|
ASSET BACKED FUNDING CORPORATION
Depositor
HOMEQ SERVICING CORPORATION
Servicer
and
WELLS FARGO BANK, N.A.,
Trustee
POOLING AND SERVICING AGREEMENT
Dated as of September 1, 2005
ABFC Asset-Backed Certificates, Series 2005-WMC1
|
TABLE OF CONTENTS
Section 1.01 | Defined Terms. |
Section 1.02 | Accounting. |
Section 1.03 | Rights of the NIMS Insurer. |
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01 | Conveyance of Mortgage Loans. |
Section 2.02 | Acceptance by Trustee. |
Section 2.03 | Repurchase or Substitution of Mortgage Loans by the Originator or the Seller. |
Section 2.04 | Conveyance of the Subsequent Mortgage Loans. |
Section 2.05 | Representations, Warranties and Covenants of the Servicer. |
Section 2.06 | Representations and Warranties of the Depositor. |
Section 2.07 | Issuance of Certificates and the Uncertificated Regular Interests. |
ARTICLE III
ADMINISTRATION AND SERVICING
OF THE TRUST FUND
Section 3.01 | Servicer to Act as Servicer. |
Section 3.02 | Collection of Mortgage Loan Payments. |
Section 3.03 | Realization Upon Defaulted Mortgage Loans. |
Section 3.04 | Collection Account, Distribution Account and Cap Carryover Reserve Account. |
Section 3.05 | Permitted Withdrawals From the Collection Account. |
Section 3.06 | Establishment of Escrow Accounts; Deposits in Escrow Accounts. |
Section 3.07 | Permitted Withdrawals From Escrow Account. |
Section 3.08 | Payment of Taxes, Insurance and Other Charges; Collections Thereunder. |
Section 3.09 | Transfer of Accounts. |
Section 3.10 | Maintenance of Hazard Insurance. |
Section 3.11 | Maintenance of Mortgage Impairment Insurance Policy. |
Section 3.12 | Fidelity Bond, Errors and Omissions Insurance. |
Section 3.13 | Title, Management and Disposition of REO Property. |
Section 3.14 | Due-on-Sale Clauses; Assumption and Substitution Agreements. |
Section 3.15 | Notification of Adjustments. |
Section 3.16 | Optional Purchases of Mortgage Loans by Servicer. |
Section 3.17 | Trustee to Cooperate; Release of Files. |
Section 3.18 | Servicing Compensation. |
Section 3.19 | Annual Statement as to Compliance. |
Section 3.20 | Annual Independent Certified Public Accountants’ Reports. |
Section 3.21 | Access to Certain Documentation and Information Regarding the Mortgage Loans. |
Section 3.22 | Duties of Credit Risk Manager. |
Section 3.23 | Obligations of the Servicer in Respect of Compensating Interest. |
Section 3.24 | Obligations of the Servicer in Respect of Mortgage Interest Rates and Monthly Payments. |
Section 3.25 | Investment of Funds in the Collection Account and the Distribution Account. |
Section 3.26 | Liability of Servicer; Indemnification. |
Section 3.27 | Reports of Foreclosure and Abandonment of Mortgaged Properties. |
Section 3.28 | Protection of Assets. |
Section 3.29 | Limitation of Liability of the Credit Risk Manager. |
Section 3.30 | No Personal Solicitation. |
Section 3.31 | Periodic Filings. |
ARTICLE IV
FLOW OF FUNDS
Section 4.01 | Interest Distributions. |
Section 4.02 | Distributions of Principal and Monthly Excess Cashflow Amounts. |
Section 4.03 | Allocation of Losses. |
Section 4.04 | Method of Distribution. |
Section 4.05 | Distributions on Book-Entry Certificates. |
Section 4.06 | Statements. |
Section 4.07 | Remittance Reports; Advances. |
Section 4.08 | REMIC Distributions. |
Section 4.09 | Swap Account. |
Section 4.10 | Tax Treatment of Swap Payments and Swap Termination Payments. |
ARTICLE V
THE CERTIFICATES
Section 5.01 | The Certificates. |
Section 5.02 | Registration of Transfer and Exchange of Certificates. |
Section 5.03 | Mutilated, Destroyed, Lost or Stolen Certificates. |
Section 5.04 | Persons Deemed Owners. |
Section 5.05 | Appointment of Paying Agent. |
ARTICLE VI
THE SERVICER AND THE DEPOSITOR
Section 6.01 | Liability of the Servicer and the Depositor. |
Section 6.02 | Merger or Consolidation of, or Assumption of the Obligations of, the Servicer or the Depositor. |
Section 6.03 | Limitation on Liability of the Servicer and Others. |
Section 6.04 | Servicer Not to Resign. |
Section 6.05 | Delegation of Duties. |
ARTICLE VII
DEFAULT
Section 7.01 | Servicer Events of Termination. |
Section 7.02 | Trustee to Act; Appointment of Successor. |
Section 7.03 | Waiver of Defaults. |
Section 7.04 | Notification to Certificateholders. |
Section 7.05 | Survivability of Servicer Liabilities. |
ARTICLE VIII
THE TRUSTEE
Section 8.01 | Duties of Trustee. |
Section 8.02 | Certain Matters Affecting the Trustee. |
Section 8.03 | Trustee Not Liable for Certificates or Mortgage Loans. |
Section 8.04 | Trustee May Own Certificates. |
Section 8.05 | Trustee Expenses. |
Section 8.06 | Eligibility Requirements for Trustee. |
Section 8.07 | Resignation or Removal of Trustee. |
Section 8.08 | Successor Trustee. |
Section 8.09 | Merger or Consolidation of Trustee. |
Section 8.10 | Appointment of Co-Trustee or Separate Trustee. |
Section 8.11 | Limitation of Liability. |
Section 8.12 | Trustee May Enforce Claims Without Possession of Certificates. |
Section 8.13 | Suits for Enforcement. |
Section 8.14 | Waiver of Bond Requirement. |
Section 8.15 | Waiver of Inventory, Accounting and Appraisal Requirement. |
ARTICLE IX
REMIC ADMINISTRATION
Section 9.01 | REMIC Administration. |
Section 9.02 | Prohibited Transactions and Activities. |
Section 9.03 | Indemnification with Respect to Certain Taxes and Loss of REMIC Status. |
Section 9.04 | REO Property. |
ARTICLE X
TERMINATION
Section 10.01 | Termination. |
Section 10.02 | Additional Termination Requirements. |
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01 | Amendment. |
Section 11.02 | Recordation of Agreement; Counterparts. |
Section 11.03 | Limitation on Rights of Certificateholders. |
Section 11.04 | Governing Law; Jurisdiction. |
Section 11.05 | Notices. |
Section 11.06 | Severability of Provisions. |
Section 11.07 | Article and Section References. |
Section 11.08 | Notice to the Rating Agencies and the NIMS Insurer. |
Section 11.09 | Further Assurances. |
Section 11.10 | Third Party Beneficiary. |
Section 11.11 | Acts of Certificateholders. |
EXHIBITS
Exhibit A-1 | Form of Class A-1 Certificates |
Exhibit A-2 | Form of Class A-2A Certificates |
Exhibit A-3 | Form of Class A-2B Certificates |
Exhibit A-4 | Form of Class A-2C Certificates |
Exhibit A-5 | Form of Class A-2D Certificates |
Exhibit A-6 | Form of Class A-2MZ Certificates |
Exhibit B-1 | Form of Class M-1 Certificates |
Exhibit B-2 | Form of Class M-2 Certificates |
Exhibit B-3 | Form of Class M-3 Certificates |
Exhibit B-4 | Form of Class M-4 Certificates |
Exhibit B-5 | Form of Class M-5 Certificates |
Exhibit B-6 | Form of Class M-6 Certificates |
Exhibit B-7 | Form of Class M-7 Certificates |
Exhibit B-8 | Form of Class M-8 Certificates |
Exhibit B-9 | Form of Class M-9 Certificates |
Exhibit B-10 | Form of Class M-10 Certificates |
Exhibit B-11 | Form of Class M-11 Certificates |
Exhibit B-12 | Form of Class M-12 Certificates |
Exhibit B-13 | Form of Class B-1 Certificates |
Exhibit B-14 | Form of Class B-2 Certificates |
Exhibit C-1 | Form of Class CE Certificates |
Exhibit C-2 | Form of Class P Certificates |
Exhibit C-3 | Form of Class R Certificates |
Exhibit C-4 | Form of Class R-X Certificates |
Exhibit D | Mortgage Loan Schedule |
Exhibit E | Form of Request for Release |
Exhibit F-1 | Form of Trustee’s Initial Certification |
Exhibit F-2 | Form of Trustee’s Final Certification |
Exhibit F-3 | Form of Receipt of Mortgage Note |
Exhibit G | Mortgage Loan Purchase Agreement |
Exhibit H | Form of Lost Note Affidavit |
Exhibit I | Form of ERISA Representation |
Exhibit J-1 | Form of Investment Letter (Non-Rule 144A) |
Exhibit J-2 | Form of Rule 144A Investment Letter |
Exhibit K | Form of Residual Certificate Transfer Affidavit |
Exhibit L | Form of Transferor Certificate |
Exhibit M | Monthly Information Provided by Servicer |
Exhibit N | Form of Interest Rate Swap Agreement |
Exhibit O | Form of Certification |
Exhibit P-1 | Form of Certification of the Trustee to be Provided to Depositor |
Exhibit P-2 | Form of Certification of the Servicer to be Provided to Depositor |
Exhibit Q | Representations and Warranties Regarding Prepayment Charges |
Exhibit R | Form of Subsequent Transfer Instrument |
Exhibit S | Form of Addition Notice |
ASSET BACKED FUNDING CORPORATION, as depositor (the “Depositor”), HOMEQ SERVICING CORPORATION, as servicer (the “Servicer”), and WELLS FARGO BANK, N.A., as trustee (the “Trustee”) are entering into this Pooling and Servicing Agreement, dated as of September 1, 2005 (the “Agreement”).
PRELIMINARY STATEMENT
The Depositor intends to sell pass-through certificates (collectively, the “Certificates”), to be issued hereunder in multiple Classes, which in the aggregate will evidence the entire beneficial ownership interest in the Trust Fund created hereunder. The Certificates will consist of twenty-one Classes of Certificates, designated as (i) the Class A-1, Class A-2A, Class A-2B, Class A-2C and Class A-2D Certificates, Class A-2MZ Certificates, (ii) the Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11 and Class M-12 Certificates, (iii) the Class B-1 and Class B-2 Certificates, (iv) the Class CE Certificates, (v) the Class P Certificates and (vi) the Class R and Class R-X Certificate.
REMIC 1
As provided herein, the Trustee will make an election to treat the segregated pool of assets consisting of the Mortgage Loans and certain other related assets subject to this Agreement (but exclusive of the Cap Carryover Reserve Account, the Interest Rate Swap Agreement, the Swap Account, the Pre-Funding Accounts and the Servicer Prepayment Charge Payment Amounts) as a real estate investment conduit (a “REMIC”) for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 1.” The Class R-1 Interest will represent the sole class of “residual interests” in REMIC 1 for purposes of the REMIC Provisions under federal income tax law. The following table irrevocably sets forth the designation, the Uncertificated REMIC 1 Pass-Through Rate, the initial Uncertificated Balance, and solely for purposes of satisfying Treasury Regulations Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC 1 Regular Interests. None of the REMIC 1 Regular Interests will be certificated.
Designation |
| Uncertificated REMIC 1 Pass-Through Rate |
| Initial Uncertificated Balance |
| Latest Possible Maturity Date(1) |
| |
I |
| Variable(2) |
| $ | 296,938,015.40 |
| August 25, 2035 |
|
I-PF |
| Variable(2) |
| $ | 2,114,696.99 |
| August 25, 2035 |
|
II |
| Variable(2) |
| $ | 696,288,812.30 |
| August 25, 2035 |
|
II-PF |
| Variable(2) |
| $ | 11,623,798.71 |
| August 25, 2035 |
|
P |
| Variable(2) |
| $ | 100.00 |
| August 25, 2035 |
|
___________________________________________
(1) | For purposes of Treasury Regulations Section 1.860G-1(a)(4)(iii), the Distribution Date in the month following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each REMIC 1 Regular Interest and each Class of Regular Certificates. |
(2) | Calculated in accordance with the definition of “Uncertificated REMIC 1 Pass-Through Rate” herein |
REMIC 2
As provided herein, the Trustee will make an election to treat the segregated pool of assets consisting of the REMIC 1 Regular Interests as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 2.” The Class R-2 Interest will represent the sole class of “residual interests” in REMIC 2 for purposes of the REMIC Provisions under federal income tax law. The following table irrevocably sets forth the designation, the Uncertificated REMIC 2 Pass-Through Rate, the initial Uncertificated Balance, and for purposes of satisfying Treasury Regulations Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC 2 Regular Interests. None of the REMIC 2 Regular Interests will be certificated.
Designation |
| Uncertificated REMIC 2 |
| Initial Certificate |
| Assumed Final |
| |
I |
| (2) |
| $ | 14,952,540.69 |
| August 25, 2035 |
|
I-1-A |
| (2) |
| $ | 1,646,224.80 |
| August 25, 2035 |
|
I-1-B |
| (2) |
| $ | 1,646,224.80 |
| August 25, 2035 |
|
I-2-A |
| (2) |
| $ | 1,934,389.01 |
| August 25, 2035 |
|
I-2-B |
| (2) |
| $ | 1,934,389.01 |
| August 25, 2035 |
|
I-3-A |
| (2) |
| $ | 2,296,751.45 |
| August 25, 2035 |
|
I-3-B |
| (2) |
| $ | 2,296,751.45 |
| August 25, 2035 |
|
I-4-A |
| (2) |
| $ | 2,495,456.15 |
| August 25, 2035 |
|
I-4-B |
| (2) |
| $ | 2,495,456.15 |
| August 25, 2035 |
|
I-5-A |
| (2) |
| $ | 2,765,819.57 |
| August 25, 2035 |
|
I-5-B |
| (2) |
| $ | 2,765,819.57 |
| August 25, 2035 |
|
I-6-A |
| (2) |
| $ | 3,026,387.86 |
| August 25, 2035 |
|
I-6-B |
| (2) |
| $ | 3,026,387.86 |
| August 25, 2035 |
|
I-7-A |
| (2) |
| $ | 3,260,031.41 |
| August 25, 2035 |
|
I-7-B |
| (2) |
| $ | 3,260,031.41 |
| August 25, 2035 |
|
I-8-A |
| (2) |
| $ | 3,399,669.07 |
| August 25, 2035 |
|
I-8-B |
| (2) |
| $ | 3,399,669.07 |
| August 25, 2035 |
|
I-9-A |
| (2) |
| $ | 3,530,462.54 |
| August 25, 2035 |
|
I-9-B |
| (2) |
| $ | 3,530,462.54 |
| August 25, 2035 |
|
I-10-A |
| (2) |
| $ | 3,651,391.53 |
| August 25, 2035 |
|
I-10-B |
| (2) |
| $ | 3,651,391.53 |
| August 25, 2035 |
|
I-11-A |
| (2) |
| $ | 3,761,494.56 |
| August 25, 2035 |
|
I-11-B |
| (2) |
| $ | 3,761,494.56 |
| August 25, 2035 |
|
I-12-A |
| (2) |
| $ | 3,859,879.78 |
| August 25, 2035 |
|
I-12-B |
| (2) |
| $ | 3,859,879.78 |
| August 25, 2035 |
|
I-13-A |
| (2) |
| $ | 3,945,733.75 |
| August 25, 2035 |
|
I-13-B |
| (2) |
| $ | 3,945,733.75 |
| August 25, 2035 |
|
I-14-A |
| (2) |
| $ | 4,018,331.39 |
| August 25, 2035 |
|
I-14-B |
| (2) |
| $ | 4,018,331.39 |
| August 25, 2035 |
|
I-15-A |
| (2) |
| $ | 4,077,044.13 |
| August 25, 2035 |
|
I-15-B |
| (2) |
| $ | 4,077,044.13 |
| August 25, 2035 |
|
I-16-A |
| (2) |
| $ | 4,121,349.27 |
| August 25, 2035 |
|
I-16-B |
| (2) |
| $ | 4,121,349.27 |
| August 25, 2035 |
|
I-17-A |
| (2) |
| $ | 4,150,835.34 |
| August 25, 2035 |
|
I-17-B |
| (2) |
| $ | 4,150,835.34 |
| August 25, 2035 |
|
I-18-A |
| (2) |
| $ | 4,165,210.12 |
| August 25, 2035 |
|
I-18-B |
| (2) |
| $ | 4,165,210.12 |
| August 25, 2035 |
|
I-19-A |
| (2) |
| $ | 4,164,305.06 |
| August 25, 2035 |
|
I-19-B |
| (2) |
| $ | 4,164,305.06 |
| August 25, 2035 |
|
I-20-A |
| (2) |
| $ | 4,152,171.03 |
| August 25, 2035 |
|
I-20-B |
| (2) |
| $ | 4,152,171.03 |
| August 25, 2035 |
|
I-21-A |
| (2) |
| $ | 55,144,696.50 |
| August 25, 2035 |
|
I-21-B |
| (2) |
| $ | 55,144,696.50 |
| August 25, 2035 |
|
I-22-A |
| (2) |
| $ | 781,723.27 |
| August 25, 2035 |
|
I-22-B |
| (2) |
| $ | 781,723.27 |
| August 25, 2035 |
|
I-23-A |
| (2) |
| $ | 746,423.14 |
| August 25, 2035 |
|
I-23-B |
| (2) |
| $ | 746,423.14 |
| August 25, 2035 |
|
I-24-A |
| (2) |
| $ | 712,833.78 |
| August 25, 2035 |
|
I-24-B |
| (2) |
| $ | 712,833.78 |
| August 25, 2035 |
|
I-25-A |
| (2) |
| $ | 680,865.66 |
| August 25, 2035 |
|
I-25-B |
| (2) |
| $ | 680,865.66 |
| August 25, 2035 |
|
I-26-A |
| (2) |
| $ | 650,436.36 |
| August 25, 2035 |
|
I-26-B |
| (2) |
| $ | 650,436.36 |
| August 25, 2035 |
|
I-27-A |
| (2) |
| $ | 621,466.30 |
| August 25, 2035 |
|
I-27-B |
| (2) |
| $ | 621,466.30 |
| August 25, 2035 |
|
I-28-A |
| (2) |
| $ | 593,880.62 |
| August 25, 2035 |
|
I-28-B |
| (2) |
| $ | 593,880.62 |
| August 25, 2035 |
|
I-29-A |
| (2) |
| $ | 567,608.51 |
| August 25, 2035 |
|
I-29-B |
| (2) |
| $ | 567,608.51 |
| August 25, 2035 |
|
I-30-A |
| (2) |
| $ | 542,583.44 |
| August 25, 2035 |
|
I-30-B |
| (2) |
| $ | 542,583.44 |
| August 25, 2035 |
|
I-31-A |
| (2) |
| $ | 518,741.55 |
| August 25, 2035 |
|
I-31-B |
| (2) |
| $ | 518,741.55 |
| August 25, 2035 |
|
I-32-A |
| (2) |
| $ | 672,619.45 |
| August 25, 2035 |
|
I-32-B |
| (2) |
| $ | 672,619.45 |
| August 25, 2035 |
|
I-33-A |
| (2) |
| $ | 1,083,023.83 |
| August 25, 2035 |
|
I-33-B |
| (2) |
| $ | 1,083,023.83 |
| August 25, 2035 |
|
I-34-A |
| (2) |
| $ | 405,950.36 |
| August 25, 2035 |
|
I-34-B |
| (2) |
| $ | 405,950.36 |
| August 25, 2035 |
|
I-35-A |
| (2) |
| $ | 389,178.92 |
| August 25, 2035 |
|
I-35-B |
| (2) |
| $ | 389,178.92 |
| August 25, 2035 |
|
I-36-A |
| (2) |
| $ | 373,145.49 |
| August 25, 2035 |
|
I-36-B |
| (2) |
| $ | 373,145.49 |
| August 25, 2035 |
|
I-37-A |
| (2) |
| $ | 357,815.02 |
| August 25, 2035 |
|
I-37-B |
| (2) |
| $ | 357,815.02 |
| August 25, 2035 |
|
I-38-A |
| (2) |
| $ | 360,684.63 |
| August 25, 2035 |
|
I-38-B |
| (2) |
| $ | 360,684.63 |
| August 25, 2035 |
|
I-39-A |
| (2) |
| $ | 328,078.14 |
| August 25, 2035 |
|
I-39-B |
| (2) |
| $ | 328,078.14 |
| August 25, 2035 |
|
I-40-A |
| (2) |
| $ | 314,728.40 |
| August 25, 2035 |
|
I-40-B |
| (2) |
| $ | 314,728.40 |
