00             0.00        607,513.96


                                  0.00000             0.00              0.00


- -----------------------------------------------------------------------------
                           300,402,933.00     8,551,115.87      1,477,173.17
                           173,788,224.85             0.00    165,237,108.98

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 1,581,453.92
SECURITY PRINCIPAL COLLECTIONS:                8,467,110.41
AGGREGATE SECURITY COLLECTIONS:               10,048,564.33




MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              169,743,152.98     10.4986




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:             84,005.46      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.893 %
RESIDUAL OWNERSHIP
INTEREST:                           0.00



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500





























Run:         08/13/98                                               REPT2H.FRM
             16:54:05

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1997-HS2     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00      100.00000000

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

CERTIFICATES                                 0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  84
CURRENT AMOUNT:            4,506,044.00                             2,080,675.51
TARGET AMOUNT:             4,506,044.00
                                                   60 - 89 DAYS DELINQUENT  16
                                                                      435,925.19
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 31
                                                                      988,581.74
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT   50
YET REIMBURSED:                    0.00                             1,387,604.00

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:            2,296,771.91


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500










 ................................................................................




Run:         08/20/98                                               REPT1HC.FRG
             14:26:14

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1997-HI3     (ISSUER)
           RFMSII SERIES 1997-HI3


PAYMENT DATE:  08/25/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-PV NOTES                 100,000,000.00     2,180,006.19        496,697.15
437184AJ3                   83,013,451.58        21.800062          4.966972

                                  7.18000             0.00     80,833,445.39
                                                  0.000000        808.334454


A-PB NOTES                 122,765,141.00     2,676,287.69        609,770.96
437184AH7                  101,911,581.22        21.800062          4.966972

                                  7.18000             0.00     99,235,293.53
                                                  0.000000        808.334457


CERTIFICATES                 8,079,564.43             0.00              0.00
                            14,417,526.08         0.000000          0.000000

                                  0.00000             0.00     14,417,526.08
                                                  0.000000       1784.443481


- -----------------------------------------------------------------------------
                           230,844,705.43     4,856,293.88      1,106,468.11
                           199,342,558.88             0.00    194,486,265.00

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 2,268,733.82


SECURITY PRINCIPAL COLLECTIONS:                3,721,612.54
AGGREGATE SECURITY COLLECTIONS:                5,990,346.36


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              194,486,265.00     12.8224




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:            ***,***.**      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                3.635 %
RESIDUAL OWNERSHIP
INTEREST:                           0.00



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500



























Run:         08/20/98                                               REPT2H.FRM
             14:26:16

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1997-HI3     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/25/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-PV NOTES                                   0.00         0.00       41.56254705

A-PB NOTES                                   0.00         0.00       51.02431965

CERTIFICATES                                 0.00         0.00        7.41313330

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  69
CURRENT AMOUNT:           14,417,526.08                             2,286,479.68
TARGET AMOUNT:            20,776,023.49
                                                   60 - 89 DAYS DELINQUENT  34
                                                                    1,152,604.58
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 67
                                                                    2,453,222.18
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT    0
YET REIMBURSED:                    0.00                                     0.00

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:                    0.00


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500










 ................................................................................




Run:         08/13/98                                               REPT1HE.FRG
             10:40:32

Page:        1


RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1997-GMACM4
GMAC MORTGAGE CORPORATION (MASTER SERVICER)
RESIDENTIAL FUNDING CORPORATION (ADMINISTRATOR)
1997-GMACM4  LLC (LIMITED LIABILITY COMPANY)


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 194,000,000.00     5,072,503.28        713,252.07
43707QAG3                  141,922,077.59        26.146924          3.676557

                                  5.83625             0.00    136,849,574.31
                                                  0.000000        705.410177


VARIABLE FUNDING NOTES               0.00             0.00              0.00
                                     0.00         0.000000          0.000000

                                  5.83625             0.00              0.00
                                                  0.000000          0.000000


CERTIFICATES                    62,173.00             0.00        409,718.10
                             3,396,088.03         0.000000       6589.968314

                                  0.00000             0.00      3,396,088.03
                                                  0.000000          0.000000


VARIABLE FUNDING CERT                0.00             0.00              0.00
                                     0.00         0.000000          0.000000

                                  0.00000             0.00              0.00
                                                  0.000000          0.000000


- -----------------------------------------------------------------------------


                           194,062,173.00     5,072,503.28      1,122,970.17
                           145,318,165.62             0.00    140,245,662.34

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 1,152,175.99
SECURITY PRINCIPAL COLLECTIONS:                5,057,829.28
AGGREGATE SECURITY COLLECTIONS:                6,210,005.27


