Wachovia Asset Securitization Issuance, LLC
Asset-Backed Notes, Series 2003-HE3
Statement to Securityholder Distribution Date: 11/26/04
Original Beginning Unpaid Ending
Certificate Certificate Certificate Principal Total Certificate
Class Cusip Rate Balance Balance Interest Principal Amount Distribution Balance
A 92975TAA2 2.182500% 500,000,000.00 403,103,452.55 782,020.70 8,555,802.56 0.00 9,337,823.26 394,547,649.99
Factors per Thousand 806.20690510 1.56404140 17.11160512 18.67564652 789.09529998
Certificate n/a 0.000000% 0.00 5,028,927.00 585,749.47 0.00 0.00 585,749.47 5,028,927.40
Totals 500,000,000.00 403,103,452.55 1,367,770.17 8,555,802.56 0.00 9,923,572.73 394,547,649.99
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Bond Interest Information
Type of Accrual Moody's S&P Fitch
Class Cusip Certificate Period LIBOR Original Rating* Original Rating* Original Rating*
A 92975TAA2 Senior/Variable 32/360 1.93250% Aaa AAA n/a
* Original Ratings of the Offered Certificates per the Prospectus Supplement dated November 12, 2003
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Bond Interest Information
Current Current Current Outstanding Cumulative
Class Interest Due Interest Shortfall Shortfall Paid Shortfall to be Paid Interest Shortfall
A 782,020.70 0.00 0.00 0.00 0.00
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Collection Activity
Interest
Interest Collected 1,587,183.75
(Additional Balance Interest) 0.00
(Relief Act Shortfalls) 0.00
Total Interest Collected 1,587,183.75
Principal
Principal Collected 17,889,767.60
Net Liquidation Proceeds 0.00
Substitute Adjustment Amount 0.00
Other Principal Collected 0.00
(Additional Balance Increase) 0.00
(Draw Amounts) (9,339,653.92)
Total Principal Collected 8,550,113.68
Additional Funds
Interest Earnings from the Reserve Fund 0.00
Draws from the Policy 0.00
Yield Maintenance Payment 0.00
Total Additional Funds Collected 0.00
Total Available Collections 10,137,297.43
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Collateral Information
Periodic Information
Beginning Collateral Balance 408,132,379.55
Ending Collateral Balance 399,576,577.39
Current Liquidation Loss Amounts 6,071.28
Cumulative Liquidation Loss Amounts 9,710.29
Gross WAC 4.540%
Net WAC 3.988%
WAM 207
AGE 27
Gross CPR 41.601%
Net CPR 22.436%
Draw Rate 24.255%
Original Information
Collateral Balance 500,007,015.50
Number of Loans 9,940
Gross WAC 4.118%
WAM 234
LIBOR 1.12000%
Overcollateralization Information
Overcollateralization Target Amount 5,028,927.40
Beginning Overcollateralization Amount 5,028,927.00
Ending Overcollateralization Amount 5,028,927.40
Overcollateralization Increase 0.40
Overcollateralization Decrease 0.00
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Additional Account Activity
Funding Account
Beginning Balance 0.00
Interest Earnings 0.00
Deposits 0.00
Withdrawals 0.00
Ending Balance 0.00
Page 6
Delinquency Information
Delinquent: # $ %
30-59 Days 7 498,339.30 0.125%
60-89 Days 1 24,777.56 0.006%
90-119 Days 4 245,028.21 0.061%
120-149 Days 1 28,679.79 0.007%
150-179 Days 1 23,849.23 0.006%
180+ Days 1 28,927.40 0.007%
Total 15 849,601.49 0.213%
Foreclosure: # $ %
2 52,776.63 0.013%
REO: # $ %
0 0.00 0.000%
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Miscellaneous Reporting Items
Fees Additional Information
Servicing Fee 170,055.16 3 Largest Mortgage Loan Balances 2,431,598.07
Enhancer Premium 43,669.54 Additional Balances created during the first
Indenture Trustee Expenses 0.00 Rapid Amortization Period 0.00
Paying Agent Expenses 0.00 Cumulative Liquidation Loss Amount % 0.002%
Cumulative Subsequent Mortgage Loans 0.00
Total Fees 213,724.70 Deficiency Amount 0.00
Draws from Policy not yet Reimbursed 0.00
Percentage Interest Class A 100%
Stepdown Cumulative Loss Test Met? (Yes / No) Yes
Amortization Period Stepdown Date Active (Yes / No) No
Revolving (Yes / No) No Stepdown Delinquency Test Met? (Yes / No) Yes
Managed Amortization (Yes / No) Yes
Rapid Amortization (Yes / No) No
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