| August 25, 2035 |
|
I-41-A |
| (2) |
| $ | 301,955.26 |
| August 25, 2035 |
|
I-41-B |
| (2) |
| $ | 301,955.26 |
| August 25, 2035 |
|
I-42-A |
| (2) |
| $ | 289,731.69 |
| August 25, 2035 |
|
I-42-B |
| (2) |
| $ | 289,731.69 |
| August 25, 2035 |
|
I-43-A |
| (2) |
| $ | 278,032.89 |
| August 25, 2035 |
|
I-43-B |
| (2) |
| $ | 278,032.89 |
| August 25, 2035 |
|
I-44-A |
| (2) |
| $ | 266,834.36 |
| August 25, 2035 |
|
I-44-B |
| (2) |
| $ | 266,834.36 |
| August 25, 2035 |
|
I-45-A |
| (2) |
| $ | 256,113.08 |
| August 25, 2035 |
|
I-45-B |
| (2) |
| $ | 256,113.08 |
| August 25, 2035 |
|
I-46-A |
| (2) |
| $ | 245,847.82 |
| August 25, 2035 |
|
I-46-B |
| (2) |
| $ | 245,847.82 |
| August 25, 2035 |
|
I-47-A |
| (2) |
| $ | 236,017.05 |
| August 25, 2035 |
|
I-47-B |
| (2) |
| $ | 236,017.05 |
| August 25, 2035 |
|
I-48-A |
| (2) |
| $ | 226,601.61 |
| August 25, 2035 |
|
I-48-B |
| (2) |
| $ | 226,601.61 |
| August 25, 2035 |
|
I-49-A |
| (2) |
| $ | 217,582.65 |
| August 25, 2035 |
|
I-49-B |
| (2) |
|
| 4217,582.65 |
| August 25, 2035 |
|
I-50-A |
| (2) |
| $ | 5,461,948.23 |
| August 25, 2035 |
|
I-50-B |
| (2) |
| $ | 5,461,948.23 |
| August 25, 2035 |
|
II |
| (2) |
| $ | 35,395,630.71 |
| August 25, 2035 |
|
II-1-A |
| (2) |
| $ | 3,896,914.70 |
| August 25, 2035 |
|
II-1-B |
| (2) |
| $ | 3,896,914.70 |
| August 25, 2035 |
|
II-2-A |
| (2) |
| $ | 4,579,051.99 |
| August 25, 2035 |
|
II-2-B |
| (2) |
| $ | 4,579,051.99 |
| August 25, 2035 |
|
II-3-A |
| (2) |
| $ | 5,436,830.05 |
| August 25, 2035 |
|
II-3-B |
| (2) |
| $ | 5,436,830.05 |
| August 25, 2035 |
|
II-4-A |
| (2) |
| $ | 5,907,200.35 |
| August 25, 2035 |
|
II-4-B |
| (2) |
| $ | 5,907,200.35 |
| August 25, 2035 |
|
II-5-A |
| (2) |
| $ | 6,547,199.93 |
| August 25, 2035 |
|
II-5-B |
| (2) |
| $ | 6,547,199.93 |
| August 25, 2035 |
|
II-6-A |
| (2) |
| $ | 7,164,012.64 |
| August 25, 2035 |
|
II-6-B |
| (2) |
| $ | 7,164,012.64 |
| August 25, 2035 |
|
II-7-A |
| (2) |
| $ | 7,717,089.59 |
| August 25, 2035 |
|
II-7-B |
| (2) |
| $ | 7,717,089.59 |
| August 25, 2035 |
|
II-8-A |
| (2) |
| $ | 8,047,637.43 |
| August 25, 2035 |
|
II-8-B |
| (2) |
| $ | 8,047,637.43 |
| August 25, 2035 |
|
II-9-A |
| (2) |
| $ | 8,357,249.46 |
| August 25, 2035 |
|
II-9-B |
| (2) |
| $ | 8,357,249.46 |
| August 25, 2035 |
|
II-10-A |
| (2) |
| $ | 8,643,510.47 |
| August 25, 2035 |
|
II-10-B |
| (2) |
| $ | 8,643,510.47 |
| August 25, 2035 |
|
II-11-A |
| (2) |
| $ | 8,904,144.44 |
| August 25, 2035 |
|
II-11-B |
| (2) |
| $ | 8,904,144.44 |
| August 25, 2035 |
|
II-12-A |
| (2) |
| $ | 9,137,040.22 |
| August 25, 2035 |
|
II-12-B |
| (2) |
| $ | 9,137,040.22 |
| August 25, 2035 |
|
II-13-A |
| (2) |
| $ | 9,340,272.25 |
| August 25, 2035 |
|
II-13-B |
| (2) |
| $ | 9,340,272.25 |
| August 25, 2035 |
|
II-14-A |
| (2) |
| $ | 9,512,124.11 |
| August 25, 2035 |
|
II-14-B |
| (2) |
| $ | 9,512,124.11 |
| August 25, 2035 |
|
II-15-A |
| (2) |
| $ | 9,651,107.87 |
| August 25, 2035 |
|
II-15-B |
| (2) |
| $ | 9,651,107.87 |
| August 25, 2035 |
|
II-16-A |
| (2) |
| $ | 9,755,986.23 |
| August 25, 2035 |
|
II-16-B |
| (2) |
| $ | 9,755,986.23 |
| August 25, 2035 |
|
II-17-A |
| (2) |
| $ | 9,825,785.16 |
| August 25, 2035 |
|
II-17-B |
| (2) |
| $ | 9,825,785.16 |
| August 25, 2035 |
|
II-18-A |
| (2) |
| $ | 9,859,812.88 |
| August 25, 2035 |
|
II-18-B |
| (2) |
| $ | 9,859,812.88 |
| August 25, 2035 |
|
II-19-A |
| (2) |
| $ | 9,857,670.44 |
| August 25, 2035 |
|
II-19-B |
| (2) |
| $ | 9,857,670.44 |
| August 25, 2035 |
|
II-20-A |
| (2) |
| $ | 9,828,946.97 |
| August 25, 2035 |
|
II-20-B |
| (2) |
| $ | 9,828,946.97 |
| August 25, 2035 |
|
II-21-A |
| (2) |
| $ | 130,537,565.50 |
| August 25, 2035 |
|
II-21-B |
| (2) |
| $ | 130,537,565.50 |
| August 25, 2035 |
|
II-22-A |
| (2) |
| $ | 1,850,481.73 |
| August 25, 2035 |
|
II-22-B |
| (2) |
| $ | 1,850,481.73 |
| August 25, 2035 |
|
II-23-A |
| (2) |
| $ | 1,766,919.86 |
| August 25, 2035 |
|
II-23-B |
| (2) |
| $ | 1,766,919.86 |
| August 25, 2035 |
|
II-24-A |
| (2) |
| $ | 1,687,407.72 |
| August 25, 2035 |
|
II-24-B |
| (2) |
| $ | 1,687,407.72 |
| August 25, 2035 |
|
II-25-A |
| (2) |
| $ | 1,611,733.34 |
| August 25, 2035 |
|
II-25-B |
| (2) |
| $ | 1,611,733.34 |
| August 25, 2035 |
|
II-26-A |
| (2) |
| $ | 1,539,701.64 |
| August 25, 2035 |
|
II-26-B |
| (2) |
| $ | 1,539,701.64 |
| August 25, 2035 |
|
II-27-A |
| (2) |
| $ | 1,471,124.20 |
| August 25, 2035 |
|
II-27-B |
| (2) |
| $ | 1,471,124.20 |
| August 25, 2035 |
|
II-28-A |
| (2) |
| $ | 1,405,823.88 |
| August 25, 2035 |
|
II-28-B |
| (2) |
| $ | 1,405,823.88 |
| August 25, 2035 |
|
II-29-A |
| (2) |
| $ | 1,343,632.99 |
| August 25, 2035 |
|
II-29-B |
| (2) |
| $ | 1,343,632.99 |
| August 25, 2035 |
|
II-30-A |
| (2) |
| $ | 1,284,394.06 |
| August 25, 2035 |
|
II-30-B |
| (2) |
| $ | 1,284,394.06 |
| August 25, 2035 |
|
II-31-A |
| (2) |
| $ | 1,227,955.95 |
| August 25, 2035 |
|
II-31-B |
| (2) |
| $ | 1,227,955.95 |
| August 25, 2035 |
|
II-32-A |
| (2) |
| $ | 1,592,213.05 |
| August 25, 2035 |
|
II-32-B |
| (2) |
| $ | 1,592,213.05 |
| August 25, 2035 |
|
II-33-A |
| (2) |
| $ | 2,563,715.17 |
| August 25, 2035 |
|
II-33-B |
| (2) |
| $ | 2,563,715.17 |
| August 25, 2035 |
|
II-34-A |
| (2) |
| $ | 960,958.64 |
| August 25, 2035 |
|
II-34-B |
| (2) |
| $ | 960,958.64 |
| August 25, 2035 |
|
II-35-A |
| (2) |
| $ | 921,257.58 |
| August 25, 2035 |
|
II-35-B |
| (2) |
| $ | 921,257.58 |
| August 25, 2035 |
|
II-36-A |
| (2) |
| $ | 883,303.51 |
| August 25, 2035 |
|
II-36-B |
| (2) |
| $ | 883,303.51 |
| August 25, 2035 |
|
II-37-A |
| (2) |
| $ | 847,013.48 |
| August 25, 2035 |
|
II-37-B |
| (2) |
| $ | 847,013.48 |
| August 25, 2035 |
|
II-38-A |
| (2) |
| $ | 853,806.37 |
| August 25, 2035 |
|
II-38-B |
| (2) |
| $ | 853,806.37 |
| August 25, 2035 |
|
II-39-A |
| (2) |
| $ | 776,620.86 |
| August 25, 2035 |
|
II-39-B |
| (2) |
| $ | 776,620.86 |
| August 25, 2035 |
|
II-40-A |
| (2) |
| $ | 745,019.60 |
| August 25, 2035 |
|
II-40-B |
| (2) |
| $ | 745,019.60 |
| August 25, 2035 |
|
II-41-A |
| (2) |
| $ | 714,783.24 |
| August 25, 2035 |
|
II-41-B |
| (2) |
| $ | 714,783.24 |
| August 25, 2035 |
|
II-42-A |
| (2) |
| $ | 685,847.81 |
| August 25, 2035 |
|
II-42-B |
| (2) |
| $ | 685,847.81 |
| August 25, 2035 |
|
II-43-A |
| (2) |
| $ | 658,154.61 |
| August 25, 2035 |
|
II-43-B |
| (2) |
| $ | 658,154.61 |
| August 25, 2035 |
|
II-44-A |
| (2) |
| $ | 631,645.64 |
| August 25, 2035 |
|
II-44-B |
| (2) |
| $ | 631,645.64 |
| August 25, 2035 |
|
II-45-A |
| (2) |
| $ | 606,266.42 |
| August 25, 2035 |
|
II-45-B |
| (2) |
| $ | 606,266.42 |
| August 25, 2035 |
|
II-46-A |
| (2) |
| $ | 581,966.68 |
| August 25, 2035 |
|
II-46-B |
| (2) |
| $ | 581,966.68 |
| August 25, 2035 |
|
II-47-A |
| (2) |
| $ | 558,695.45 |
| August 25, 2035 |
|
II-47-B |
| (2) |
| $ | 558,695.45 |
| August 25, 2035 |
|
II-48-A |
| (2) |
| $ | 536,407.39 |
| August 25, 2035 |
|
II-48-B |
| (2) |
| $ | 536,407.39 |
| August 25, 2035 |
|
II-49-A |
| (2) |
| $ | 515,057.85 |
| August 25, 2035 |
|
II-49-B |
| (2) |
| $ | 515,057.85 |
| August 25, 2035 |
|
II-50-A |
| (2) |
| $ | 12,929,428.77 |
| August 25, 2035 |
|
II-50-B |
| (2) |
| $ | 12,929,428.77 |
| August 25, 2035 |
|
P |
| (2) |
| $ | 100.00 |
| August 25, 2035 |
|
(1) | For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date in the month following the maturity date for the Mortgage Loan with the latest possible maturity date has been designated as the “latest possible maturity date” for each REMIC 2 Regular Interest. |
(2) | Calculated in accordance with the definition of “Uncertificated REMIC 2 Pass-Through Rate” herein. |
REMIC 3
As provided herein, the Trustee will make an election to treat the segregated pool of assets consisting of the REMIC 2 Regular Interests as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 3.” The Class R-3 Interest will represent the sole class of “residual interests” in REMIC 3 for purposes of the REMIC Provisions under federal income tax law. The following table irrevocably sets forth the designation, the Uncertificated REMIC 3 Pass-Through Rate, the initial Uncertificated Balance, and for purposes of satisfying Treasury Regulations Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC 3 Regular Interests. None of the REMIC 3 Regular Interests will be certificated.
Designation |
| Uncertificated REMIC 3 Pass-Through Rate |
| Initial Uncertificated Balance |
| Latest Possible Maturity Date(1) |
| |
LTAA |
| Variable(2) |
| $ | 493,413,008.47 |
| August 25, 2035 |
|
LTA1 |
| Variable(2) |
| $ | 1,179,500.00 |
| August 25, 2035 |
|
LTA2A |
| Variable(2) |
| $ | 1,081,155.00 |
| August 25, 2035 |
|
LTA2B |
| Variable(2) |
| $ | 431,825.00 |
| August 25, 2035 |
|
LTA2C |
| Variable(2) |
| $ | 707,880.00 |
| August 25, 2035 |
|
LTA2D |
| Variable(2) |
| $ | 229,380.00 |
| August 25, 2035 |
|
LT2MZ |
| Variable(2) |
| $ | 272,250.00 |
| August 25, 2035 |
|
LTM1 |
| Variable(2) |
| $ | 186,285.00 |
| August 25, 2035 |
|
LTM2 |
| Variable(2) |
| $ | 168,670.00 |
| August 25, 2035 |
|
LTM3 |
| Variable(2) |
| $ | 115,800.00 |
| August 25, 2035 |
|
LTM4 |
| Variable(2) |
| $ | 80,555.00 |
| August 25, 2035 |
|
LTM5 |
| Variable(2) |
| $ | 83,075.00 |
| August 25, 2035 |
|
LTM6 |
| Variable(2) |
| $ | 70,490.00 |
| August 25, 2035 |
|
LTM7 |
| Variable(2) |
| $ | 75,520.00 |
| August 25, 2035 |
|
LTM8 |
| Variable(2) |
| $ | 57,900.00 |
| August 25, 2035 |
|
LTM9 |
| Variable(2) |
| $ | 50,350.00 |
| August 25, 2035 |
|
LTM10 |
| Variable(2) |
| $ | 75,520.00 |
| August 25, 2035 |
|
LTM11 |
| Variable(2) |
| $ | 30,210.00 |
| August 25, 2035 |
|
LTM12 |
| Variable(2) |
| $ | 45,315.00 |
| August 25, 2035 |
|
LTB1 |
| Variable(2) |
| $ | 52,865.00 |
| August 25, 2035 |
|
LTB2 |
| Variable(2) |
| $ | 15,105.00 |
| August 25, 2035 |
|
LTZZ |
| Variable(2) |
| $ | 5,060,003.23 |
| August 25, 2035 |
|
LTP |
| Variable(2) |
| $ | 100.00 |
| August 25, 2035 |
|
LT1SUB |
| Variable(2) |
| $ | 6,315.27 |
| August 25, 2035 |
|
LT1GRP |
| Variable(2) |
| $ | 29,693.81 |
| August 25, 2035 |
|
LT2SUB |
| Variable(2) |
| $ | 16,341.46 |
| August 25, 2035 |
|
LT2GRP |
| Variable(2) |
| $ | 69,628.88 |
| August 25, 2035 |
|
LTXX |
| Variable(2) |
| $ | 503,360,682.27 |
| August 25, 2035 |
|
LTIO |
| Variable(2) |
| $ | 478,308,576.00 |
| August 25, 2035 |
|
______________________________________
(1) | For purposes of Treasury Regulations Section 1.860G-1(a)(4)(iii), the Distribution Date in the month following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each REMIC 3 Regular Interest and each Class of Regular Certificates. |
(2) | Calculated in accordance with the definition of “Uncertificated REMIC 3 Pass-Through Rate” herein. |
(3) | REMIC 3 Regular Interest LTIO will not have an Uncertificated Balance, but will accrue interest on its Uncertificated Notional Amount, as defined herein. |
REMIC 4
As provided herein, the Trustee shall make an election to treat the segregated pool of assets consisting of the REMIC 3 Regular Interests as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 4.” The Class R-4 Interest represents the sole class of “residual interests” in REMIC 4 for purposes of the REMIC Provisions.
The following table sets forth (or describes) the Class designation, Certificate Interest Rate and Original Class Certificate Principal Balance for each Class of Certificates or REMIC 4 Regular Interests comprising the interests in the Trust Fund created hereunder:
Class |
| Original Class Certificate Principal Balance |
| Certificate Interest Rate |
| Assumed Final |
| |
A-1 |
| $ | 235,900,000.00 |
| Variable (2) |
| August 25, 2035 |
|
A-2A |
| $ | 216,231,000.00 |
| Variable (2) |
| August 25, 2035 |
|
A-2B |
| $ | 86,365,000.00 |
| Variable (2) |
| August 25, 2035 |
|
A-2C |
| $ | 141,576,000.00 |
| Variable (2) |
| August 25, 2035 |
|
A-2D |
| $ | 45,876,000.00 |
| Variable (2) |
| August 25, 2035 |
|
A-2MZ |
| $ | 54,450,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-1 |
| $ | 37,257,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-2 |
| $ | 33,734,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-3 |
| $ | 23,160,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-4 |
| $ | 16,111,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-5 |
| $ | 16,615,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-6 |
| $ | 14,098,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-7 |
| $ | 15,104,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-8 |
| $ | 11,580,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-9 |
| $ | 10,070,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-10 |
| $ | 15,104,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-11 |
| $ | 6,042,000.00 |
| Variable (2) |
| August 25, 2035 |
|
M-12 |
| $ | 9,063,000.00 |
| Variable (2) |
| August 25, 2035 |
|
B-1 |
| $ | 10,573,000.00 |
| Variable (2) |
| August 25, 2035 |
|
B-2 |
| $ | 3,021,000.00 |
| Variable (2) |
| August 25, 2035 |
|
CE Interest |
| $ | 5,035,323.40 |
| (3) |
| August 25, 2035 |
|
P Interest |
| $ | 100.00 |
| N/A |
| August 25, 2035 |
|
Swap IO Interest |
|
| (4 | ) | (5) |
| August 25, 2035 |
|
R |
|
|
|
| N/A |
| August 25, 2035 |
|
R-X |
|
|
|
| N/A |
| August 25, 2035 |
|
Total |
|
|
|
|
|
| August 25, 2035 |
|
_________________________________________
(1) | For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each Class of Certificates that represents one or more of the “regular interests” in REMIC 4. |
(2) | Calculated in accordance with the definition of “Certificate Interest Rate” herein. |
(3) | Solely for REMIC purposes, the Class CE Interest will (i) have an Original Class Certificate Principal Balance equal to the Initial Overcollateralization Amount and (ii) will accrue interest on its Notional Amount. |
(4) | For federal income tax purposes, the Class IO Interest will not have an Uncertificated Balance, but will have a notional amount equal to the Uncertificated Notional Amount of REMIC 3 Regular Interest IO. |
(5) | For federal income tax purposes, the Class Swap-IO Interest will not have a Certificate Interest Rate, but will be entitled to 100% of the amounts distributed on REMIC 3 Regular Interest LT-IO. |
REMIC 5
As provided herein, the Trustee shall make an election to treat the segregated pool of assets consisting of the Class CE Interest as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 5.” The Class R-5 Interest represents the sole class of “residual interests” in REMIC 5 for purposes of the REMIC Provisions.
The following table sets forth (or describes) the Class designation, Certificate Interest Rate and Original Class Certificate Principal Balance for the Class of Certificates comprising the interests in the Trust Fund created hereunder:
Class | Original Class Certificate Principal Balance | Certificate Interest Rate | Assumed Final |
CE | $ 5,035,323.40 | Variable (2) | August 25, 2035 |
_________________________________________
(1) | For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each Class of Certificates that represents one or more of the “regular interests” in REMIC 5. |
(2) | The Class CE Certificates will be entitled to 100% of amounts distributed on the Class CE Interest. |
REMIC 6
As provided herein, the Trustee shall make an election to treat the segregated pool of assets consisting of the Class P Interest as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 6.” The Class R-6 Interest represents the sole class of “residual interests” in REMIC 6 for purposes of the REMIC Provisions.
The following table sets forth (or describes) the Class designation, Certificate Interest Rate and Original Class Certificate Principal Balance for the Class of Certificates comprising the interests in the Trust Fund created hereunder:
Class | Original Class Certificate Principal Balance | Certificate Interest Rate | Assumed Final |
P | $ 100.00 | Variable (2) | August 25, 2035 |
_________________________________________
(1) | For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each Class of Certificates that represents one or more of the “regular interests” in REMIC 6. |
(2) | The Class P Certificates will be entitled to 100% of amounts distributed on the Class P Interest. |
REMIC 7
As provided herein, the Trustee shall make an election to treat the segregated pool of assets consisting of the Class IO Interest as a REMIC for federal income tax purposes, and such segregated pool of assets will be designated as “REMIC 7.” The Class R-7 Interest represents the sole class of “residual interests” in REMIC 7 for purposes of the REMIC Provisions.