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------

TOTAL LOANS:              140,245,662.34      9.3302





AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:             14,674.00      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.030 %
RESIDUAL OWNERSHIP
INTEREST:                     409,718.10



ADMINISTRATOR:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500





















Run:         08/13/98                                               REPT2H.FRM
             10:41:59

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1997-GMACM4  (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00       97.57847197

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

CERTIFICATES                                 0.00         0.00        2.42152803

VARIABLE FUNDING CERT                        0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  47
CURRENT AMOUNT:            3,396,088.03                             1,520,837.38
TARGET AMOUNT:             3,396,088.03
                                                   60 - 89 DAYS DELINQUENT  11
                                                                      241,502.12
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT  3
                                                                       87,519.49
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT   14
YET REIMBURSED:                    0.00                               416,435.82

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:            2,218,855.19


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500








 ................................................................................




Run:         08/18/98                                               REPT1HC.FRG
             17:09:43

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1997-HS5     (ISSUER)
           RFMSII SERIES 1997-HS5


PAYMENT DATE:  08/25/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-1 Certificates            43,000,000.00             0.00              0.00
76110VAQ1                            0.00         0.000000          0.000000

                                  6.88000             0.00              0.00
                                                  0.000000          0.000000


A-2 Certificates            16,800,000.00             0.00              0.00
76110VAR9                            0.00         0.000000          0.000000

                                  6.56000             0.00              0.00
                                                  0.000000          0.000000


A-3 Certificates            55,800,000.00     9,504,973.72        284,089.76
76110VAS7                   52,366,776.69       170.340031          5.091214

                                  6.51000             0.00     42,861,802.97
                                                  0.000000        768.132670


A-4 Certificates            10,600,000.00             0.00         57,416.67
76110VAT5                   10,600,000.00         0.000000          5.416667

                                  6.50000             0.00     10,600,000.00
                                                  0.000000       1000.000000









A-5 Certificates            18,100,000.00             0.00        100,605.83
76110VAU2                   18,100,000.00         0.000000          5.558333

                                  6.67000             0.00     18,100,000.00
                                                  0.000000       1000.000000


A-6 Certificates             8,300,000.00             0.00         46,756.67
76110VAV0                    8,300,000.00         0.000000          5.633334

                                  6.76000             0.00      8,300,000.00
                                                  0.000000       1000.000000


A-7 Certificates            18,778,000.00             0.00        109,538.33
76110VAW8                   18,778,000.00         0.000000          5.833333

                                  7.00000             0.00     18,778,000.00
                                                  0.000000       1000.000000


A-L1 Certificates           20,288,000.00             0.00        113,781.87
76110VAX6                   20,288,000.00         0.000000          5.608333

                                  6.73000             0.00     20,288,000.00
                                                  0.000000       1000.000000


A-L2 Certificates            1,220,000.00             0.00          6,994.67
76110VAY4                    1,220,000.00         0.000000          5.733336

                                  6.88000             0.00      1,220,000.00
                                                  0.000000       1000.000000


IO Certificates                      0.00             0.00        135,253.33
76110VAZ1

                                  8.00000             0.00              0.00


M-1 Certificates            19,518,000.00             0.00        114,017.65
76110VBA5                   19,518,000.00         0.000000          5.841667

                                  7.01000             0.00     19,518,000.00
                                                  0.000000       1000.000000


M-2 Certificates             9,185,000.00             0.00         54,880.38
76110VBB3                    9,185,000.00         0.000000          5.975001

                                  7.17000             0.00      9,185,000.00
                                                  0.000000       1000.000000









B-1 Certificates             8,037,000.00             0.00         50,231.25
76110VBC1                    8,037,000.00         0.000000          6.250000

                                  7.50000             0.00      8,037,000.00
                                                  0.000000       1000.000000


R-I Certificates                     0.00             0.00              0.00


                                  0.00000             0.00              0.00


R-II Certificates                  573.80       446,766.70              0.00
                             4,592,531.00                           0.000000

                                  0.00000             0.00      4,592,531.00
                                                  0.000000


- -----------------------------------------------------------------------------
                           229,626,573.80     9,951,740.42      1,073,566.41
                           170,985,307.69             0.00    161,480,333.97

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 1,625,120.56
SECURITY PRINCIPAL COLLECTIONS:                9,400,358.56
AGGREGATE SECURITY COLLECTIONS:               11,025,479.12


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              161,480,333.97     11.0288




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:            104,615.16      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.407 %
RESIDUAL OWNERSHIP
INTEREST:                           0.00





MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500























































Run:         08/18/98                                               REPT2H.FRM
             17:10:30

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1997-HS5     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/25/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-1 Certificates                             0.00         0.00        0.00000000