The following table sets forth (or describes) the Class designation, Certificate Interest Rate and Original Class Certificate Principal Balance for the Class of Certificates comprising the interests in the Trust Fund created hereunder:
Class | Original Class Certificate Principal Balance | Certificate Interest Rate | Assumed Final |
REMIC 7 Regular Interest SWAP-IO | $ 100.00 | Variable (2) | August 25, 2035 |
_________________________________________
(1) | For purposes of Section 1.860G-1(a)(4)(iii) of the Treasury regulations, the Distribution Date following the maturity date for the Mortgage Loan with the latest maturity date has been designated as the “latest possible maturity date” for each Class of Certificates that represents one or more of the “regular interests” in REMIC 7. |
(2) | REMIC 7 Regular Interest SWAP-IO will be entitled to 100% of amounts distributed on the Class IO Interest. |
DEFINITIONS
Section 1.01 | Defined Terms. |
Whenever used in this Agreement or in the Preliminary Statement, the following words and phrases, unless the context otherwise requires, shall have the meanings specified in this Article. Interest on all Classes of REMIC 1 Regular Interests will be calculated on the basis of a 360-day year consisting of twelve 30-day months. Interest on all Regular Certificates will be calculated on the basis of the actual number of days in the related Interest Accrual Period and a 360-day year.
“1933 Act”: The Securities Act of 1933, as amended.
“60+ Day Delinquent Loan”: Each Mortgage Loan (including each Mortgage Loan in foreclosure and each Mortgage Loan for which the Mortgagor has filed for bankruptcy after the Closing Date) with respect to which any portion of a Monthly Payment is, as of the last day of the prior Collection Period, two months or more past due and each Mortgage Loan relating to an REO Property.
“Account”: Any of the Collection Account, the Distribution Account, the Cap Carryover Reserve Account, the Swap Account or the Escrow Account.
“Accrued Certificate Interest”: With respect to each Distribution Date and Class of Certificates, an amount equal to the interest accrued at the Certificate Interest Rate during the related Interest Accrual Period on the Certificate Principal Balance of such Class of Certificates, reduced by such Class’ Interest Percentage of Relief Act Interest Shortfalls for such Distribution Date.
“Addition Notice”: With respect to the transfer of Subsequent Mortgage Loans to the Trust Fund pursuant to Section 2.04, a notice of the Depositor’s designation of the Subsequent Mortgage Loans to be sold to the Trust Fund and the aggregate Principal Balance of such Subsequent Mortgage Loans as of the Subsequent Cut-off Date. The Addition Notice shall be given not later than three Business Days prior to the related Subsequent Transfer Date and shall be substantially in the form attached hereto as Exhibit S.
“Adjustable-Rate Mortgage Loan”: A Mortgage Loan which has a rate at which interest accrues that adjusts based on the Index plus a related Gross Margin, as set forth and subject to the limitations in the related Mortgage Note.
“Adjustment Date”: With respect to each Adjustable-Rate Mortgage Loan, each adjustment date on which the Mortgage Interest Rate of an Adjustable-Rate Mortgage Loan changes pursuant to the related Mortgage Note. The first Adjustment Date following the Cut-off Date as to each Adjustable-Rate Mortgage Loan is set forth in the Mortgage Loan Schedule.
“Advance”: As to any Mortgage Loan, any advance made by the Servicer in respect of any Distribution Date pursuant to Section 4.07.
“Adverse REMIC Event”: As defined in Section 9.01(f) hereof.
“Affiliate”: With respect to any Person, any other Person controlling, controlled by or under common control with such Person. For purposes of this definition, “control” means the power to direct the management and policies of a Person, directly or indirectly, whether through ownership of voting securities, by contract or otherwise and “controlling” and “controlled” shall have meanings correlative to the foregoing.
“Aggregate Overcollateralization Release Amount”: With respect to any Distribution Date, the lesser of (i) the Principal Remittance Amount and (ii) the Overcollateralization Release Amount.
“Agreement”: This Pooling and Servicing Agreement and all amendments and supplements hereto.
“Applicable Regulations”: As to any Mortgage Loan, all federal, state and local laws, statutes, rules and regulations applicable thereto.
“Applied Realized Loss Amount”: With respect to each Distribution Date, the excess, if any, of the aggregate of (a) the Certificate Principal Balances of the Certificates (after taking into account the distribution of the Principal Distribution Amount on such Distribution Date and any increase in any Certificate Principal Balance as a result of Subsequent Recoveries) over (b) the Pool Balance as of the end of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period.
“Assignment”: An assignment of Mortgage, notice of transfer or equivalent instrument, in recordable form, which is sufficient under the laws of the jurisdiction wherein the related Mortgaged Property is located to reflect or record the sale of the Mortgage.
“Assumed Final Maturity Date”: As to each Class of Certificates, the date set forth as such in the Preliminary Statement.
“Available Funds”: As to any Distribution Date, an amount equal to the excess of (i) the sum of (a) the aggregate of the Monthly Payments due during the related Collection Period and received on or prior to the related Determination Date by the Servicer, (b) Liquidation Proceeds, Insurance Proceeds, Condemnation Proceeds, Principal Prepayments, Substitution Adjustment Amounts, the Purchase Price for any repurchased Mortgage Loan, the Termination Price with respect to the termination of the Trust pursuant to Section 10.01 hereof and other unscheduled recoveries of principal and interest (excluding Prepayment Charges, Originator Prepayment Charge Payment Amounts, Servicer Prepayment Charge Payment Amounts and Prepayment Interest Excess) in respect of the Mortgage Loans during the related Prepayment Period, (c) the aggregate of any amounts received in respect of an REO Property deposited in the Collection Account for such Distribution Date, (d) any Compensating Interest for such Distribution Date, (e) the aggregate of any Advances made by the Servicer for such Distribution Date, (f) any Reimbursement Amount or Subsequent Recovery deposited into the Collection Account during the related Prepayment Period and (g) with respect to the Distribution Date immediately following the end of the Funding Period, any amounts in the Pre-Funding Accounts
(exclusive of investment income) after giving effect to any purchase of Subsequent Mortgage Loans over (ii) the sum of (a) amounts reimbursable or payable to the Servicer pursuant to Sections 3.05 or 6.03, (b) amounts reimbursable or payable to the Trustee pursuant to Section 8.05 or Section 9.01(c), (c) Stayed Funds, (d) the Servicing Fee, (e) amounts deposited in the Collection Account or the Distribution Account, as the case may be, in error and (f) any Net Swap Payment or Swap Termination Payment owed to the Swap Provider (other than any Swap Termination Payment owed to the Swap Provider resulting from a Swap Provider Trigger Event).
“Balloon Payment”: A payment of the unamortized principal balance of a Mortgage Loan in a single payment at the maturity of such Mortgage Loan that is substantially greater than the preceding Monthly Payment.
“Bankruptcy Code”: Title 11 of the United States Code, as amended.
“Book-Entry Certificates”: Any of the Certificates that shall be registered in the name of the Depository or its nominee, the ownership of which is reflected on the books of the Depository or on the books of a Person maintaining an account with the Depository (directly, as a “Depository Participant,” or indirectly, as an indirect participant in accordance with the rules of the Depository and as described in Section 5.02 hereof). On the Closing Date, the Floating Rate Certificates shall be Book-Entry Certificates.
“Business Day”: Any day other than a Saturday, a Sunday or a day on which banking institutions in the State of Delaware, the State of New York, the State of New Jersey, the city in which the offices of the Servicer are located or any city in which the Corporate Trust Office of the Trustee is located are authorized or obligated by law or executive order to be closed.
“Cap”: Any of the Group 1 Cap, the Group 2 Cap or the Pool Cap.
“Cap Carryover Amount”: If on any Distribution Date, the Accrued Certificate Interest for any Floating Rate Certificates is based upon the related Cap, the excess of (i) the amount of interest such Certificate would have been entitled to receive on such Distribution Date based on the related Pass-Through Rate, over (ii) the amount of interest such Certificate received on such Distribution Date based on such related Cap, together with the unpaid portion of any such excess from prior Distribution Dates (and interest accrued thereon at the then applicable Pass-Through Rate on such Certificate).
“Cap Carryover Reserve Account”: The reserve account established and maintained pursuant to Section 3.04(g).
“Certificate”: Any Regular Certificate, Class P Certificate or Residual Certificate.
“Certificate Interest Rate”: With respect to any Class of the Floating Rate Certificates and any Distribution Date, the lesser of (x) the related Pass-Through Rate for such Distribution Date and (y) the applicable Cap for such Distribution Date.
With respect to the Class CE Interest and any Distribution Date, a per annum rate equal to the percentage equivalent of a fraction, the numerator of which is the sum of the amounts calculated pursuant to clauses (A) through (W) below, and the denominator of which is the aggregate Uncertificated Balance of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2 and REMIC 3 Regular Interest LTZZ. For purposes of calculating the Certificate Interest Rate for the Class CE Certificates, the numerator is equal to the sum of the following components:
(A) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTAA minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTAA;
(B) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTA1 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTA1;
(C) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTA2A minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTA2A;
(D) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTA2B minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTA2B;
(E) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTA2C minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTA2C;
(F) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTA2D minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTA2D;
(G) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTA2MZ minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTA2MZ;
(H) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM1 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM1;
(I) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM2 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM2;
(J) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM3 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM3;
(K) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM4 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM4;
(L) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM5 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM5;
(M) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM6 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM6;
(N) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM7 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM7;
(O) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM8 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM8;
(P) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM9 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM9;
(Q) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM10 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM10;
(R) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM11 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM11;
(S) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM12 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTM12;
(T) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTB1 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTB1;
(U) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTM6 minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTB2;
(V) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTZZ minus the Marker Rate, applied to an amount equal to the Uncertificated Balance of REMIC 3 Regular Interest LTZZ; and
(W) 100% of the interest distributed on REMIC 3 Regular Interest LTP.
With respect to the Class Class CE Certificates, 100% of the interest distributed on the Class CE Interest.
With respect to the Class SWAP-IO Interest, the Class SWAP-IO Interest shall not have a Pass-Through Rate, but interest for such Regular Interest and each Distribution Date shall be an amount equal to 100% of the amounts distributable to REMIC 3 Regular Interest LTIO for such Distribution Date.
“Certificate Owner”: With respect to each Book-Entry Certificate, any beneficial owner thereof.
“Certificate Principal Balance”: With respect to any Class of Certificates (other than the Residual Certificates) and any Distribution Date, the Original Class Certificate Principal Balance (a) reduced by the sum of (i) all amounts actually distributed in respect of principal of such Class on all prior Distribution Dates and (ii) Applied Realized Loss Amounts allocated thereto for previous Distribution Dates and (b) increased by any Subsequent Recoveries allocated to such Class for previous Distribution Dates. The Residual Certificates do not have a Certificate Principal Balance. With respect to the Class CE Certificates, the excess of the aggregate Uncertificated Balance of the REMIC 3 Regular Interests over the aggregate Certificate Principal Balance of the Certificates (other than the Class CE Certificates).
“Certificate Register” and “Certificate Registrar”: The register maintained and registrar appointed pursuant to Section 5.02 hereof.
“Certificateholder” or “Holder”: The Person in whose name a Certificate is registered in the Certificate Register, except that a Disqualified Organization or non-U.S. Person shall not be a Holder of any Residual Certificate for any purpose hereof.
“Certification”: As defined in Section 3.31(b) hereof.
“Class”: Collectively, Certificates or REMIC Regular Interests which have the same priority of payment and bear the same class designation and the form of which is identical except for variation in the Percentage Interest evidenced thereby.
“Certificate Margin”: With respect to each Class of Floating Rate Certificates and for purposes of the Marker Rate and the Maximum LTZZ Uncertificated Accrued Interest Deferral Amount, the specified REMIC 3 Regular Interest, as follows:
Class | REMIC 3 Regular Interest | Certificate Margin | |
(1) (%) | (2) (%) | ||
A-1 | LTA1 | 0.260% | 0.520% |
A-2A | LTA2A | 0.110% | 0.220% |
A-2B | LTA2B | 0.180% | 0.360% |
A-2C | LTA2C | 0.280% | 0.560% |
A-2D | LTA2D | 0.360% | 0.720% |
A-2MZ | LT2MZ | 0.320% | 0.640% |
M-1 | LTM1 | 0.440% | 0.660% |
M-2 | LTM2 | 0.450% | 0.675% |
M-3 | LTM3 | 0.490% | 0.735% |
M-4 | LTM4 | 0.590% | 0.885% |
M-5 | LTM5 | 0.630% | 0.945% |
M-6 | LTM6 | 0.680% | 1.020% |
M-7 | LTM7 | 1.120% | 1.680% |
M-8 | LTM8 | 1.300% | 1.950% |
M-9 | LTM9 | 1.750% | 2.625% |
M-10 | LTM10 | 2.000% | 3.000% |
M-11 | LTM11 | 3.000% | 4.500% |
M-12 | LTM12 | 2.500% | 3.750% |
B-1 | LTB1 | 2.500% | 3.750% |
B-2 | LTB2 | 2.500% | 3.750% |
__________
(1) | For the Accrual Period for each Distribution Date on or prior to the Optional Termination Date. |
(2) | For each other Accrual Period. |
“Class A Certificate”: Any one of the Certificates with an “A” designated on the face thereof substantially in the form annexed hereto as Exhibits A-1, A-2, A-3, A-4, A-5 and A-6, executed by the Trustee on behalf of the Trust and authenticated and delivered by the Certificate Registrar, representing the right to distributions as set forth herein and therein and evidencing (i) a REMIC Regular Interest in REMIC 4, (ii) the right to receive the related Cap Carryover Amount and (iii) the obligation to pay any Class IO Distribution Amount.
“Class A Certificateholders”: Collectively, the Holders of the Class A Certificates.
“Class B Certificate”: Any one of the Certificates with an “B” designated on the face thereof substantially in the form annexed hereto as Exhibits B-13 and B-14, executed by the Trustee on behalf of the Trust and authenticated and delivered by the Certificate Registrar, representing the right to distributions as set forth herein and therein and evidencing (i) a REMIC Regular Interest in REMIC 4, (ii) the right to receive the related Cap Carryover Amount and (iii) the obligation to pay any Class IO Distribution Amount..
“Class B Certificateholders”: Collectively, the Holders of the Class B Certificates.
“Class B-1 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum
of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date), (x) the Certificate Principal Balance of the Class M-9 Certificates (after taking into account the distribution of the Class M-9 Principal Distribution Amount on such Distribution Date), (xi) the Certificate Principal Balance of the Class M-10 Certificates (after taking into account the distribution of the Class M-10 Principal Distribution Amount on such Distribution Date), (xii) the Certificate Principal Balance of the Class M-11 Certificates (after taking into account the distribution of the Class M-11 Principal Distribution Amount on such Distribution Date), (xiii) the Certificate Principal Balance of the Class M-12 Certificates (after taking into account the distribution of the Class M-12 Principal Distribution Amount on such Distribution Date) and (xiii) the Certificate Principal Balance of the Class B-1 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 98.40% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class B-2 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account thedistribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the
Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date), (x) the Certificate Principal Balance of the Class M-9 Certificates (after taking into account the distribution of the Class M-9 Principal Distribution Amount on such Distribution Date), (xi) the Certificate Principal Balance of the Class M-10 Certificates (after taking into account the distribution of the Class M-10 Principal Distribution Amount on such Distribution Date), (xii) the Certificate Principal Balance of the Class M-11 Certificates (after taking into account the distribution of the Class M-11 Principal Distribution Amount on such Distribution Date), (xiii) the Certificate Principal Balance of the Class M-12 Certificates (after taking into account the distribution of the Class M-12 Principal Distribution Amount on such Distribution Date) (xiv) the Certificate Principal Balance of the Class B-1 Certificates (after taking into account the distribution of the Class B-1 Principal Distribution Amount on such Distribution Date) and (xv) the Certificate Principal Balance of the Class B-2 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 99.00% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class CE Certificates”: Any one of the Class CE Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit C-1, executed by the Trustee on behalf of the Trust and authenticated and delivered by the Certificate Registrar, representing the right to distributions as set forth herein and therein and evidencing (i) a REMIC Regular Interest in REMIC 5, (ii) the obligation to pay Cap Carryover Amounts and Swap Termination Payments and (iii) the obligation to pay any Class IO Distribution Amount.
“Class CE Distributable Amount”: With respect to any Distribution Date, the sum of (i) the interest accrued on such Class CE Certificate at its Certificate Interest Rate calculated on its Notional Amount less the amount (without duplication) of Cap Carryover Amounts paid pursuant to Section 4.02(b)(xvii), (ii) any remaining Aggregate Overcollateralization Release Amounts, (iii) the aggregate of amounts remaining in the Cap Carryover Reserve Account after the distributions in Section 3.04(g).
“Class CE Interest”: An uncertificated interest in the Trust Fund held by the Trustee, evidencing a Regular Interest in REMIC 4 for purposes of the REMIC Provisions.
“Class IO Distribution Amount”: As defined in Section 4.09 hereof. For purposes of clarity, the Class IO Distribution Amount for any Distribution Date shall equal the amount
payable to the Swap Account on such Distribution Date in excess of the amount payable on the Class IO Interest on such Distribution Date, all as further provided in Section 4.09 hereof.
“Class Swap-IO Interest”: An uncertificated interest in the Trust Fund held by the Trustee, evidencing a REMIC Regular Interest in REMIC 4 for purposes of the REMIC Provisions.
“Class M Certificate”: Any one of the Certificates with an “M” designated on the face thereof substantially in the form annexed hereto as Exhibits B-1, B-2, B-3, B-4, B-5, B-6, B-7, B-8, B-9, B-10, B-11 and B-12, executed by the Trustee on behalf of the Trust and authenticated and delivered by the Certificate Registrar, representing the right to distributions as set forth herein and therein and evidencing (i) a REMIC Regular Interest in REMIC 4, (ii) the right to receive the related Cap Carryover Amount and (iii) the obligation to pay any Class IO Distribution Amount.
“Class M Certificateholders”: Collectively, the Holders of the Class M Certificates.
“Class M-1 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date) and (ii) the Certificate Principal Balance of the Class M-1 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 62.40% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-2 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date) and (iii) the Certificate Principal Balance of the Class M-2 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 69.10% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-3 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum
of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), and (iv) the Certificate Principal Balance of the Class M-3 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 73.70% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-4 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date) and (v) the Certificate Principal Balance of the Class M-4 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 76.90% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-5 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date) and (vi) the Certificate Principal Balance of the Class M-5 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 80.20% and (ii) the Pool Balance as
of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-6 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date) and (vii) the Certificate Principal Balance of the Class M-6 Certificates immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 83.00% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-7 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date) and (viii) the Certificate Principal Balance of the Class M-7 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 86.00% and (ii) the Pool Balance as
of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-8 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date) and (ix) the Certificate Principal Balance of the Class M-8 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 88.30% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-9 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the
Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date) and (x) the Certificate Principal Balance of the Class M-9 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 90.30% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-10 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date), (x) the Certificate Principal Balance of the Class M-9 Certificates (after taking into account the distribution of the Class M-9 Principal Distribution Amount on such Distribution Date) and (xi) the Certificate Principal Balance of the Class M-10 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 93.30% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-11 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum
of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date), (x) the Certificate Principal Balance of the Class M-9 Certificates (after taking into account the distribution of the Class M-9 Principal Distribution Amount on such Distribution Date), (xi) the Certificate Principal Balance of the Class M-10 Certificates (after taking into account the distribution of the Class M-10 Principal Distribution Amount on such Distribution Date) and (xii) the Certificate Principal Balance of the Class M-11 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 94.50% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class M-12 Principal Distribution Amount”: As of any Distribution Date on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (x) the sum of (i) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account the distribution of the Senior Principal Distribution Amount on such Distribution Date), (ii) the Certificate Principal Balance of the Class M-1 Certificates (after taking into account the distribution of the Class M-1 Principal Distribution Amount on such Distribution Date), (iii) the Certificate Principal Balance of the Class M-2 Certificates (after taking into account the distribution of the Class M-2 Principal Distribution Amount on such Distribution Date), (iv) the Certificate Principal Balance of the Class M-3 Certificates (after taking into account the distribution of the Class M-3 Principal Distribution Amount on such Distribution Date), (v) the Certificate Principal Balance of the Class M-4 Certificates (after taking into account the distribution of the Class M-4 Principal Distribution Amount on such Distribution Date), (vi) the Certificate Principal Balance of the Class M-5 Certificates (after taking into account the distribution of the Class M-5 Principal Distribution Amount on such Distribution Date), (vii) the Certificate Principal Balance of the Class M-6 Certificates (after taking into account the distribution of the Class M-6 Principal Distribution Amount on such Distribution Date), (viii) the
Certificate Principal Balance of the Class M-7 Certificates (after taking into account the distribution of the Class M-7 Principal Distribution Amount on such Distribution Date), (ix) the Certificate Principal Balance of the Class M-8 Certificates (after taking into account the distribution of the Class M-8 Principal Distribution Amount on such Distribution Date), (x) the Certificate Principal Balance of the Class M-9 Certificates (after taking into account the distribution of the Class M-9 Principal Distribution Amount on such Distribution Date), (xi) the Certificate Principal Balance of the Class M-10 Certificates (after taking into account the distribution of the Class M-10 Principal Distribution Amount on such Distribution Date), (xii) (xi) the Certificate Principal Balance of the Class M-11 Certificates (after taking into account the distribution of the Class M-11 Principal Distribution Amount on such Distribution Date) and (xii) the Certificate Principal Balance of the Class M-12 Certificates the immediately prior to such Distribution Date over (y) the lesser of (A) the product of (i) 96.30% and (ii) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period minus the the product of (i) 0.50% and (ii) the sum of (a) the Cut-off Date Aggregate Principal Balance and (b) the Original Pre-Funded Amounts.
“Class P Certificate”: Any one of the Certificates with a “P” designated on the face thereof substantially in the form annexed hereto as Exhibit C-2, executed by the Trustee on behalf of the Trust and authenticated and delivered by the Certificate Registrar, representing the right to distributions as set forth herein and therein and evidencing a REMIC Regular Interest in REMIC 6.
“Class P Interest”: An uncertificated interest in the Trust Fund held by the Trustee, evidencing a Regular Interest in REMIC 4 for purposes of the REMIC Provisions.
“Class R Certificate”: The Class R Certificate executed by the Trustee on behalf of the Trust, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C-3 and evidencing the ownership of the Residual Interest in each of REMIC 1, REMIC 2, REMIC 3 and REMIC 4. The Class R Certificate represents the ownership of the Class R-1 Interest, the Class R-2 Interest, the Class R-3 Interest and the Class R-4 Interest.
“Class R-X Certificate”: The Class R-X Certificate executed by the Trustee on behalf of the Trust, and authenticated and delivered by the Certificate Registrar, substantially in the form annexed hereto as Exhibit C-4 and evidencing the ownership of the Residual Interest in each of REMIC 5, REMIC 6 and REMIC 7. The Class R-X Certificate represents the ownership of the Class R-5 Interest, the Class R-6 Interest and the Class R-7 Interest.
“Class R-1 Interest”: The uncertificated residual interest in REMIC 1.
“Class R-2 Interest”: The uncertificated residual interest in REMIC 2.
“Class R-3 Interest”: The uncertificated residual interest in REMIC 3.
“Class R-4 Interest”: The uncertificated residual interest in REMIC 4.
“Class R-5 Interest”: The uncertificated residual interest in REMIC 5.
“Class R-6 Interest”: The uncertificated residual interest in REMIC 6.
“Class R-7 Interest”: The uncertificated residual interest in REMIC 7.
“Closing Date”: September 30, 2005.
“Code”: The Internal Revenue Code of 1986, as it may be amended from time to time.
“Collection Account”: The account or accounts created and maintained by the Servicer pursuant to Section 3.04(a), which shall be entitled “Collection Account, HomEq Servicing Corporation, as Servicer for the Trust under the Pooling and Servicing Agreement dated as of September 1, 2005 among Asset Backed Funding Corporation, as Depositor, HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as Trustee, in trust for registered Holders of ABFC 2005-WMC1 Trust, ABFC Asset-Backed Certificates, Series 2005-WMC1,” and which must be an Eligible Account.
“Collection Period”: With respect to any Distribution Date, the period from the second day of the calendar month preceding the month in which such Distribution Date occurs through the first day of the month in which such Distribution Date occurs.
“Combined Loan-to-Value Ratio”: For any Mortgage Loan, the fraction, expressed as a percentage, the numerator of which is the sum of (i) the Principal Balance of the Mortgage Loan at origination and (ii) the principal balance of the senior mortgage loan, if any, on the date of origination of the Mortgage Loan and the denominator of which is the Value of the related Mortgaged Property.
“Commission”: The United States Securities and Exchange Commission.
“Compensating Interest”: As defined in Section 3.23 hereof.
“Condemnation Proceeds”: All awards or settlements in respect of a taking of a Mortgaged Property by exercise of the power of eminent domain or condemnation.
“Consulting Agreement”: The Consulting Agreement, dated as of September 30, 2005, between The Murrayhill Company, as Credit Risk Manager, and the Depositor.
“Corporate Trust Office”: The principal corporate trust office of the Trustee at which at any particular time its corporate trust business in connection with this Agreement shall be administered, which office at the date of the execution of this instrument is located at (i) for certificate transfer purposes, Wells Fargo Center, Sixth Street and Marquette Avenue, Minneapolis, Minnesota, 55479-0113, Attention: Client Manager-ABFC, Series 2005-WMC1 and (ii) for all other purposes, 9062 Old Annapolis Road, Columbia, Maryland 21045, Attention: Client Manager-ABFC, Series 2005-WMC1 or at such other address as the Trustee
may designate from time to time by notice to the Certificateholders, the Depositor and the Servicer.
“Corresponding Classes”: With respect to the following REMIC 3 Regular Interests, the following Classes:
REMIC 3 Regular Interest | Certificate |
LTA1 | Class A-1 Certificates |
LTA2A | Class A-2A Certificates |
LTA2B | Class A-2B Certificates |
LTA2C | Class A-2C Certificates |
LTA2D | Class A-2D Certificates |
LT-2MZ | Class A-2MZ Certificates |
LTM1 | Class M-1 Certificates |
LTM2 | Class M-2 Certificates |
LTM3 | Class M-3 Certificates |
LTM4 | Class M-4 Certificates |
LTM5 | Class M-5 Certificates |
LTM6 | Class M-6 Certificates |
LTM7 | Class M-7 Certificates |
LTM8 | Class M-8 Certificates |
LTM9 | Class M-9 Certificates |
LTM10 | Class M-10 Certificates |
LTM11 | Class M-11 Certificates |
LTM12 | Class M-12 Certificates |
LTB1 | Class B-1 Certificates |
LTB2 | Class B-2 Certificates |
LTP | Class P Certificates |
“Credit Risk Manager”: The Murrayhill Company, a Colorado corporation.
“Credit Risk Manager Fee”: The fee payable to the Credit Risk Manager on each Distribution Date for its services as Credit Risk Manager, in an amount equal to the product of (i) one-twelfth of the Credit Risk Manager Fee Rate and (ii) the Pool Balance as of the opening of business on the first day of the related Collection Period.
“Credit Risk Manager Fee Rate”: With respect to any Distribution Date, 0.0150% per annum.
“Credit Risk Management Agreement”: The Credit Risk Management Agreement between the Servicer and the Credit Risk Manager dated as of September 30, 2005.
“Cut-off Date”: September 1, 2005.
“Cut-off Date Aggregate Principal Balance”: The aggregate Cut-off Date Principal Balance of the Mortgage Loans.
“Cut-off Date Principal Balance”: With respect to any Mortgage Loan, the unpaid Principal Balance thereof as of the Cut-off Date or Subsequent Cut-off Date, as applicable, after application of funds received or advanced on or before such date (or as of the applicable date of substitution with respect to an Eligible Substitute Mortgage Loan).
“Debt Service Reduction”: With respect to any Mortgage Loan, a reduction in the scheduled Monthly Payment for such Mortgage Loan by a court of competent jurisdiction in a proceeding under the Bankruptcy Code, except such a reduction resulting from a Deficient Valuation.
“Defective Mortgage Loan”: A Mortgage Loan replaced or to be replaced by one or more Eligible Substitute Mortgage Loans.
“Deficient Valuation”: With respect to any Mortgage Loan, a valuation of the related Mortgaged Property by a court of competent jurisdiction in an amount less than the then outstanding principal balance of the Mortgage Loan, which valuation results from a proceeding initiated under the Bankruptcy Code.
“Definitive Certificates”: As defined in Section 5.02(c) hereof.
“Delinquent”: Any Mortgage Loan with respect to which the Monthly Payment due on a Due Date is not made by the close of business on the next scheduled Due Date for such Mortgage Loan.
“Depositor”: Asset Backed Funding Corporation, a Delaware corporation, or any successor in interest.
“Depository”: The initial depository shall be The Depository Trust Company, whose nominee is Cede & Co., or any other organization registered as a “clearing agency” pursuant to Section 17A of the Exchange Act. The Depository shall initially be the registered Holder of the Book-Entry Certificates. The Depository shall at all times be a “clearing corporation” as defined in Section 8-102(3) of the Uniform Commercial Code of the State of New York.
“Depository Participant”: A broker, dealer, bank or other financial institution or other person for whom from time to time a Depository effects book-entry transfers and pledges of securities deposited with the Depository.
“Determination Date”: With respect to any Distribution Date, the 15th day of the calendar month in which such Distribution Date occurs or, if such 15th day is not a Business Day, the Business Day immediately preceding such 15th day.
“Directly Operate”: With respect to any REO Property, the furnishing or rendering of services to the tenants thereof, the management or operation of such REO Property, the holding of such REO Property primarily for sale to customers, the performance of any construction work thereon or any use of such REO Property in a trade or business conducted by the Trust other than through an Independent Contractor; provided, however, that the Trustee (or
the Servicer under this Agreement) shall not be considered to Directly Operate an REO Property solely because the Trustee (or the Servicer under this Agreement) establishes rental terms, chooses tenants, enters into or renews leases, deals with taxes and insurance, or makes decisions as to repairs or capital expenditures with respect to such REO Property.
“Disqualified Organization”: A “disqualified organization” under Section 860E of the Code, which as of the Closing Date is any of: (i) the United States, any state or political subdivision thereof, any possession of the United States, any foreign government, any international organization, or any agency or instrumentality of any of the foregoing, (ii) any organization (other than a cooperative described in Section 521 of the Code) which is exempt from the tax imposed by Chapter 1 of the Code unless such organization is subject to the tax imposed by Section 511 of the Code, (iii) any organization described in Section 1381(a)(2)(C) of the Code, or (iv) any other Person so designated by the Trustee based upon an Opinion of Counsel provided by nationally recognized counsel to the Trustee that the holding of an ownership interest in a Residual Certificate by such Person may cause the Trust Fund or any Person having an ownership interest in any Class of Certificates (other than such Person) to incur liability for any federal tax imposed under the Code that would not otherwise be imposed but for the transfer of an ownership interest in a Residual Certificate to such Person. A corporation will not be treated as an instrumentality of the United States or of any state or political subdivision thereof if all of its activities are subject to tax and a majority of its board of directors is not selected by a governmental unit. The term “United States,” “state” and “international organization” shall have the meanings set forth in Section 7701 of the Code.
“Distribution Account”: The trust account or accounts created and maintained by the Trustee pursuant to Section 3.04(b), which shall be entitled “Distribution Account, Wells Fargo Bank, N.A., as Trustee, in trust for the registered Holders of ABFC 2005-WMC1 Trust, ABFC Asset-Backed Certificates, Series 2005-WMC1” and which must be an Eligible Account.
“Distribution Date”: The 25th day of any calendar month, or if such 25th day is not a Business Day, the Business Day immediately following such 25th day, commencing in October 2005.
“Distribution Date Statement”: As defined in Section 4.06(a) hereof.
“Due Date”: With respect to each Mortgage Loan and any Distribution Date, the day of the calendar month in which such Distribution Date occurs on which the Monthly Payment for such Mortgage Loan was due, exclusive of any grace period.
“Eligible Account”: Any of (i) an account or accounts maintained with a federal or state chartered depository institution or trust company the short-term unsecured debt obligations of which (or, in the case of a depository institution or trust company that is the principal subsidiary of a holding company, the short-term unsecured debt obligations of such holding company) are rated “A–1+” by S&P, “P-1” by Moody’s and “F-1+” by Fitch (or comparable ratings if S&P, Moody’s and Fitch are not the Rating Agencies) by each of the Rating Agencies at the time any amounts are held on deposit therein, (ii) an account or accounts the deposits in which are fully insured by the FDIC, (iii) a trust account or accounts maintained
with the trust department of a federal or state chartered depository institution, national banking association or trust company acting in its fiduciary capacity or (iv) an account otherwise acceptable to each Rating Agency without reduction or withdrawal of their then current ratings of the Certificates as evidenced by a letter from each Rating Agency to the Trustee and the NIMS Insurer. Eligible Accounts may bear interest.
“Eligible Investments”: Any one or more of the following obligations or securities acquired at a purchase price of not greater than par, regardless of whether issued or managed by the Depositor, the Servicer, the NIMS Insurer, the Trustee or any of their respective Affiliates or for which an Affiliate of the Trustee serves as an advisor:
(i) direct obligations of, or obligations fully guaranteed as to timely payment of principal and interest by, the United States or any agency or instrumentality thereof, provided such obligations are backed by the full faith and credit of the United States;
(ii) (A) demand and time deposits in, certificates of deposit of, bankers’ acceptances issued by or federal funds sold by any depository institution or trust company (including the Trustee or its agents acting in their respective commercial capacities) incorporated under the laws of the United States of America or any state thereof and subject to supervision and examination by federal and/or state authorities, so long as, at the time of such investment or contractual commitment providing for such investment, such depository institution or trust company or its ultimate parent has a short-term uninsured debt rating in one of the two highest available rating categories of S&P and Moody’s and the highest available rating category of Fitch and provided that each such investment has an original maturity of no more than 365 days and (B) any other demand or time deposit or deposit which is fully insured by the FDIC;
(iii) repurchase obligations with a term not to exceed 30 days with respect to any security described in clause (i) above and entered into with a depository institution or trust company (acting as principal) rated A or higher by S&P, A+ or higher by Fitch and A2 or higher by Moody’s, provided, however, that collateral transferred pursuant to such repurchase obligation must be of the type described in clause (i) above and must (A) be valued daily at current market prices plus accrued interest or (B) pursuant to such valuation, be equal, at all times, to 105% of the cash transferred by the Trustee in exchange for such collateral and (C) be delivered to the Trustee or, if the Trustee is supplying the collateral, an agent for the Trustee, in such a manner as to accomplish perfection of a security interest in the collateral by possession of certificated securities;
(iv) securities bearing interest or sold at a discount that are issued by any corporation incorporated under the laws of the United States of America or any State thereof and that are rated by each Rating Agency in its highest long-term unsecured rating categories at the time of such investment or contractual commitment providing for such investment;
(v) commercial paper (including both non-interest-bearing discount obligations and interest-bearing obligations payable on demand or on a specified date not
more than 30 days after the date of acquisition thereof) that is rated by each Rating Agency in its highest short-term unsecured debt rating available at the time of such investment;
(vi) units of money market funds registered under the Investment Company Act of 1940 (including funds managed or advised by the Trustee or affiliates thereof) that, if rated by each Rating Agency, are rated in its highest rating category (if so rated by such Rating Agency); and
(vii) if previously confirmed in writing to the Trustee and consented to by the NIMS Insurer, any other demand, money market or time deposit, or any other obligation, security or investment, as may be acceptable to the Rating Agencies in writing as an eligible investment of funds backing securities having ratings equivalent to its highest initial rating of the Senior Certificates;
provided, that no instrument described hereunder shall evidence either the right to receive (a) only interest with respect to the obligations underlying such instrument or (b) both principal and interest payments derived from obligations underlying such instrument and the interest and principal payments with respect to such instrument provide a yield to maturity at par greater than 120% of the yield to maturity at par of the underlying obligations.
“Eligible Substitute Mortgage Loan”: A mortgage loan substituted for a Defective Mortgage Loan pursuant to the terms of this Agreement which must, on the date of such substitution, (i) have an outstanding principal balance (or in the case of a substitution of more than one Mortgage Loan for a Defective Mortgage Loan, an aggregate principal balance) not in excess of the then outstanding principal balance of the Defective Mortgage Loan as of the Due Date in the calendar month during which the substitution occurs, (ii) be of the same type (fixed-rate or adjustable-rate) and have a Mortgage Interest Rate not less than the Mortgage Interest Rate of the Defective Mortgage Loan and not more than 2% in excess of the Mortgage Interest Rate of such Defective Mortgage Loan and, with respect to an Adjustable-Rate Mortgage Loan, have the same Index as the Defective Mortgage Loan and have a Gross Margin equal to or greater than the Defective Mortgage Loan, (iii) have a Credit Score not less than the Defective Mortgage Loan, (iv) have a remaining term to maturity not more than one year earlier and not later than the remaining term to maturity of the Defective Mortgage Loan, (v) have a Combined Loan-to-Value Ratio as of the date of substitution not greater than the Combined Loan-to-Value Ratio of the Defective Mortgage Loan as of such date, (vi) have a Prepayment Charge at least equal in amount of that of the Defective Mortgage Loan and (vii) comply with each representation and warranty as to the Mortgage Loans set forth in the WMC Sale Agreement and Section 3.01 of the Mortgage Loan Purchase Agreement applicable to the Defective Mortgage Loan. In the event that one or more mortgage loans are substituted for one or more Defective Mortgage Loans, the amounts described in clause (i) hereof shall be determined on the basis of aggregate principal balance, the Mortgage Interest Rates described in clause (ii) hereof shall be determined on the basis of weighted average Mortgage Interest Rates, the terms described in clause (iv) hereof shall be determined on the basis of weighted average remaining term to maturity, the Combined Loan-to-Value Ratios described in clause (v) hereof shall be satisfied as to each such mortgage loan and, except to the extent otherwise provided in this sentence, the representations and warranties described in clause (vii) hereof must be satisfied as to each
Eligible Substitute Mortgage Loan or in the aggregate, as the case may be. Any Defective Mortgage Loan that is a Group 1 Mortgage Loan or Group 2 Mortgage Loan must be replaced by an Eligible Substitute Mortgage Loan that will be a Group 1 Mortgage Loan or Group 2 Mortgage Loan, as applicable.
“ERISA”: The Employee Retirement Income Security Act of 1974, as amended.
“ERISA-Restricted Certificates”: Any of the Class B-1, Class B-2, Class CE, Class P and Residual Certificates.
“Escrow Account”: The account or accounts created and maintained pursuant to Section 3.06.
“Escrow Payments”: The amounts constituting ground rents, taxes, assessments, water rates, mortgage insurance premiums, fire and hazard insurance premiums and other payments required to be escrowed by the Mortgagor with the mortgagee pursuant to any Mortgage Loan.
“Estate in Real Property”: A fee simple estate in a parcel of real property.
“Exchange Act”: The Securities Exchange Act of 1934, as amended.
“Expense Fee Rate”: The sum of (i) the Servicing Fee Rate and (ii) the Credit Risk Manager Fee Rate.
“Extended Period”: As defined in Section 9.04(b).
“Extra Principal Distribution Amount”: As of any Distribution Date, the lesser of (x) the Monthly Excess Interest Amount for such Distribution Date and (y) the Overcollateralization Deficiency for such Distribution Date.
“FDIC”: Federal Deposit Insurance Corporation or any successor thereto.
“Fidelity Bond”: Shall have the meaning assigned thereto in Section 3.12.
“Final Recovery Determination”: With respect to any defaulted Mortgage Loan or any REO Property (other than a Mortgage Loan or REO Property (i) purchased by the Originator or the Seller pursuant to or as contemplated by Section 2.03, (ii) purchased by the Servicer pursuant to Section 3.16 or (iii) purchased by the Majority Class CE Certificateholders or the Servicer pursuant to Section 10.01), a determination made by the Servicer that all Insurance Proceeds, Condemnation Proceeds, Liquidation Proceeds and other payments or recoveries which the Servicer, in its reasonable good faith judgment, expects to be finally recoverable in respect thereof have been so recovered. The Servicer shall maintain records, prepared by a Servicing Officer, of each Final Recovery Determination made thereby.
“Fitch”: Fitch Ratings and its successors, and if such company shall for any reason no longer perform the functions of a securities rating agency, “Fitch” shall be deemed to
refer to any other “nationally recognized statistical rating organization” as set forth on the most current list of such organizations released by the Commission.
“Fixed-Rate Mortgage Loan”: A Mortgage Loan which has a constant annual rate at which interest accrues in accordance with the provisions of the related Mortgage Note.
“Fixed Swap Payment”: With respect to any Distribution Date, a fixed amount equal to the related amount set forth in the Interest Rate Swap Agreement.
“Floating Rate Certificates”: Any Class A Certificates, Class M Certificates or Class B Certificates.
“Floating Swap Payment”: With respect to any Distribution Date, a floating amount equal to the product of (i) LIBOR (as determined pursuant to the Interest Rate Swap Agreement for such Distribution Date), (ii) the related Base Calculation Amount (as defined in the Interest Rate Swap Agreement), (iii) 250 and (iv) a fraction, the numerator of which is the actual number of days elapsed from and including the previous Distribution Date to but excluding the current Distribution Date (or, for the first Distribution Date, the actual number of days elapsed from the Closing Date to but excluding the first Distribution Date), and the denominator of which is 360.