A-2 Certificates                             0.00         0.00        0.00000000

A-3 Certificates                             0.00         0.00       26.54304826

A-4 Certificates                             0.00         0.00        6.56426683

A-5 Certificates                             0.00         0.00       11.20879525

A-6 Certificates                             0.00         0.00        5.13994478

A-7 Certificates                             0.00         0.00       11.62866062

A-L1 Certificates                            0.00         0.00       12.56375900

A-L2 Certificates                            0.00         0.00        0.75550996

IO Certificates                              0.00         0.00        0.00000000

M-1 Certificates                             0.00         0.00       12.08692075

M-2 Certificates                             0.00         0.00        5.68799914

B-1 Certificates                             0.00         0.00        4.97707665

R-I Certificates                             0.00         0.00        0.00000000

R-II Certificates                            0.00         0.00        2.84401877

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  93
CURRENT AMOUNT:            4,592,531.00                             2,900,184.06
TARGET AMOUNT:             4,592,531.00
                                                   60 - 89 DAYS DELINQUENT  10
                                                                      222,999.03
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT  6
                                                                       87,437.83
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT    2
YET REIMBURSED:                    0.00                                     0.00

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:                    0.00




SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500
































































 ................................................................................




Run:         08/12/98                                               REPT1HC.FRG
             15:48:55

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1998-HS1     (ISSUER)
           RFMSII SERIES 1998-HS1


PAYMENT DATE:  08/20/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                 517,879,000.00    21,952,493.13      2,028,993.21
76110VBD9                  403,726,739.62        42.389232          3.917890

                                  5.83625     1,506,192.82    380,268,053.67
                                                  2.908388        734.279733


VARIABLE FUNDING NOTES               0.00             0.00              0.00


                                  5.83625             0.00              0.00


CERTIFICATES                         0.00             0.00              0.00


                                  0.00000             0.00              0.00


- -----------------------------------------------------------------------------
                           517,879,000.00    21,952,493.13      2,028,993.21
                           403,726,739.62     1,506,192.82    380,268,053.67

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 3,617,922.74
SECURITY PRINCIPAL COLLECTIONS:               21,913,493.48
AGGREGATE SECURITY COLLECTIONS:               25,531,416.22




MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              384,012,565.56     10.2763




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:             38,999.65      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.049 %
RESIDUAL OWNERSHIP
INTEREST:                           0.00



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500





























Run:         08/12/98                                               REPT2H.FRM
             15:51:19

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1998-HS1     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/20/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

TERM NOTES                                   0.00         0.00       100.0000000

VARIABLE FUNDING NOTES                       0.00         0.00        0.00000000

CERTIFICATES                                 0.00         0.00        0.00000000

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT  92
CURRENT AMOUNT:            3,744,511.89                             2,682,671.48
TARGET AMOUNT:             7,653,394.35
                                                   60 - 89 DAYS DELINQUENT  12
                                                                      363,867.51
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT 12
                                                                      457,020.32
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT    7
YET REIMBURSED:                    0.00                               125,388.17

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:            5,572,016.44


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER


RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500










 ................................................................................




Run:         08/20/98                                               REPT1HC.FRG
             15:09:50

Page:        1

RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)
HOME EQUITY LOAN TRUST 1998-HI2     (ISSUER)
           RFMSII SERIES 1998-HI2


PAYMENT DATE:  08/25/98


 DISTRIBUTION AMOUNTS


AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            ORIGINAL/     PRINCIPAL           INTEREST
CUSIP                           BEGINNING   DISTRIBUTION       DISTRIBUTION
                                  BALANCE         FACTOR             FACTOR

                             PASS-THROUGH     ACCEL PRIN     ENDING BALANCE
                                     RATE         FACTOR             FACTOR

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-1 Notes                  134,680,000.00     5,565,714.80        597,531.55
76110VBE7                  130,219,584.33        41.325474          4.436676

                                  5.69625             0.00    124,653,869.53
                                                  0.000000        925.555907


A-2 Notes                   86,990,000.00             0.00        455,972.58
76110VBF4                   86,990,000.00         0.000000          5.241667

                                  6.29000             0.00     86,990,000.00
                                                  0.000000       1000.000000


A-3 Notes                   23,280,000.00             0.00        122,802.00
76110VBG2                   23,280,000.00         0.000000          5.275000

                                  6.33000             0.00     23,280,000.00
                                                  0.000000       1000.000000


A-4 Notes                   21,390,000.00             0.00        117,823.25
76110VBH0                   21,390,000.00         0.000000          5.508333

                                  6.61000             0.00     21,390,000.00
                                                  0.000000       1000.000000









A-5 Notes                   32,620,000.00             0.00        185,118.50
76110VBJ6                   32,620,000.00         0.000000          5.675000