“Foreclosure Price”: The amount reasonably expected to be received from the sale of the related Mortgaged Property net of any expenses associated with foreclosure proceedings.
“Form 10-K”: As defined in Section 3.31(a) hereof.
“Funding Period”: The period beginning on the Closing Date and ending on the earlier to occur of (a) the date upon which the amount on deposit in the Pre-Funding Accounts (exclusive of investment income) has been reduced to zero or (b) December 30, 2005.
“Gross Margin”: With respect to each Adjustable-Rate Mortgage Loan, the fixed percentage set forth in the related Mortgage Note that is added to the Index on each Adjustment Date in accordance with the terms of the related Mortgage Note used to determine the Mortgage Interest Rate for such Mortgage Loan.
“Group 1 Allocation Percentage”: With respect to each Distribution Date, the aggregate Principal Balance of the Group 1 Mortgage Loans plus any amounts on deposit in the Group 1 Pre-Funding Account divided by the sum of the aggregate Principal Balance of the Group 1 Mortgage Loans and the Group 2 Mortgage Loans plus any amounts on deposit in the Pre-Funding Accounts.
“Group 1 Cap”: With respect to each Distribution Date and the Group 1 Certificates, a per annum rate, equal to the product of (x) a fraction, expressed as a percentage, the numerator of which is (1) the amount of interest accrued on the Group 1 Mortgage Loans on the Due Date occurring in the prior calendar month, minus (2) the sum of (x) the Servicing Fee and the Credit Risk Manager Fee with respect to the Group 1 Mortgage Loans, (y) the Group 1 Allocation Percentage of any Net Swap Payment owed to the Swap Provider and (z) the Group 1
Allocation Percentage of any Swap Termination Payment (other than any Swap Termination Payment resulting from a Swap Provider Trigger Event) payable by the Trust, and the denominator of which is equal to the sum of (i) the aggregate Principal Balance of the Group 1 Mortgage Loans as of the last day of the immediately preceding Collection Period, after giving effect to Principal Prepayments received during the related Prepayment Period and (ii) the amount on deposit in the Group 1 Pre-Funding Account and (b) 12 and (y) a fraction whose numerator is 360 and whose denominator is the actual number of days elapsed in the related Interest Accrual Period. For federal income tax purposes and the REMIC 4 Regular Interests the ownership of which is represented by the Class A-1 Certificates, the weighted average (adjusted for the actual number of days elapsed in the related Accrual Period) of the Uncertificated REMIC 3 Pass-Through Rate on REMIC 3 Regular Interest LT1GRP, weighted on the basis of the Uncertificated Balance of such REMIC 3 Regular Interest immediately prior to such Distribution Date.
“Group 1 Certificates”: Any Class A-1 Certificates.
“Group 1 Interest Remittance Amount”: As of any Distribution Date, the sum, without duplication, of (i) all interest due and collected or advanced with respect to the related Collection Period on the Group 1 Mortgage Loans received by the Servicer on or prior to the Determination Date for such Distribution Date (less the Servicing Fee, amounts available for reimbursement of Advances and Servicing Advances pursuant to Section 3.05 and expenses reimbursable pursuant to Section 6.03 and Section 8.05), (ii) all Compensating Interest paid by the Servicer on the related Distribution Date with respect to such Mortgage Loans, (iii) the portion of any payment in connection with any Principal Prepayment (other than any Prepayment Interest Excess), substitution, Purchase Price, Termination Price, Insurance Proceeds or Net Liquidation Proceeds relating to interest with respect to such Mortgage Loans received during the related Prepayment Period and (iv) any Reimbursement Amount relating to the interes with respect to the Group 1 Mortgage Loans received during the related Prepayment Period.
“Group 1 Maximum Rate Cap”: As of any Distribution Date and the Group 1 Certificates, a per annum rate equal to the product of (1) the weighted average of the Net Maximum Mortgage Interest Rates of the Group 1 Mortgage Loans minus an amount, expressed as a per annum rate, equal to the sum of (x) the product of (i) any Net Swap Payment owed to the Swap Provider divided by the aggregate principal balances of the Mortgage Loans and (ii) 12 and (y) the product of (i) any Swap Termination Payment (other than any Swap Termination Payemnt resulting from a Swap Provider Trigger Event), payable by the Trust, divided by the aggregate principal balances of the Mortgage Loans and (ii) 12, plus an amount, expressed as a per annum rate, equal to the product of (x) a fraction, the numerator of which is equal to any Net Swap Payment made by the Swap Provider and the denominator of which is equal to the aggregate principal balances of the Mortgage Loans and (y) 12 and (2) a fraction, the numerator of which is 30 and the denominator of which is the actual number of days elapsed in the related Interest Accrual Period.
“Group 1 Principal Percentage”: With respect to any Distribution Date and the Group 1 Certificates, the percentage equivalent to a fraction, the numerator of which is the Principal Remittance Amount allocable to the Group 1 Mortgage Loans for such Distribution
Date and the denominator of which is the Principal Remittance Amount allocable to the Mortgage Loans for such Distribution Date.
“Group 1 Pre-Funding Account”: The account established and maintained pursuant to Section 4.05, as defined herein.
“Group 1 Senior Principal Distribution Amount”: With respect to any Distribution Date, (i) before the Stepdown Date or as to which a Trigger Event is in effect, the Group 1 Principal Percentage of the Principal Distribution Amount and (ii) on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (a) the Certificate Principal Balance of the Group 1 Certificates immediately prior to such Distribution Date over (b) the lesser of (x) the product of (1) 55.00% and (2) the aggregate Principal Balance of the Group 1 Mortgage Loans as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (y) the amount by which the aggregate Principal Balance of the Group 1 Mortgage Loans as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period exceeds the product of (1) 0.50% and (2) the sum of (a) the aggregate Principal Balance of the Group 1 Mortgage Loans on the Cut-off Date and (b) the Original Group 1 Pre-Funded Amount.
“Group 2 Allocation Percentage”: With respect to each Distribution Date, the aggregate Principal Balance of the Group 2 Mortgage Loans plus any amounts on deposit in the Group 2 Pre-Funding Account divided by the sum of the aggregate Principal Balance of the Group 1 Mortgage Loans and the Group 2 Mortgage Loans plus any amounts on deposit in the Pre-Funding Accounts.
“Group 2 Cap”: With respect to each Distribution Date and the Group 2 Certificates, a per annum rate, equal to the product of (x) a fraction, expressed as a percentage, the numerator of which is (1) the amount of interest accrued on the Group 2 Mortgage Loans on the Due Date occurring in the prior calendar month, minus (2) the sum of (x) the Servicing Fee and the Credit Risk Manager Fee with respect to the Group 2 Mortgage Loans, (y) the Group 2 Allocation Percentage of any Net Swap Payment owed to the Swap Provider and (z) the Group 2 Allocation Percentage of any Swap Termination Payment (other than any Swap Termination Payment resulting from a Swap Provider Trigger Event) payable by the Trust, and the denominator of which is equal to the sum of (i) the aggregate Principal Balance of the Group 2 Mortgage Loans as of the last day of the immediately preceding Collection Period, after giving effect to Principal Prepayments received during the related Prepayment Period and (ii) the amount on deposit in the Group 2 Pre-Funding Account and (b) 12 and (y) a fraction whose numerator is 360 and whose denominator is the actual number of days elapsed in the related Interest Accrual Period. For federal income tax purposes and the REMIC 4 Regular Interests the ownership of which is represented by the Class A-2 Certificates, the weighted average (adjusted for the actual number of days elapsed in the related Accrual Period) of the Uncertificated REMIC 3 Pass-Through Rate on REMIC 3 Regular Interest LT2GRP, weighted on the basis of the Uncertificated Balance of such REMIC 3 Regular Interest immediately prior to such Distribution Date.
“Group 2 Certificates”: Any Class A-2A Certificates, Class A-2B Certificates, Class A-2C Certificates, Class A-2D Certificates or Class A-2MZ Certificates.
“Group 2 Interest Remittance Amount”: As of any Distribution Date, the sum, without duplication, of (i) all interest due and collected or advanced with respect to the related Collection Period on the Group 2 Mortgage Loans received by the Servicer on or prior to the Determination Date for such Distribution Date (less the Servicing Fee, amounts available for reimbursement of Advances and Servicing Advances pursuant to Section 3.05 and expenses reimbursable pursuant to Section 6.03 and Section 8.05), (ii) all Compensating Interest paid by the Servicer on the related Distribution Date with respect to such Mortgage Loans, (iii) the portion of any payment in connection with any Principal Prepayment (other than any Prepayment Interest Excess), substitution, Purchase Price, Termination Price, Insurance Proceeds or Net Liquidation Proceeds relating to interest with respect to such Mortgage Loans received during the related Prepayment Period and (iv) any Reimbursement Amount relating to the interest with respect to the Group 2 Mortgage Loans received during the related Prepayment Period.
“Group 2 Maximum Rate Cap”: As of any Distribution Date and the Group 2 Certificates, a per annum rate equal to the product of (1) the weighted average of the Net Maximum Mortgage Interest Rates of the Group 2 Mortgage Loans minus an amount, expressed as a per annum rate, equal to the sum of (x) the product of (i) any Net Swap Payment owed to the Swap Provider divided by the aggregate principal balances of the Mortgage Loans and (ii) 12 and (y) the product of (i) any Swap Termination Payment (other than any Swap Termination Payemnt resulting from a Swap Provider Trigger Event), payable by the Trust, divided by the aggregate principal balances of the Mortgage Loans and (ii) 12, plus an amount, expressed as a per annum rate, equal to the product of (x) a fraction, the numerator of whichi is equal to any Net Swap Payment made by the Swap Provider and the denominator of which is equal to the aggregate principal balances of the Mortgage Loans and (y) 12 and (2) a fraction, the numerator of which is 30 and the denominator of which is the actual number of days elapsed in the related Interest Accrual Period.
“Group 2 Mortgage Loan”: Each Mortgage Loan listed on Exhibit D hereto.
“Group 2 Pre-Funding Account”: The account established and maintained pursuant to Section 4.05, as defined herein.
“Group 2 Principal Percentage”: With respect to any Distribution Date and the Group 2 Certificates, the percentage equivalent to a fraction, the numerator of which is the Principal Remittance Amount allocable to the Group 2 Mortgage Loans for such Distribution Date and the denominator of which is the Principal Remittance Amount allocable to the Mortgage Loans for such Distribution Date.
“Group 2 Senior Principal Distribution Amount”: With respect to any Distribution Date (i) before the Stepdown Date or as to which a Trigger Event is in effect, the Group 2 Principal Percentage of the Principal Distribution Amount and (ii) on or after the Stepdown Date and as long as a Trigger Event is not in effect, the excess of (a) the aggregate Certificate Principal Balance of the Group 2 Certificates immediately prior to such Distribution Date over
(b) the lesser of (x) the product of (1) 55.00% and (2) the aggregate Principal Balance of the Group 2 Mortgage Loans as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (y) the amount by which the aggregate Principal Balance of the Group 2 Mortgage Loans as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period exceeds the product of (1) 0.50% and (2) the sum of (a) the aggregate Principal Balance of the Group 2 Mortgage Loans on the Cut-off Date and (b) the Original Group 2 Pre-Funded Amount.
“Group Subordinate Amount” for any Distribution Date and (i) the Group 1 Mortgage Loans, will be equal to the greater of zero and the excess of the aggregate Principal Balance of the Group 1 Mortgage Loans as of the first day of the related Collection Period over the Certificate Principal Balance of the Group 1 Certificates immediately prior to such Distribution Date and (ii) the Group 2 Mortgage Loans, will be equal to the greater of zero and the excess of the aggregate Principal Balance of the Group 2 Mortgage Loans as of the first day of the related Collection Period over the aggregate Certificate Principal Balance of the Group 2 Certificates immediately prior to such Distribution Date.
“Indenture”: An indenture relating to the issuance of net interest margin notes secured by the Class CE Certificates and the Class P Certificates, which may or may not be guaranteed by the NIMS Insurer.
“Independent”: When used with respect to any specified Person, any such Person who (i) is in fact independent of the Depositor, the Servicer and their respective Affiliates, (ii) does not have any direct financial interest in or any material indirect financial interest in the Depositor or the Servicer or any Affiliate thereof, and (iii) is not connected with the Depositor or the Servicer or any Affiliate thereof as an officer, employee, promoter, underwriter, trustee, partner, director or Person performing similar functions; provided, however, that a Person shall not fail to be Independent of the Depositor or the Servicer or any Affiliate thereof merely because such Person is the beneficial owner of 1% or less of any class of securities issued by the Depositor or the Servicer or any Affiliate thereof, as the case may be.
“Independent Contractor”: Either (i) any Person (other than the Servicer) that would be an “independent contractor” with respect to the Trust Fund within the meaning of Section 856(d)(3) of the Code if the Trust Fund were a real estate investment trust (except that the ownership tests set forth in that section shall be considered to be met by any Person that owns, directly or indirectly, 35 percent or more of any Class of Certificates), so long as the Trust Fund does not receive or derive any income from such Person and provided that the relationship between such Person and the Trust Fund is at arm’s length, all within the meaning of Treasury Regulations Section 1.856-4(b)(5), or (ii) any other Person (including the Servicer) if the Trustee has received an Opinion of Counsel, which Opinion of Counsel shall be an expense of the Trust Fund, to the effect that the taking of any action in respect of any REO Property by such Person, subject to any conditions therein specified, that is otherwise herein contemplated to be taken by an Independent Contractor will not cause such REO Property to cease to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code (determined without regard to the exception applicable for purposes of Section 860D(a) of the Code), or cause any income realized in respect of such REO Property to fail to qualify as Rents from Real Property.
“Index”: With respect to each Adjustable-Rate Mortgage Loan and with respect to each related Adjustment Date, the index as specified in the related Mortgage Note.
“Initial Group 1 Mortgage Loan”: Each Mortgage Loan included in the Trust Fund on the Closing Date and listed on Exhibit D hereto. The aggregate Principal Balance of the Initial Group 1 Mortgage Loans as of the Cut-off Date is equal to $296,938,115.40.
“Initial Group 2 Mortgage Loan”: Each Mortgage Loan included in the Trust Fund on the Closing Date and listed on Exhibit D hereto. The aggregate Principal Balance of the Initial Group 2 Mortgage Loans as of the Cut-off Date is equal to $696,288,812.30.
“Initial Mortgage Loan”: Any of the Initial Group 1 Mortgage Loans or Initial Group 2 Mortgage Loans.
“Interest Rate Swap Agreement”: The 1992 ISDA Master Agreement (Multicurrency-Cross Border) dated as of September 30, 2005 (together with the schedule thereto, the Master Agreement) between Barclays Bank PLC and the Trustee, an ISDA Credit Support Annex (Bilateral Form-New York Law) as of the same date, which supplements, forms part of, and is subject to the Master Agreement, and a confirmation of the same date, which supplements and forms part of the Master Agreement.
“Initial Certificate Principal Balance”: With respect to any Certificate of a Class other than a Residual Certificate, the amount designated “Initial Certificate Principal Balance” on the face thereof.
“Initial Overcollateralization Amount”: $ 5,035,323.40.
“Insurance Proceeds”: Proceeds of any title policy, hazard policy or other insurance policy covering a Mortgage Loan, to the extent such proceeds are not to be applied to the restoration of the related Mortgaged Property or released to the Mortgagor in accordance with the procedures that the Servicer would follow in servicing mortgage loans held for its own account, subject to the terms and conditions of the related Mortgage Note and Mortgage.
���Interest Accrual Period”: With respect to any Distribution Date and the Floating Rate Certificates, the period from the preceding Distribution Date to the day prior to the current Distribution Date or, in the case of the first Distribution Date, from the Closing Date through and including the day prior to the current Distribution Date.
“Interest Carry Forward Amount”: For any Class of Floating Rate Certificates and any Distribution Date, the sum of (a) the excess, if any, of the Accrued Certificate Interest and any Interest Carry Forward Amount for the prior Distribution Date, over the amount in respect of interest actually distributed on such Class on such prior Distribution Date and (b) interest on such excess at the applicable Certificate Interest Rate for the actual number of days elapsed on the basis of a 360-day year since the prior Distribution Date.
“Interest Percentage”: With respect to any Class of Certificates and any Distribution Date, the ratio (expressed as a decimal carried to six places) of the Accrued
Certificate Interest for such Class to the sum of the Accrued Certificate Interest for all Classes, in each case with respect to such Distribution Date, without regard to shortfalls caused by the Relief Act or similar state laws.
“Interest Remittance Amount”: As of any Determination Date, the sum of the Group 1 Interest Remittance Amount and the Group 2 Interest Remittance Amount.
“Late Collections”: With respect to any Mortgage Loan, all amounts received subsequent to the Determination Date immediately following any related Collection Period, whether as late payments of Monthly Payments or as Insurance Proceeds, Condemnation Proceeds, Liquidation Proceeds or otherwise, which represent late payments or collections of principal and/or interest due (without regard to any acceleration of payments under the related Mortgage and Mortgage Note) but delinquent on a contractual basis for such Collection Period and not previously recovered.
“LIBOR Business Day”: Any day on which banks in London, England and The City of New York are open and conducting transactions in foreign currency and exchange.
“LIBOR Determination Date”: With respect to the Floating Certificates, (i) for the first Distribution Date, the second LIBOR Business Day preceding the Closing Date and (ii) for each subsequent Distribution Date, the second LIBOR Business Day prior to the immediately preceding Distribution Date.
“Liquidated Mortgage Loan”: As to any Distribution Date, any Mortgage Loan in respect of which the Servicer has determined, in accordance with the servicing procedures specified herein, as of the end of the related Prepayment Period, that all Liquidation Proceeds, Condemnation Proceeds and Insurance Proceeds which it expects to recover with respect to the liquidation of the Mortgage Loan or disposition of the related REO Property have been recovered.
“Liquidation Proceeds”: The amount (other than amounts received in respect of the rental of any REO Property prior to REO Disposition) received by the Servicer in connection with (i) the taking of all or a part of a Mortgaged Property by exercise of the power of eminent domain or condemnation or (ii) the liquidation of a defaulted Mortgage Loan by means of a trustee’s sale, foreclosure sale or otherwise.
“Liquidation Report”: The report with respect to a Liquidated Mortgage Loan in such form as is agreed to by the Servicer and the Trustee listing (i) the sale price of the related Mortgaged Property or amount of the REO Disposition, (ii) the amount of any Realized Loss (or gain) with respect to such Liquidated Mortgage Loan, (iii) the expenses relating to the liquidation of such Liquidated Mortgage Loan and (iv) such other information as is agreed to by the Servicer and the Trustee.
“Loan Group”: Any of Loan Group 1 or Loan Group 2.
“Loan Group 1”: The Group 1 Mortgage Loans.
“Loan Group 2”: The Group 2 Mortgage Loans.
“Losses”: As defined in Section 9.03.
“Lost Note Affidavit”: With respect to any Mortgage Loan as to which the original Mortgage Note has been permanently lost or destroyed and has not been replaced, an affidavit from the Seller certifying that the original Mortgage Note has been lost, misplaced or destroyed (together with a copy of the related Mortgage Note and indemnifying the Trust against any loss, cost or liability resulting from the failure to deliver the original Mortgage Note) in the form of Exhibit H hereto.
“Majority Certificateholders”: The Holders of Certificates evidencing at least 51% of the Voting Rights.
“Majority Class CE Certificateholders”: The Holders of Class CE Certificates evidencing at least a 51% Percentage Interest in the Class CE Certificates.
“Marker Rate”: With respect to the Class CE Interest and any Distribution Date, a per annum rate equal to two (2) times the weighted average of the Uncertificated REMIC Pass-Through Rates for REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2 and REMIC 3 Regular Interest LTZZ, (i) with the rate on each such REMIC Regular Interest (other than REMIC 3 Regular Interest LTZZ) subject to a cap equal to the lesser of (i) the Pass-Through Rate for the Corresponding Certificate and (ii) the related Cap for the purposes of this calculation and (ii) with the rate on REMIC 3 Regular Interest LTZZ subject to a cap of zero for the purpose of this calculation; provided, however, that for this purpose, calculations of the Uncertificated REMIC 3 Pass-Through Rate and the related caps with respect to each such REMIC Regular Interest (other than REMIC 3 Regular Interest LTZZ) shall be multiplied by a fraction, the numerator of which is the actual number of days in the Interest Accrual Period and the denominator of which is 30.
“Maximum LTZZ Uncertificated Accrued Interest Deferral Amount”: With respect to any Distribution Date, the excess of (a) accrued interest at the Uncertificated REMIC 3 Pass-Through Rate applicable to REMIC 3 Regular Interest LTZZ for such Distribution Date on a balance equal to the Uncertificated Balance of REMIC 3 Regular Interest LTZZ minus the REMIC 3 Overcollateralized Amount, in each case for such Distribution Date, over (b) Uncertificated Accrued Interest on REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3
Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1 and REMIC 3 Regular Interest LTB2 with each such REMIC 3 Regular Interest subject to a cap equal to the lesser of (i) the Pass-Through Rate for the Corresponding and (ii) the related Cap for the purposes of this calculation; provided, however, that for this purpose, calculations of the Uncertificated REMIC 3 Pass-Through Rate and the related caps with respect to Uncertificated Accrued Interest on REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1 and REMIC 3 Regular Interest LTB2 shall be multiplied by a fraction, the numerator of which is the actual number of days in the Interest Accrual Period and the denominator of which is 30.
“Maximum Mortgage Interest Rate”: With respect to each Adjustable-Rate Mortgage Loan, the percentage set forth in the related Mortgage Note as the maximum Mortgage Interest Rate thereunder.
“Maximum Rate Cap”: Any of the Group 1 Maximum Rate Cap, the Group 2 Maximum Rate Cap or the Pool Maximum Rate Cap.
“Minimum Mortgage Interest Rate”: With respect to each Adjustable-Rate Mortgage Loan, the percentage set forth in the related Mortgage Note as the minimum Mortgage Interest Rate thereunder.
“Monthly Excess Cashflow Amount”: The sum of the Monthly Excess Interest Amount, the Overcollateralization Release Amount and (without duplication) any portion of the Principal Distribution Amount remaining after principal distributions on the Floating Rate Certificates.
“Monthly Excess Interest Amount”: With respect to each Distribution Date, the sum of (a) the amount, if any, by which the related Interest Remittance Amount for such Distribution Date exceeds the aggregate amount distributed on such Distribution Date pursuant to paragraphs (i) through (vi) under Section 4.01 and (b) any amounts received under the Interest Rate Swap Agreement for this purpose.
“Monthly Form 8-K”: As defined in Section 3.31(a) hereof.
“Monthly Payment”: With respect to any Mortgage Loan, the scheduled monthly payment of principal and interest on such Mortgage Loan which is payable by the related Mortgagor from time to time under the related Mortgage Note, determined: (a) after giving effect to (i) any Deficient Valuation and/or Debt Service Reduction with respect to such Mortgage
Loan and (ii) any reduction in the amount of interest collectible from the related Mortgagor pursuant to the Relief Act or similar state laws; (b) without giving effect to any extension granted or agreed to by the Servicer pursuant to Section 3.01; and (c) on the assumption that all other amounts, if any, due under such Mortgage Loan are paid when due.
“Moody’s”: Moody’s Investors Service, Inc., and its successors, and if such company shall for any reason no longer perform the functions of a securities rating agency, “Moody’s” shall be deemed to refer to any other “nationally recognized statistical rating organization” as set forth on the most current list of such organizations released by the Securities and Exchange Commission.
“Mortgage”: The mortgage, deed of trust or other instrument creating a first or second lien on, or first or second priority security interest in, a Mortgaged Property securing a Mortgage Note.
“Mortgage File”: The mortgage documents listed in Section 2.01 pertaining to a particular Mortgage Loan and any additional documents required to be added to the Mortgage File pursuant to this Agreement.
“Mortgage Interest Rate”: With respect to each Mortgage Loan, the annual rate at which interest accrues on such Mortgage Loan from time to time in accordance with the provisions of the related Mortgage Note, which rate (i) in the case of each Fixed-Rate Mortgage Loan shall remain constant at the rate set forth in the applicable Mortgage Loan Schedule as the Mortgage Interest Rate in effect immediately following the Cut-off Date and (ii) in the case of each Adjustable-Rate Mortgage Loan (A) as of any date of determination until the first Adjustment Date following the Cut-off Date shall be the rate set forth in the applicable Mortgage Loan Schedule as the Mortgage Interest Rate in effect immediately following the Cut-off Date and (B) as of any date of determination thereafter shall be the rate as adjusted on the most recent Adjustment Date, to equal the sum, rounded as provided in the Mortgage Note, of the Index, determined as set forth in the related Mortgage Note, plus the related Gross Margin subject to the limitations set forth in the related Mortgage Note. With respect to each Mortgage Loan that becomes an REO Property, as of any date of determination, the annual rate determined in accordance with the immediately preceding sentence as of the date such Mortgage Loan became an REO Property.
“Mortgage Loan”: Each mortgage loan transferred and assigned to the Trustee pursuant to Section 2.01 or Section 2.03(d) as from time to time held as a part of the Trust Fund, the Mortgage Loans so held being identified in the Mortgage Loan Schedules.
“Mortgage Loan Purchase Agreement”: The agreement between the Seller and the Depositor, dated as of September 28, 2005, regarding the transfer of the Mortgage Loans by the Seller to or at the direction of the Depositor.
“Mortgage Loan Schedule”: As of any date with respect to the Mortgage Loans, the lists of such Mortgage Loans included in the Trust Fund on such date, separately identifying the Fixed-Rate Mortgage Loans and the Adjustable-Rate Mortgage Loans, attached hereto as Exhibits D-1 and D-2, as supplemented by each schedule of Subsequent Mortgage Loans
attached to a Subsequent Transfer Instrument. The Mortgage Loan Schedules shall set forth the following information with respect to each Mortgage Loan:
(1) | the Mortgage Loan identifying number; |
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(2) | the state and zip code of the Mortgaged Property; |
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(3) | the type of Residential Dwelling constituting the Mortgaged Property; | |||||||
(4) | the occupancy status of the Mortgaged Property at origination; |
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(5) | the original months to maturity; |
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(6) | the date of origination; |
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(7) | the first payment date; |
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(8) | the stated maturity date; |
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(9) the stated remaining months to maturity from the Cut-off Date (or Subsequent Cut-off Date, with respect to a Subsequent Mortgage Loan) based on the original amortization schedule;
(10) | the original principal amount of the Mortgage Loan; |
(11) the Principal Balance of each Mortgage Loan as of the Cut-off Date (or Subsequent Cut-off Date, with repsect to a Subsequent Mortgage Loan);
(12) the Mortgage Interest Rate of the Mortgage Loan as of the Cut-off Date (or Subsequent Cut-off Date, with repsect to a Subsequent Mortgage Loan);
(13) the current principal and interest payment of the Mortgage Loan as of the Cut-off Date (or Subsequent Cut-off Date, with respect to a Subsequent Mortgage Loan);
(14) | the contractual interest paid to date of the Mortgage Loan; |
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(15) | the Combined Loan-to-Value Ratio at origination and as of the Cut-off Date; |
(16) a code indicating the loan performance status of the Mortgage Loan as of the Cut-off Date;
(17) | a code indicating the Index that is associated with such Mortgage Loan; | |||
(18) | the Gross Margin; |
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(19) | the Periodic Rate Cap; |
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(20) | the Minimum Mortgage Interest Rate; |
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(21) | the Maximum Mortgage Interest Rate; |
(22) a code indicating whether the Mortgage Loan has a Prepayment Charge and the type of Prepayment Charge and the term;
(23) | the first Adjustment Date immediately following the Cut-off Date; | ||||
(24) | the rate adjustment frequency; |
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(25) | the payment adjustment frequency; |
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(26) | the purpose of the Mortgage Loan; and |
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(27) | a code indicating whether the Mortgage Loan is a second lien. |
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The Mortgage Loan Schedules shall set forth the following information, as of the Cut-off Date (or Subsequent Cut-off Date, with repsect to a Subsequent Mortgage Loan), with respect to the Mortgage Loans in the aggregate, for the Fixed-Rate Mortgage Loans and for the Adjustable-Rate Mortgage Loans: (1) the number of Mortgage Loans; (2) the current Principal Balance of the Mortgage Loans; (3) the weighted average Mortgage Interest Rate of the Mortgage Loans; and (4) the weighted average maturity of the Mortgage Loans. The Mortgage Loan Schedules shall be amended from time to time in accordance with the provisions of this Agreement and a copy of such amended Mortgage Loan Schedules shall be furnished by the Servicer to the NIMS Insurer. With respect to any Eligible Substitute Mortgage Loan, Cut-off Date shall refer to the applicable date of substitution.
“Mortgage Note”: The original executed note or other evidence of indebtedness evidencing the indebtedness of a Mortgagor under a Mortgage Loan.
“Mortgage Pool”: The pool of Mortgage Loans, identified on Exhibits D-1 and D-2 from time to time, and any REO Properties acquired in respect thereof and as supplemented by any Subsequent Mortgage Loans identified on each schedule of Subsequent Mortgage Loans attached to a Subsequent Transfer Instrument.
“Mortgaged Property”: The underlying property securing a Mortgage Loan, including any REO Property, consisting of an Estate in Real Property improved by a Residential Dwelling.
“Mortgagor”: The obligor on a Mortgage Note.
“Net Liquidation Proceeds”: With respect to any Liquidated Mortgage Loan or any other disposition of related Mortgaged Property (including REO Property) the related Liquidation Proceeds net of unreimbursed Advances, unreimbursed Servicing Advances, Servicing Fees and any other accrued and unpaid servicing fees received and retained in connection with the liquidation of such Mortgage Loan or Mortgaged Property.
“Net Maximum Mortgage Interest Rate”: With respect to any (a) Adjustable-Rate Mortgage Loan, the applicable Maximum Mortgage Interest Rate less the Expense Fee Rate and (b) Fixed-Rate Mortgage Loan, the Mortgage Interest Rate for such Mortgage Loan less the Expense Fee Rate.
“Net Mortgage Interest Rate”: With respect to any Mortgage Loan, the Mortgage Interest Rate borne by such Mortgage Loan minus the Expense Fee Rate.
“Net Swap Payment”: In the case of payments made by the Trust, the excess, if any, of (x) the Fixed Swap Payment over (y) the Floating Swap Payment and in the case of payments made by the Swap Provider, the excess, if any, of (x) the Floating Swap Payment over (y) the Fixed Swap Payment. In each case, the Net Swap Payment shall not be less than zero.
“New Lease”: Any lease of REO Property entered into on behalf of the Trust, including any lease renewed or extended on behalf of the Trust if the Trust has the right to renegotiate the terms of such lease.
“NIMS Insurer”: Any insurer that is guaranteeing certain payments under notes secured by collateral which includes all or a portion of the Class CE, Class P and Class R Certificates.
“Nonrecoverable Advance”: Any Advance or Servicing Advance previously made or proposed to be made in respect of a Mortgage Loan that, in the good faith business judgment of the Servicer, will not or, in the case of a proposed Advance or Servicing Advance, would not be ultimately recoverable from Late Collections on such Mortgage Loan as provided herein.
“Notional Amount”: With respect to the Class CE Interest, an amount equal to the aggregate Uncertificated Balance of the REMIC 3 Regular Interests (other than REMIC 3 Regular Interest LTP and REMIC 3 Regular Interest LTIO).
“Offered Certificates”: The Class A-1, Class A-2A, Class A-2B, Class A-2C, Class A-2D, Class A-2MZ, Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11 and Class M-12 Certificates.
“Officers’ Certificate”: A certificate signed by the Chairman of the Board, the Vice Chairman of the Board, the President, a vice president (however denominated) or a principal, and by the Treasurer, the Secretary, or one of the assistant treasurers or assistant secretaries of the Servicer, the Seller or the Depositor, as applicable.
“One-Month LIBOR”: With respect to each Interest Accrual Period, the rate determined by the Trustee on the related LIBOR Determination Date on the basis of the offered rate for one-month United States dollar deposits, as such rate appears on the Telerate Page 3750, as of 11:00 a.m. (London time) on such LIBOR Determination Date. If no such quotations are available on an LIBOR Determination Date, One-Month LIBOR for the related Interest Accrual Period will be established by the Trustee as follows:
(i) If on such LIBOR Determination Date two or more Reference Banks provide such offered quotations, One-Month LIBOR for the related Interest Accrual Period shall be the arithmetic mean of such offered quotations (rounded upwards if necessary to the nearest whole multiple of 0.001%);
(ii) If on such LIBOR Determination Date fewer than two Reference Banks provide such offered quotations, One-Month LIBOR for the related Interest Accrual Period shall be the arithmetic mean of the rates quoted by one or more major banks in New York City, selected by the Trustee after consultation with the Depositor and the NIMS Insurer, as of 11:00 A.M., New York City time, on such date for loans in U.S. Dollars to leading European banks for a period of one month in amounts approximately equal to the aggregate Certificate Principal Balance of the Floating Rate Certificates; and
(iii) If no such quotations can be obtained, One-Month LIBOR for the related Interest Accrual Period shall be One-Month LIBOR for the prior Distribution Date.
“Opinion of Counsel”: A written opinion of counsel, who may, without limitation, be a salaried counsel for the Depositor or the Servicer except that any opinion of counsel relating to (a) the qualification of any REMIC as a REMIC or (b) compliance with the REMIC Provisions must be an opinion of Independent counsel.
“Optional Termination Date”: The first Distribution Date on which the Majority Class CE Certificateholders or, if such holder is the Seller or is an affiliate of the Seller, the Servicer, may opt to terminate the Mortgage Pool pursuant to Section 10.01.
“Original Class Certificate Principal Balance”: With respect to each Class of Certificates, the Certificate Principal Balance thereof on the Closing Date, as set forth opposite such Class in the Preliminary Statement, except with respect to the Residual Certificates, which have an Original Class Certificate Principal Balance of zero.
Original Group 1 Pre-Funded Amount”: The amount deposited by the Depositor in the Group 1 Pre-Funding Account on the Closing Date, which amount is $2,114,696.99.
“Original Group 2 Pre-Funded Amount”: The amount deposited by the Depositor in the Group 2 Pre-Funding Account on the Closing Date, which amount is $11,623,798.71.
“Original Pre-Funded Amounts”: The Original Group 1 Pre-Funded Amount and the Original Group 2 Pre-Funded Amount.
“Originator”: WMC Mortgage Corp., or its successors in interest.
“Originator Prepayment Charge Payment Amount”: The amount payable by the Originator pursuant to Section 4.21(b) of the WMC Sale Agreement in respect of certain Prepayment Charges that are not collected from the Mortgagor.
“Overcollateralization Amount”: As of any Distribution Date, the excess, if any, of (x) the sum of (i) the Pool Balance as of the last day of the related Collection Period after
giving effect to principal prepayments in the related Prepayment Period and (ii) any funds on deposit in the Pre-Funding Accounts on the related Determination Date over (y) the aggregate Certificate Principal Balance of all Classes of Floating Rate Certificates and the Class P Certificates (after taking into account all distributions of principal on such Distribution Date and the increase of any Certificate Principal Balance as a result of Subsequent Recoveries).
“Overcollateralization Deficiency”: As of any Distribution Date, the excess, if any, of (x) the Targeted Overcollateralization Amount for such Distribution Date over (y) the Overcollateralization Amount for such Distribution Date, calculated for this purpose after taking into account the reduction on such Distribution Date of the Certificate Principal Balances of all Classes of Floating Rate Certificates resulting from the distribution of the Principal Distribution Amount (but not the Extra Principal Distribution Amount) on such Distribution Date, but prior to taking into account any Applied Realized Loss Amounts on such Distribution Date.
“Overcollateralization Release Amount”: With respect to any Distribution Date after the Stepdown Date on which a Trigger Event is not in effect, the excess, if any, of (i) the Overcollateralization Amount for such Distribution Date, assuming that 100% of the Principal Remittance Amount is applied as a principal distribution on the Floating Rate Certificates on such Distribution Date, over (ii) the Targeted Overcollateralization Amount for such Distribution Date. With respect to any Distribution Date on which a Trigger Event is in effect, the Overcollateralization Release Amount will be zero.
“Ownership Interest”: As to any Certificate, any ownership or security interest in such Certificate, including any interest in such Certificate as the Holder thereof and any other interest therein, whether direct or indirect, legal or beneficial, as owner or as pledgee.
“Pass-Through Rate”: For any Distribution Date and any Class of Floating Rate Certificates, the lesser of (i) LIBOR plus the related Certificate Margin and (ii) the applicable Maximum Rate Cap.
“Paying Agent”: Any paying agent appointed pursuant to Section 5.05.
“Percentage Interest”: With respect to any Certificate (other than a Residual Certificate), a fraction, expressed as a percentage, the numerator of which is the Initial Certificate Principal Balance, as the case may be, represented by such Certificate and the denominator of which is the Original Class Certificate Principal Balance of the related Class. With respect to each Residual Certificate, 100%.
“Periodic Rate Cap”: With respect to each Adjustable-Rate Mortgage Loan and any Adjustment Date therefor, the fixed percentage set forth in the related Mortgage Note, which is the maximum amount by which the Mortgage Interest Rate for such Mortgage Loan may increase or decrease (without regard to the Maximum Mortgage Interest Rate or the Minimum Mortgage Interest Rate) on such Adjustment Date from the Mortgage Interest Rate in effect immediately prior to such Adjustment Date.
“Permitted Transferee”: Any transferee of a Residual Certificate other than a Disqualified Organization, a non-U.S. Person or a U.S. Person with respect to whom income on
the Residual Certificate is attributable to a foreign permanent establishment or fixed base, within the meaning of an applicable income tax treaty, of such Person or any other U.S. Person.
“Person”: Any individual, corporation, partnership, joint venture, association, joint stock company, trust, limited liability company, unincorporated organization or government or any agency or political subdivision thereof.
“Pool Balance”: As of any date of determination, the aggregate Principal Balance of the Mortgage Loans.
“Pool Cap”: As of any Distribution Date, a per annum rate, adjusted by multiplying such rate by a fraction equal to 30 over the actual number of days in the related Interest Accrual Period, equal to the weighted average of the Group 1 Cap and the Group 2 Cap, weighted on the basis of the related Group Subordinate Amount. For federal income tax purposes and the REMIC 4 Regular Interests the ownership of which is represented by the Class M Certificates and the Class B Certificates, a per annum rate equal to the weighted average (adjusted by multiplying such rate by a fraction equal to 30 over the actual number of days in the related Interest Accrual Period) of the Uncertificated REMIC 3 Pass-Through Rates on (a) REMIC 3 Regular Interest LT1SUB, subject to a cap and a floor equal to the Uncertificated REMIC 3 Pass-Through Rate on REMIC 3 Regular Interest LT1GRP and (b) REMIC 3 Regular Interest LT2SUB, subject to a cap and a floor equal to the Uncertificated REMIC 3 Pass-Through Rate on REMIC 3 Regular Interest LT2GRP, in each case as determined for such Distribution Date, weighted on the basis of the Uncertificated Balance of each such REMIC 3 Regular Interest immediately prior to such Distribution Date.
“Pool Maximum Rate Cap”: As of any Distribution Date and the Class M and Class B Certificates, a per annum rate equal to the weighted average of (i) the Group 1 Maximum Rate Cap and (ii) the Group 2 Maximum Rate Cap, weighted on the basis of the related Group Subordinate Amount.
“Pre-Funding Accounts”: The Group 1 Pre-Funding Account and the Group 2 Pre-Funding Account.
“Prepayment Charge”: With respect to any Prepayment Period, any prepayment premium, penalty or charge collected by the Servicer from a Mortgagor in connection with any voluntary Principal Prepayment pursuant to the terms of the related Mortgage Note as from time to time held as a part of the Trust Fund, the Prepayment Charges so held being identified in the Mortgage Loan Schedules (other than any Originator Prepayment Charge Payment Amount or Servicer Prepayment Charge Payment Amount).
“Prepayment Interest Excess”: With respect to any Distribution Date, for each Mortgage Loan that was the subject of a Principal Prepayment in full during the portion of the related Prepayment Period beginning on the first day of the calendar month in which such Distribution Date occurs through the Determination Date of the calendar month in which such Distribution Date occurs, an amount equal to interest (to the extent received) at the applicable Mortgage Interest Rate (net of the Servicing Fee Rate) on the amount of such Principal
Prepayment for the number of days commencing on the first day of the calendar month in which such Distribution Date occurs and ending on the date on which such prepayment is so applied.
“Prepayment Interest Shortfall”: With respect to any Distribution Date, for each Mortgage Loan that was the subject of a Principal Prepayment in full during the portion of the related Prepayment Period occurring in the prior calendar month that was applied by the Servicer to reduce the outstanding Principal Balance of such Mortgage Loan on a date preceding the related Due Date, an amount equal to interest at the applicable Mortgage Interest Rate (net of the Servicing Fee Rate) on the amount of such Principal Prepayment for the number of days commencing on the date on which the Principal Prepayment is applied and ending on the last day of the calendar month in which applied.
“Prepayment Period”: With respect to any Distribution Date and other than with respect to voluntary Principal Prepayments in part, the period commencing on the day after the Determination Date in the calendar month preceding the calendar month in which such Distribution Date occurs (or, in the case of the first Distribution Date, on September 1, 2005) and ending on the Determination Date in the calendar month in which such Distribution Date occurs and with respect to voluntary Principal Prepayments in part, the calendar month preceding such Distribution Date.