                                  6.81000             0.00     32,620,000.00
                                                  0.000000       1000.000000


A-6 Notes                            0.00             0.00        208,333.33
76110VBK3

                                  5.00000             0.00              0.00


M-1 Notes                   40,400,000.00             0.00        228,260.00
76110VBL1                   40,400,000.00         0.000000          5.650000

                                  6.78000             0.00     40,400,000.00
                                                  0.000000       1000.000000


M-2 Notes                   28,280,000.00             0.00        168,973.00
76110VBM9                   28,280,000.00         0.000000          5.975000

                                  7.17000             0.00     28,280,000.00
                                                  0.000000       1000.000000


B-1 Notes                   24,240,000.00             0.00        161,802.00
76110VBN7                   24,240,000.00         0.000000          6.675000

                                  8.01000             0.00     24,240,000.00
                                                  0.000000       1000.000000


B-2 Notes                   12,120,000.00             0.00         83,325.00
76110VBP2                   12,120,000.00         0.000000          6.875000

                                  8.25000             0.00     12,120,000.00
                                                  0.000000       1000.000000


- -----------------------------------------------------------------------------
                           404,000,000.00     5,565,714.80      2,329,941.21
                           399,539,584.33             0.00    393,973,869.53

=============================================================================


 SECURITY COLLECTIONS


SECURITY INTEREST COLLECTIONS:                 4,269,872.91
SECURITY PRINCIPAL COLLECTIONS:                3,625,783.11
AGGREGATE SECURITY COLLECTIONS:                7,895,656.02


MORTGAGE LOANS:            ENDING            WEIGHTED AVERAGE
                           ASSET BALANCE     NET LOAN RATE
                           -------------     ----------------


TOTAL LOANS:              392,498,013.01     13.2249




FUNDING ACCOUNT


DEPOSIT AMOUNT:                                        0.00
NEW BALANCE:                                           0.00

AGGREGATE LIQUIDATION                         CUMULATIVE LIQUIDATION
LOSS AMOUNTS FOR THE                          LOSS AMOUNTS AS A
COLLECTION PERIOD:                  0.00      PERCENTAGE OF POOL BALANCE:

DISTRIBUTION TO                                                0.000 %
RESIDUAL OWNERSHIP
INTEREST:                           0.00



MASTER SERVICER:

RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500
































Run:         08/20/98                                               REPT2H.FRM
             15:09:52

Page:        2

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.
HOME EQUITY LOAN TRUST 1998-HI2     (ISSUER)
RESIDENTIAL FUNDING CORPORATION (MASTER SERVICER)



PAYMENT DATE:     08/25/98

 ADDITIONAL INFORMATION

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA
CLASS                            EXCESS          REMAINING            ENDING
                            LOSS AMOUNT             UNPAID          SECURITY
                                                  INTEREST        PERCENTAGE

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA

A-1 Notes                                    0.00         0.00       31.64013636

A-2 Notes                                    0.00         0.00       22.08014458

A-3 Notes                                    0.00         0.00        5.90902133

A-4 Notes                                    0.00         0.00        5.42929409

A-5 Notes                                    0.00         0.00        8.27973694

A-6 Notes                                    0.00         0.00        0.00000000

M-1 Notes                                    0.00         0.00       10.25448719

M-2 Notes                                    0.00         0.00        7.17814104

B-1 Notes                                    0.00         0.00        6.15269232

B-2 Notes                                    0.00         0.00        3.07634616

AAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAAA


 RESERVE AMOUNT                                     DELINQUENCY


AT END OF CURRENT PERIOD:                          LOANS
                                                   30 - 59 DAYS DELINQUENT 129
CURRENT AMOUNT:           -1,475,856.52                             3,947,693.31
TARGET AMOUNT:            14,007,639.07
                                                   60 - 89 DAYS DELINQUENT  31
                                                                      921,478.45
 CREDIT ENHANCEMENT
                                                   90 - 179 DAYS DELINQUENT  3
                                                                       96,970.21
DRAW AMOUNT:                       0.00
PRIOR DRAWS NOT                                    180 OR MORE DELINQUENT    0
YET REIMBURSED:                    0.00                                     0.00

                                                   REO LOANS                 0
 ADDITIONAL BALANCES                                                        0.00


CURRENT PERIOD:                    0.00


SPECIAL HAZARD AMOUNT:     2,075,429.00

FRAUD LOSS AMOUNT:         6,840,322.00

BANKRUPTCY LOSS AMOUNT:      100,000.00


 MASTER SERVICER




RESIDENTIAL FUNDING CORPORATION
10 UNIVERSAL CITY PLAZA, SUITE 2100
UNIVERSAL CITY, CA  91608
(818) 753-3500










































































 ................................................................................




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