“Principal Balance”: As to any Mortgage Loan and any day, other than a Liquidated Mortgage Loan, the related Cut-off Date Principal Balance, minus the sum of (i) all collections and other amounts credited against the principal balance of any such Mortgage Loan, (ii) the principal portion of Advances, (iii) any Deficient Valuation and (iv) any principal reduction resulting from a Servicer Modification. For purposes of this definition, a Liquidated Mortgage Loan shall be deemed to have a Principal Balance equal to the Principal Balance of the related Mortgage Loan as of the final recovery of related Liquidation Proceeds and a Principal Balance of zero thereafter. As to any REO Property and any day, the Principal Balance of the related Mortgage Loan immediately prior to such Mortgage Loan becoming REO Property minus any REO Principal Amortization received with respect thereto on or prior to such day.
“Principal Distribution Amount”: As to any Distribution Date, the sum of (i) the Principal Remittance Amount minus the Overcollateralization Release Amount, if any, and (ii) the Extra Principal Distribution Amount, if any.
“Principal Prepayment”: Any payment of principal made by the Mortgagor on a Mortgage Loan which is received in advance of its scheduled Due Date and which is not accompanied by an amount of interest representing the full amount of scheduled interest due on any Due Date in any month or months subsequent to the month of prepayment.
“Principal Remittance Amount”: With respect to any Distribution Date, to the extent of funds available therefor, the sum (less amounts available for reimbursement of Advances and Servicing Advances pursuant to Section 3.05 and expenses reimbursable pursuant to Section 6.03 and Section 8.05) of: (i) each payment of principal on a Mortgage Loan due during the related Collection Period and received by the Servicer on or prior to the related Determination Date, and any Advances with respect thereto, (ii) all full and partial Principal
Prepayments received by the Servicer during the related Prepayment Period, (iii) Insurance Proceeds, Net Liquidation Proceeds and Subsequent Recoveries allocable to principal actually collected by the Servicer during the related Prepayment Period, (iv) with respect to Defective Mortgage Loans repurchased with respect to such Prepayment Period, the portion of the Purchase Price allocable to principal, (v) any Substitution Adjustment Amounts received during the related Prepayment Period, (vi) on the Distribution Date on which the Trust is to be terminated in accordance with Section 10.01 hereof, that portion of the Termination Price in respect of principal and (vii) on the Distribution Date immediately following the end of the Funding Period, any remaining amounts in the Pre-Funding Account (exclusive of investment income therein) after giving effect to any purchase of Subsequent Mortgage Loans.
“Private Certificates”: Any of the Class B-1, Class B-2, Class CE, Class P and Residual Certificates.
“Prospectus Supplement”: That certain Prospectus Supplement dated September 28, 2005 relating to the public offering of the Offered Certificates.
“Purchase Price”: With respect to any Mortgage Loan or REO Property to be purchased pursuant to or as contemplated by Section 2.03 or 10.01, an amount equal to the sum of (i) 100% of the Principal Balance thereof as of the date of purchase (or such other price as provided in Section 10.01), (ii) in the case of a Mortgage Loan, accrued interest on such Principal Balance at the applicable Mortgage Interest Rate in effect from time to time from the Due Date as to which interest was last covered by a payment by the Mortgagor or an Advance by the Servicer, which payment or Advance had as of the date of purchase been distributed pursuant to Section 4.01, through the end of the calendar month in which the purchase is to be effected, (iii) any unreimbursed Servicing Advances and Advances and any unpaid Servicing Fees allocable to such Mortgage Loan or REO Property, (iv) any amounts previously withdrawn from the Collection Account in respect of such Mortgage Loan or REO Property pursuant to Section 3.13 and (v) in the case of a Mortgage Loan required to be purchased pursuant to Section 2.03, expenses reasonably incurred or to be incurred by the Servicer or the Trustee in respect of the breach or defect giving rise to the purchase obligation.
“Rating Agency or Rating Agencies”: Moody’s, Fitch and S&P, or their respective successors. If such agencies or their successors are no longer in existence, “Rating Agencies” shall be such nationally recognized statistical rating organizations as set forth on the most current list of such organizations released by the Commission and designated by the Depositor, notice of which designation shall be given to the Trustee and the Servicer.
“Realized Loss”: With respect to a Liquidated Mortgage Loan, the amount by which the remaining unpaid principal balance of the Mortgage Loan exceeds the amount of Net Liquidation Proceeds applied to the principal balance of the related Mortgage Loan. With respect to any Mortgage Loan, a Deficient Valuation or a reduction in the Principal Balance thereof resulting from a Servicer Modification.
“Realized Loss Amortization Amount”: As to the Class A-2MZ Certificates or any Class of Class M or Class B Certificates and as of any Distribution Date, the lesser of (x) the
Unpaid Realized Loss Amount for such Class of Certificates as of such Distribution Date and (y) the excess of (i) the Monthly Excess Cashflow Amount over (ii) the sum of (a) any remaining Accrued Certificate Interest, Interest Carry Forward Amount and remaining Realized Loss Amortization Amounts distributed to a Class of Certificates with a higher distribution priority as described in Section 4.02(b) hereof and (b) any remaining Accrued Certificate Interest and Interest Carry Forward Amounts for such Class of Certificates as described in Section 4.02(b) hereof, in each case for such Distribution Date.
“Record Date”: With respect to all of the Certificates (other than the Class CE, Class P or Residual Certificates), the Business Day immediately preceding such Distribution Date; provided, however, that if any such Certificate becomes a Definitive Certificate, the Record Date for such Certificate shall be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs. With respect to the the Class CE, Class P or Residual Certificates, the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
“Reference Banks”: Those banks (i) with an established place of business in London, England, (ii) not controlling, under the control of or under common control with the Depositor or the Trustee, (iii) whose quotations appear on the Telerate Page 3750 on the relevant LIBOR Determination Date and (iv) which have been designated as such by the Trustee; provided, however, that if fewer than two of such banks provide a One-Month LIBOR rate, then any leading banks selected by the Trustee which are engaged in transactions in United States dollar deposits in the international Eurocurrency market.
“Regular Certificate”: Any of the Offered Certificates, the Class B Certificates, the Class CE Certificates and the Class P Certificates.
“Reimbursement Amount”: With respect to any Mortgage Loan, any costs or damages incurred by the Trust in connection with a breach of the Originator’s representation and warranties regarding predatory and abusive lending laws set forth in clauses (i), (ddd) or (ooo) of Section 3.02 of the WMC Sale Agreement.
“Related Documents”: With respect to any Mortgage Loan, the related Mortgage Notes, Mortgages and other related documents.
“Relief Act”: The Servicemembers Civil Relief Act, as it may be amended from time to time.
“Relief Act Interest Shortfall”: With respect to any Distribution Date, for any Mortgage Loan with respect to which there has been a reduction in the amount of interest collectible thereon for the most recently ended Collection Period as a result of the application of the Relief Act or similar state laws, the amount by which (i) interest collectible on such Mortgage Loan during such Collection Period is less than (ii) one month’s interest on the Principal Balance of such Mortgage Loan at the Mortgage Interest Rate for such Mortgage Loan before giving effect to the application of the Relief Act or similar state laws.
“REMIC”: A “real estate mortgage investment conduit” within the meaning of Section 860D of the Code.
“REMIC 1 Regular Interest”: Any of the separate non-certificated beneficial ownership interests in REMIC 1 issued hereunder and designated as a “regular interest” in REMIC 1. Each REMIC 1 Regular Interest shall accrue interest at the related Uncertificated REMIC 1 Pass-Through Rate in effect from time to time, and shall be entitled to distributions of principal, subject to the terms and conditions hereof, in an aggregate amount equal to its initial Uncertificated Balance as set forth in the Preliminary Statement hereto. The designations for the respective REMIC 1 Regular Interests are set forth in the Preliminary Statement hereto. The REMIC 1 Regular Interests consist of REMIC 1 Regular Interest I, REMIC 1 Regular Interest I-PF, REMIC 1 Regular Interest II, REMIC 1 Regular Interest II-PF and REMIC 1 Regular Interest P.
“REMIC 2 Group 1 Regular Interests”: REMIC 2 Regular Interest I and REMIC 2 Regular Interest I-1-A through REMIC 2 Regular Interest I-50-B as designated in the Preliminary Statement hereto.
“REMIC 2 Group 2 Regular Interests”: REMIC 2 Regular Interest II and REMIC 2 Regular Interest II-1-A through REMIC 2 Regular Interest II-50-B as designated in the Preliminary Statement hereto.
“REMIC 2 Regular Interest”: Any of the separate non-certificated beneficial ownership interests in REMIC I issued hereunder and designated as a “regular interest” in REMIC 2. Each REMIC 2 Regular Interest shall accrue interest at the related Uncertificated REMIC 2 Pass-Through Rate in effect from time to time, and shall be entitled to distributions of principal, subject to the terms and conditions hereof, in an aggregate amount equal to its initial Uncertificated Balance as set forth in the Preliminary Statement hereto. The designations for the respective REMIC 2 Regular Interests are set forth in the Preliminary Statement hereto. The REMIC 2 Regular Interests consist of the REMIC 2 Group 1 Regular Interests, REMIC 2 Group 2 Regular Interests and REMIC 2 Regular Interest P.
“REMIC 3 Interest Loss Allocation Amount”: With respect to any Distribution Date, an amount equal to (a) the product of (i) 50% of the aggregate Principal Balance of the mortgage loans and related REO Properties then outstanding and (ii) the Uncertificated REMIC 3 Pass-Through Rate for REMIC 3 Regular Interest LTAA minus the Marker Rate, divided by (b) 12.
“REMIC 3 Marker Allocation Percentage”: 50% of any amount payable or loss attributable from the Mortgage Loans, which shall be allocated to REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10,
REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2, REMIC 3 Regular Interest LTZZ and REMIC 3 Regular Interest LTP.
“REMIC 3 Overcollateralized Amount”: With respect to any date of determination, (i) 1% of the aggregate Uncertificated Balances REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2, REMIC 3 Regular Interest LTZZ and REMIC 3 Regular Interest LTP, minus (ii) the aggregate of the Uncertificated Balances of REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2 and REMIC 3 Regular Interest LTP, in each case as of such date of determination.
“REMIC 3 Principal Loss Allocation Amount”: With respect to any Distribution Date and the mortgage loans, an amount equal to (a) the product of (i) 50% of the aggregate Principal Balance of the mortgage loans and related REO Properties then outstanding and (ii) 1 minus a fraction, the numerator of which is two times the aggregate of the Uncertificated Balances of REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1 and REMIC 3 Regular Interest LTB2 and the denominator of which is the aggregate of the Uncertificated Balances of REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2 and REMIC 3 Regular Interest LTZZ.
“REMIC 3 Overcollateralization Target Amount”: 0.50% of the Targeted Overcollateralization Amount.
“REMIC 3 Regular Interests”: Any one of the separate non-certificated beneficial ownership interests in REMIC 3 issued hereunder and designated as a “regular interest” in REMIC 3 and identified in the Preliminary Statement. Each REMIC 3 Regular Interest shall accrue interest at the related Uncertificated REMIC 3 Pass-Through Rate in effect from time to time, and shall be entitled to distributions of principal (other than REMIC 3 Regular Interest LTIO), subject to the terms and conditions hereof, in an aggregate amount equal to its initial Uncertificated Balance as set forth in the Preliminary Statement hereto. REMIC 3 Regular Interest LTP shall also be entitled to any Prepayment Charges received by the Trust Fund.
“REMIC 3 Sub WAC Allocation Percentage”: 50% of any amount payable or loss attributable from the Mortgage Loans, which shall be allocated to REMIC 3 Regular Interest LT1SUB, REMIC 3 Regular Interest LT1GRP, REMIC 3 Regular Interest LT2SUB, REMIC 3 Regular Interest LT2GRP and REMIC 3 Regular Interest LTXX.
“REMIC 3 Subordinated Balance Ratio”: The ratio among the Uncertificated Balances of each REMIC 3 Regular Interest ending with the designation “SUB,” equal to the ratio among, with respect to each such REMIC 3 Regular Interest, the excess of (x) the aggregate Stated Principal Balance of the Mortgage Loans in Loan Group 1 or the Mortgage Loans in Loan Group 2, as applicable over (y) the current Certificate Principal Balance of the related Class A Certificates.
“REMIC 4”: The segregated pool of assets consisting of all of the REMIC 3 Regular Interests conveyed in trust to the Trustee, for the benefit of the Holders of the Regular Certificates (other than the Class CE and Class P Certificates), the Class CE Interest, the Class P Interest and Class IO Interest and the Holders of the Class R Certificates (as holders of the Class R-3 Interest), pursuant to Article II hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC 4 Regular Interest”: Any of the Class CE Interest, Class P Interest, Class IO Interest, and any “regular interest” in REMIC 4 the ownership of which is represented by a Class A Certificate, Class M Certificate or Class B Certificate.
“REMIC 5”: The segregated pool of assets consisting of the Class CE Interest conveyed in trust to the Trustee, for the benefit of the Holders of the Class CE Certificates and the Holders of the Class R-X Certificates (as holders of the Class R-5 Interest), pursuant to Article II hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC 5 Regular Interest”: The Class CE Certificates.
“REMIC 6”: The segregated pool of assets consisting of the Class P Interest conveyed in trust to the Trustee, for the benefit of the Holders of the Class P Certificates and the Holders of the Class R-X Certificates (as holders of the Class R-6 Interest), pursuant to Article II
hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC 6 Regular Interest”: The Class P Certificates.
“REMIC 7”: The segregated pool of assets consisting of the Class IO Interest conveyed in trust to the Trustee, for the benefit of the Holders of REMIC VII Regular Interest SWAP-IO and the Holders of the Class R-X Certificates (as holders of the Class R-7 Interest), pursuant to Article II hereunder, and all amounts deposited therein, with respect to which a separate REMIC election is to be made.
“REMIC 7 Regular Interest”: REMIC VII Regular Interest SWAP-IO.
“REMIC Provisions”: Provisions of the federal income tax law relating to real estate mortgage investment conduits which appear at Section 860A through 860G of Subchapter M of Chapter 1 of the Code, and related provisions, and regulations and rulings promulgated thereunder, as the foregoing may be in effect from time to time.
“REMIC Regular Interest”: Any REMIC 1 Regular Interest, REMIC 2 Regular Interest, REMIC 3 Regular Interest or any of the Certificates (other than the Residual Certificates).
“Remittance Report”: A report prepared by the Servicer and delivered to the Trustee and the NIMS Insurer pursuant to Section 4.07, containing the information attached hereto as Exhibit M.
“Rents from Real Property”: With respect to any REO Property, gross income of the character described in Section 856(d) of the Code.
“REO Disposition”: The sale or other disposition of an REO Property on behalf of the Trust.
“REO Imputed Interest”: As to any REO Property, for any Collection Period, an amount equivalent to interest (at the Net Mortgage Interest Rate that would have been applicable to the related Mortgage Loan had it been outstanding) for such Collection Period on the unpaid Principal Balance of the Mortgage Loan as of the date of acquisition.
“REO Principal Amortization”: With respect to any REO Property, for any calendar month, the aggregate of all amounts received in respect of such REO Property during such calendar month, whether in the form of rental income, sale proceeds (including, without limitation, that portion of the Termination Price paid in connection with a purchase of all of the Mortgage Loans and REO Properties pursuant to Section 10.01 that is allocable to such REO Property) or otherwise, net of any portion of such amounts (i) payable pursuant to Section 3.13 in respect of the proper operation, management and maintenance of such REO Property or (ii) payable or reimbursable to the Servicer pursuant to Section 3.13 for unpaid Servicing Fees in respect of the related Mortgage Loan and unreimbursed Servicing Advances and Advances in respect of such REO Property or the related Mortgage Loan.
“REO Property”: A Mortgaged Property acquired by the Servicer on behalf of the Trust through foreclosure or deed-in-lieu of foreclosure, as described in Section 3.13.
“Request for Release”: A release signed by a Servicing Officer, in the form of Exhibit E attached hereto.
“Residential Dwelling”: Any one of the following: (i) a detached one-family dwelling, (ii) a detached two- to four-family dwelling, (iii) a one-family dwelling unit in a Fannie Mae eligible condominium project, (iv) a manufactured home, or (v) a detached one-family dwelling in a planned unit development, none of which is a co-operative or mobile home.
“Residual Certificate”: Any Class R Certificates or Class R-X Certificates.
“Residual Interest”: The sole Class of “residual interests” in each REMIC within the meaning of Section 860G(a)(2) of the Code.
“Responsible Officer”: When used with respect to the Trustee, any officer assigned to the Corporate Trust Division (or any successor thereto), including any Vice President, Assistant Vice President, Trust Officer, any Assistant Secretary, any trust officer or any other officer of the Trustee customarily performing functions similar to those performed by any of the above designated officers and in each case having direct responsibility for the administration of this Agreement.
“S&P”: Standard & Poor’s, a division of The McGraw-Hill Companies, Inc., and its successors, and if such company shall for any reason no longer perform the functions of a securities rating agency, “S&P” shall be deemed to refer to any other “nationally recognized statistical rating organization” as set forth on the most current list of such organizations released by the Commission.
“Seller”: Bank of America, N.A., or its successor in interest, in its capacity as seller under the Mortgage Loan Purchase Agreement.
“Senior Certificates”: The Class A-1, Class A-2A, Class A-2B, Class A-2C, Class A-2D and Class A-2 MZ Certificates.
“Senior Enhancement Percentage”: For any Distribution Date, the percentage obtained by dividing (x) the sum of (i) the aggregate Certificate Principal Balance of the Class M and Class B Certificates before taking into account the distribution of the Principal Distribution Amount on such Distribution Date and (ii) the Overcollateralization Amount as of the prior Distribution Date by (y) the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and any amounts remaining in the Pre-Funding Accounts.
“Senior Principal Distribution Amount”: For any Distribution Date, the sum of the Group 1 Senior Principal Distribution Amount and the Group 2 Senior Principal Distribution Amount.
“Senior Specified Enhancement Percentage”: On any date of determination thereof, 45.00%.
“Servicer”: HomEq Servicing Corporation, or any successor servicer appointed as herein provided, in its capacity as Servicer hereunder.
“Servicer Event of Termination”: One or more of the events described in Section 7.01.
“Servicer Modification”: A modification to the terms of a Mortgage Loan, in accordance with the terms of Section 3.01, as to which the Mortgagor is in default or as to which, in the judgment of the Servicer, default is reasonably foreseeable.
“Servicer Prepayment Charge Payment Amount”: The amount payable by the Servicer in respect of any waived Prepayment Charges pursuant to Section 3.01, which amount shall be equal to the difference between the amount of Prepayment Charge due by a Mortgagor before any waiver and the actual amount of the Prepayment Charge that was paid by the Mortgagor.
“Servicer Remittance Date”: With respect to any Distribution Date, the 21st day of the calendar month in which such Distribution Date occurs or if such day is a Saturday, the immediately preceding Business Day, or if such day is a Sunday or otherwise not a Business Day, the immediately following Business Day.
“Servicing Advances”: All customary, reasonable and necessary “out of pocket” costs and expenses incurred by the Servicer (including reasonable attorneys’ fees and disbursements) in the performance of its servicing obligations, including, but not limited to, the cost of (i) the preservation, restoration, inspection and protection of the Mortgaged Property, (ii) any enforcement or judicial proceedings, including foreclosures, (iii) the management and liquidation of the REO Property and (iv) compliance with the obligations under Section 3.08.
“Servicing Fee”: With respect to each Mortgage Loan (including each REO Property) and for any calendar month, an amount equal to one month’s interest (or in the event of any payment of interest which accompanies a Principal Prepayment in full made by the Mortgagor during such calendar month, interest for the number of days covered by such payment of interest) at the Servicing Fee Rate on the same principal amount on which interest on such Mortgage Loan accrues for such calendar month.
“Servicing Fee Rate”: With respect to each Mortgage Loan, 0.50% per annum.
“Servicing Officer”: Any representative or officer of the Servicer involved in, or responsible for, the administration and servicing of Mortgage Loans, whose name and specimen signature appear on a list of servicing officers furnished by the Servicer to the Trustee and the Depositor on the Closing Date, as such list may from time to time be amended.
“Servicing Standard”: The standards set forth in Section 3.01.
“Similar Law”: As defined in Section 5.02(d) hereof.
“Startup Day”: As defined in Section 9.01(b) hereof.
“Stayed Funds”: Any payment required to be made under the terms of the Certificates and this Agreement but which is not remitted by the Servicer because the Servicer is the subject of a proceeding under the Bankruptcy Code and the making of such remittance is prohibited by Section 362 of the Bankruptcy Code.
“Stepdown Date”: The earlier to occur of (i) the Distribution Date on which the aggregate Certificate Principal Balance of the Class A Certificates is reduced to zero and (ii) the later to occur of (x) the Distribution Date in October 2008 and (y) the Distribution Date on which the Senior Enhancement Percentage is greater than or equal to the Senior Specified Enhancement Percentage.
“Subordinate Certificates”: The Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1, Class B-2, Class CE and Residual Certificates.
“Subordination Depletion Date”: The Distribution Date on which the aggregate Certificate Principal Balance of the Class M and Class B Certificates has been reduced to zero.
“Subsequent Cut-off Date”: With respect to those Subsequent Mortgage Loans sold to the Trust Fund pursuant to a Subsequent Transfer Instrument, the later of (i) first day of the month in which the related Subsequent Transfer Date occurs or (ii) the date of origination of such Mortgage Loan.
“Subsequent Group 1 Mortgage Loan”: A Subsequent Mortgage Loan to be included in Loan Group 1.
“Subsequent Group 2 Mortgage Loan”: A Subsequent Mortgage Loan to be included in Loan Group 2.
“Subsequent Mortgage Loan”: A Mortgage Loan sold by the Depositor to the Trust Fund pursuant to Section 2.08, such Mortgage Loan being identified on the Mortgage Loan Schedule attached to a Subsequent Transfer Instrument.
“Subsequent Mortgage Loan Purchase Agreements”: The agreements among the Depositor, the Originator and the Seller, regarding the transfer of the Subsequent Mortgage Loans by the Seller to the Depositor.
“Subsequent Recovery”: Any amount (net of reimbursable expenses) received on a Mortgage Loan subsequent to such Mortgage Loan being determined to be a Liquidated Mortgage Loan that resulted in a Realized Loss in a prior month.
“Subsequent Transfer Date”: With respect to each Subsequent Transfer Instrument, the date on which the related Subsequent Mortgage Loans are sold to the Trust Fund.
“Subsequent Transfer Instrument”: Each Subsequent Transfer Instrument, dated as of a Subsequent Transfer Date, executed by the Trustee and the Depositor substantially in the form attached hereto as Exhibit R by which Subsequent Mortgage Loans are transferred to the Trust Fund.
“Substitution Adjustment Amount”: As defined in Section 2.03(d) hereof.
“Swap Account”: The account or accounts created and maintained pursuant to Section 4.09. The Swap Account must be an Eligible Account.
“Swap Interest Shortfall Amount”: Any shortfall of interest with respect to any Class of Certificates resulting from the application of the related Cap Rate due to a discrepancy between the Uncertificated Notional Amount of the Class SWAP-IO Interest and the scheduled notional amount pursuant to the Interest Rate Swap Agreement.
“Swap LIBOR”: A per annum rate equal to the floating rate payable by the Swap Provider under the Interest Rate Swap Agreement.
“Swap Provider”: | Barclays Bank PLC. |
“Swap Provider Trigger Event”: A Swap Termination Payment that is triggered upon: (i) an Event of Default under the Interest Rate Swap Agreement with respect to which the Swap Provider is a Defaulting Party (as defined in the Interest Rate Swap Agreement), (ii) a Termination Event under the Interest Rate Swap Agreement with respect to which the Swap Provider is the sole Affected Party (as defined in the Interest Rate Swap Agreement) or (iii) an Additional Termination Event under the Interest Rate Swap Agreement with respect to which the Swap Provider is the sole Affected Party.
“Swap Termination Payment”: The payment due under the Interest Rate Swap Agreement upon the early termination of the Interest Rate Swap Agreement.
“Targeted Overcollateralization Amount”: As of any Distribution Date, (x) prior to the Stepdown Date, 0.50% of the Cut-off Date Aggregate Principal Balance and (y) on and after the Stepdown Date, (i) if a Trigger Event has not occurred, the greater of (A) 1.00% of the Pool Balance as of the last day of the related Collection Period after giving effect to Principal Prepayments in the related Prepayment Period and (B) 0.50% of the Cut-off Date Aggregate Principal Balance and (ii) if a Trigger Event has occurred, the Targeted Overcollateralization Amount for the immediately preceding Distribution Date.
“Tax Matters Person”: The tax matters person appointed pursuant to Section 9.01(e) hereof.
“Tax Returns”: The federal income tax returns on Internal Revenue Service Form 1066, U.S. Real Estate Mortgage Investment Conduit Income Tax Return, including Schedule Q thereto, Quarterly Notice to Residual Interest Holders of the REMIC Taxable Income or Net Loss Allocation, or any successor forms, to be filed on behalf of the Trust for each of the two REMICs created pursuant to this Agreement under the REMIC Provisions,
together with any and all other information reports or returns that may be required to be furnished to the Certificateholders or filed with the Internal Revenue Service or any other governmental taxing authority under any applicable provisions of federal, state or local tax laws.
“Telerate Page 3750”: The display page currently so designated on the Reuters Telerate Service (or such other page as may replace the Telerate Page 3750 page on that service for the purpose of displaying London interbank offered rates of major banks).
“Termination Price”: As defined in Section 10.01(a) hereof.
“Trigger Event”: With respect to any Distribution Date on or after the Stepdown Date, if (i) the three-month rolling average of 60+ Day Delinquent Loans equals or exceeds 35.00% of the Senior Enhancement Percentage or (ii) the aggregate amount of Realized Losses incurred since the Cut-off Date through the last day of the related Collection Period (reduced by the aggregate amount of Subsequent Recoveries received since the Cut-off Date through the last day of the related Collection Period) divided by the Cut-off Date Aggregate Principal Balance plus the Original Pre-Funded Amounts exceeds the applicable percentages set forth below with respect to such Distribution Date:
Distribution Date Occurring In | Percentage |
October 2007 through September 2008 | 1.55% for the first month, plus an additional 1/12th of 1.90% for each month thereafter |
October 2008 through September 2009 | 3.45% for the first month, plus an additional 1/12th of 1.55% for each month thereafter |
October 2009 through September 2010 | 5.00% for the first month, plus an additional 1/12th of 1.25% for each month thereafter |
October 2010 through September 2011 | 6.25% for the first month, plus an additional 1/12th of 0.75% for each month thereafter |
October 2011 and thereafter | 7.00% |
“Trust”: ABFC 2005-WMC1 Trust, the trust created hereunder.
“Trust Fund”: The segregated pool of assets subject hereto, constituting the primary trust created hereby and to be administered hereunder, with respect to a portion of which four REMIC elections are to be made, such entire Trust Fund consisting of: (i) such Mortgage Loans as from time to time are subject to this Agreement, together with the Mortgage Files relating thereto, and together with all collections thereon and proceeds thereof, (ii) any REO Property, together with all collections thereon and proceeds thereof, (iii) the Trustee’s rights with respect to the Mortgage Loans under all insurance policies required to be maintained pursuant to this Agreement and any proceeds thereof, (iv) the Depositor’s rights under the WMC Sale
Agreement and the Mortgage Loan Purchase Agreement (including any security interest created thereby), (v) the Trustee’s rights under the Interest Swap Agreement and (vi) the Collection Account, the Distribution Account, Swap Account and the Cap Carryover Reserve Account and such assets that are deposited therein from time to time and any investments thereof, together with any and all income, proceeds and payments with respect thereto.
“Trustee”: Wells Fargo Bank, N.A., a national banking association, or any successor Trustee appointed as herein provided.
“Uncertificated Accrued Interest”: With respect to each REMIC Regular Interest on each Distribution Date, an amount equal to one month’s interest at the related Uncertificated REMIC 1 Pass-Through Rate on the Uncertificated Balance of such REMIC Regular Interest. In each case, Uncertificated Accrued Interest will be reduced by any Prepayment Interest Shortfalls and Relief Act Interest Shortfalls (allocated to such REMIC Regular Interests based on their respective entitlements to interest irrespective of any Prepayment Interest Shortfalls and Relief Act Interest Shortfalls for such Distribution Date).
“Uncertificated Balance”: The amount of any REMIC Regular Interest outstanding as of any date of determination. As of the Closing Date, the Uncertificated Balance of each REMIC Regular Interest shall equal the amount set forth in the Preliminary Statement hereto as its initial uncertificated balance. On each Distribution Date, the Uncertificated Balance of each REMIC Regular Interest shall be reduced by all distributions of principal made on such REMIC Regular Interest on such Distribution Date pursuant to Section 4.08 and, if and to the extent necessary and appropriate, shall be further reduced on such Distribution Date by Realized Losses as provided in Section 4.08(b). The Uncertificated Balance of REMIC Regular Interest LTZZ shall be increased by interest deferrals as provided in Section 4.08(a)(i). The Uncertificated Balance of each REMIC Regular Interest shall never be less than zero.
“Uncertificated Notional Amount”: With respect to REMIC 3 Regular Interest LTIO and each Distribution Date listed below, the aggregate Uncertificated Balance of the REMIC 2 Regular Interests ending with the designation “A” listed below:
Distribution Date | REMIC 1 Regular Interests |
1 | I-1-A through I-50-A and II-1-A through II-50-A |
2 | I-2-A through I-50-A and II-2-A through II-50-A |
3 | I-3-A through I-50-A and II-3-A through II-50-A |
4 | I-4-A through I-50-A and II-4-A through II-50-A |
5 | I-5-A through I-50-A and II-5-A through II-50-A |
6 | I-6-A through I-50-A and II-6-A through II-50-A |
7 | I-7-A through I-50-A and II-7-A through II-50-A |
8 | I-8-A through I-50-A and II-8-A through II-50-A |
9 | I-9-A through I-50-A and II-9-A through II-50-A |
10 | I-10-A through I-50-A and II-10-A through II-50-A |
11 | I-11-A through I-50-A and II-11-A through II-50-A |
12 | I-12-A through I-50-A and II-12-A through II-50-A |
13 | I-13-A through I-50-A and II-13-A through II-50-A |
14 | I-14-A through I-50-A and II-14-A through II-50-A |
15 | I-15-A through I-50-A and II-15-A through II-50-A |
16 | I-16-A through I-50-A and II-16-A through II-50-A |
17 | I-17-A through I-50-A and II-17-A through II-50-A |
18 | I-18-A through I-50-A and II-18-A through II-50-A |
19 | I-19-A through I-50-A and II-19-A through II-50-A |
20 | I-20-A through I-50-A and II-20-A through II-50-A |
21 | I-21-A through I-50-A and II-21-A through II-50-A |
22 | I-22-A through I-50-A and II-22-A through II-50-A |
23 | I-23-A through I-50-A and II-23-A through II-50-A |
24 | I-24-A through I-50-A and II-24-A through II-50-A |
25 | I-25-A through I-50-A and II-25-A through II-50-A |
26 | I-26-A through I-50-A and II-26-A through II-50-A |
27 | I-27-A through I-50-A and II-27-A through II-50-A |
28 | I-28-A through I-50-A and II-28-A through II-50-A |
29 | I-29-A through I-50-A and II-29-A through II-50-A |
30 | I-30-A through I-50-A and II-30-A through II-50-A |
31 | I-31-A through I-50-A and II-31-A through II-50-A |
32 | I-32-A through I-50-A and II-32-A through II-50-A |
33 | I-33-A through I-50-A and II-33-A through II-50-A |
34 | I-34-A through I-50-A and II-34-A through II-50-A |
35 | I-35-A through I-50-A and II-35-A through II-50-A |
36 | I-36-A through I-50-A and II-36-A through II-50-A |
37 | I-37-A through I-50-A and II-37-A through II-50-A |
38 | I-38-A through I-50-A and II-38-A through II-50-A |
39 | I-39-A through I-50-A and II-39-A through II-50-A |
40 | I-40-A through I-50-A and II-40-A through II-50-A |
41 | I-41-A through I-50-A and II-41-A through II-50-A |
42 | I-42-A through I-50-A and II-42-A through II-50-A |
43 | I-43-A through I-50-A and II-43-A through II-50-A |
44 | I-44-A through I-50-A and II-44-A through II-50-A |
45 | I-45-A through I-50-A and II-45-A through II-50-A |
46 | I-46-A through I-50-A and II-46-A through II-50-A |
47 | I-47-A through I-50-A and II-47-A through II-50-A |
48 | I-48-A through I-50-A and II-48-A through II-50-A |
49 | I-49-A and I-50-A and II-49-A and II-50-A |
50 | I-50-A and II-50-A |
thereafter | $0.00 |
With respect to the Class IO Interest and any Distribution Date, an amount equal to the Uncertificated Notional Amount of the REMIC 3 Regular Interest LTIO.
“Uncertificated REMIC 1 Pass-Through Rate”: With respect to REMIC 1 Regular Interest I and REMIC 1 Regular Interest P, and (i) the first three Distribution Dates, the weighted average Net Mortgage Rates on the Group 1 Initial Mortgage Loans as of the first day of the month preceding the month in which the Distribution Date and (ii) thereafter, the weighted average Net Mortgage Rates on the Group 1 Mortgage Loans as of the first day of the month preceding the month in which the Distribution Date. With respect to REMIC 1 Regular Interest I-PF and (i) the first three Distribution Dates, 0.00% and (ii) thereafter, the weighted average Net Mortgage Rates on the Group 1 Mortgage Loans as of the first day of the month preceding the month in which the Distribution Date. With respect to REMIC 1 Regular Interest II and (i) the
first three Distribution Dates, the weighted average Net Mortgage Rates on the Group 2 Initial Mortgage Loans as of the first day of the month preceding the month in which the Distribution Date and (ii) thereafter, the weighted average Net Mortgage Rates on the Group 2 Mortgage Loans as of the first day of the month preceding the month in which the Distribution Date. With respect to REMIC 1 Regular Interest II-PF and (i) the first three Distribution Dates, 0.00% and (ii) thereafter, the weighted average Net Mortgage Rates on the Group 2 Mortgage Loans as of the first day of the month preceding the month in which the Distribution Date.
“Uncertificated REMIC 2 Pass-Through Rate”: With respect to REMIC 2 Regular Interest I and REMIC 2 Regular Interest P, a per annum rate equal to the weighted average Net Mortgage Rate of Loan Group 1. With respect to each REMIC 2 Group I Regular Interest ending with the designation “A”, a per annum rate equal to the weighted average Net Mortgage Rate of Loan Group 1 multiplied by 2, subject to a maximum rate of 8.5%. With respect to each REMIC 2 Group I Regular Interest ending with the designation “B”, the greater of (x) a per annum rate equal to the excess, if any, of (i) 2 multiplied by the weighted average Net Mortgage Rate of Loan Group 1 over (ii) 8.5% and (y) 0.00%. With respect to REMIC 2 Regular Interest II, a per annum rate equal to the weighted average Net Mortgage Rate of Loan Group 2. With respect to each REMIC 2 Group II Regular Interest ending with the designation “A”, a per annum rate equal to the weighted average Net Mortgage Rate of Loan Group 2 multiplied by 2, subject to a maximum rate of 8.500%. With respect to each REMIC 2 Group II Regular Interest ending with the designation “B”, the greater of (x) a per annum rate equal to the excess, if any, of (i) 2 multiplied by the weighted average Net Mortgage Rate of Loan Group 2 over (ii) 8.500% and (y) 0.00%.
“Uncertificated REMIC 3 Pass-Through Rate”: With respect to REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2, REMIC 3 Regular Interest LTZZ, REMIC 3 Regular Interest LTP, REMIC 3 Regular Interest LT1SUB, REMIC 3 Regular Interest LT2SUB, and REMIC 3 Regular Interest LTXX, a per annum rate (but not less than zero) equal to the weighted average of (w) with respect to REMIC 2 Regular Interest I, REMIC 2 Regular Interest II and REMIC 2 Regular Interest P, the Uncertificated REMIC 2 Pass-Through Rate for such REMIC 2 Regular Interest for each such Distribution Date, (x) with respect to REMIC 2 Regular Interests ending with the designation “B”, the weighted average of the Uncertificated REMIC 2 Pass-Through Rates for such REMIC 2 Regular Interests, weighted on the basis of the Uncertificated Balance of such REMIC 2 Regular Interests for each such Distribution Date and (y) with respect to REMIC 2 Regular Interests ending with the designation “A”, for each Distribution Date listed below, the weighted average of the rates listed below for each such REMIC 2 Regular Interest listed below, weighted on the basis of the Uncertificated Balance of each such REMIC 2 Regular Interest for each such Distribution Date:
Distribution Date | REMIC 2 Regular Interest | Rate |
1 | I-1-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
2 | I-2-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-2-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A | Uncertificated REMIC 2 Pass-Through Rate |
3 | I-3-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-3-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A and I-2-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A and II-2-A | Uncertificated REMIC 2 Pass-Through Rate |
4 | I-4-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-4-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-3-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-3-A | Uncertificated REMIC 2 Pass-Through Rate |
5 | I-5-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-5-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-4-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-4-A | Uncertificated REMIC 2 Pass-Through Rate |
6 | I-6-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-6-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-5-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-5-A | Uncertificated REMIC 2 Pass-Through Rate |
7 | I-7-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-7-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-6-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-6-A | Uncertificated REMIC 2 Pass-Through Rate |
8 | I-8-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-8-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-7-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-7-A | Uncertificated REMIC 2 Pass-Through Rate |
9 | I-9-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-9-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-8-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-8-A | Uncertificated REMIC 2 Pass-Through Rate |
10 | I-10-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-10-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-9-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-9-A | Uncertificated REMIC 2 Pass-Through Rate |
11 | I-11-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-11-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-10-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-10-A | Uncertificated REMIC 2 Pass-Through Rate |
12 | I-12-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-12-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-11-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-11-A | Uncertificated REMIC 2 Pass-Through Rate |
13 | I-13-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-13-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-12-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-12-A | Uncertificated REMIC 2 Pass-Through Rate |
14 | I-14-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-14-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-13-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-13-A | Uncertificated REMIC 2 Pass-Through Rate |
15 | I-15-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-15-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-14-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-14-A | Uncertificated REMIC 2 Pass-Through Rate |
16 | I-16-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-16-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-15-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-15-A | Uncertificated REMIC 2 Pass-Through Rate |
17 | I-17-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-17-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-16-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-16-A | Uncertificated REMIC 2 Pass-Through Rate |
18 | I-18-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-18-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-17-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-17-A | Uncertificated REMIC 2 Pass-Through Rate |
19 | I-19-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-19-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-18-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-18-A | Uncertificated REMIC 2 Pass-Through Rate |
20 | I-20-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-20-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-19-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-19-A | Uncertificated REMIC 2 Pass-Through Rate |
21 | I-21-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-21-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-20-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-20-A | Uncertificated REMIC 2 Pass-Through Rate |
22 | I-22-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-22-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-21-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-21-A | Uncertificated REMIC 2 Pass-Through Rate |
23 | I-23-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-23-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-22-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-22-A | Uncertificated REMIC 2 Pass-Through Rate |
24 | I-24-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-24-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-23-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-23-A | Uncertificated REMIC 2 Pass-Through Rate |
25 | I-25-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-25-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-24-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-24-A | Uncertificated REMIC 2 Pass-Through Rate |
26 | I-26-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-26-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-25-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-25-A | Uncertificated REMIC 2 Pass-Through Rate |
27 | I-27-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-27-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-26-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-26-A | Uncertificated REMIC 2 Pass-Through Rate |
28 | I-28-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-28-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-27-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-27-A | Uncertificated REMIC 2 Pass-Through Rate |
29 | I-29-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-29-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-28-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-28-A | Uncertificated REMIC 2 Pass-Through Rate |
30 | I-30-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-30-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-29-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-29-A | Uncertificated REMIC 2 Pass-Through Rate |
31 | I-31-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-31-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-30-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-30-A | Uncertificated REMIC 2 Pass-Through Rate |
32 | I-32-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-32-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-31-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-31-A | Uncertificated REMIC 2 Pass-Through Rate |
33 | I-33-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-33-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-32-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-32-A | Uncertificated REMIC 2 Pass-Through Rate |
34 | I-34-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-34-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-33-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-33-A | Uncertificated REMIC 2 Pass-Through Rate |
35 | I-35-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-35-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-34-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-34-A | Uncertificated REMIC 2 Pass-Through Rate |
36 | I-36-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-36-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-35-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-35-A | Uncertificated REMIC 2 Pass-Through Rate |
37 | I-37-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-37-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-36-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-36-A | Uncertificated REMIC 2 Pass-Through Rate |
38 | I-38-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-38-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-37-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-37-A | Uncertificated REMIC 2 Pass-Through Rate |
39 | I-39-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-39-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-38-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-38-A | Uncertificated REMIC 2 Pass-Through Rate |
40 | I-40-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-40-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| III-40-A through III-60-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-39-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-39-A | Uncertificated REMIC 2 Pass-Through Rate |
| III-1-A through III-39-A | Uncertificated REMIC 2 Pass-Through Rate |
41 | I-41-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-41-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-40-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-40-A | Uncertificated REMIC 2 Pass-Through Rate |
42 | I-42-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-42-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-41-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-41-A | Uncertificated REMIC 2 Pass-Through Rate |
43 | I-43-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-43-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-42-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-42-A | Uncertificated REMIC 2 Pass-Through Rate |
44 | I-44-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-44-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-43-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-43-A | Uncertificated REMIC 2 Pass-Through Rate |
45 | I-45-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-45-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-44-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-44-A | Uncertificated REMIC 2 Pass-Through Rate |
46 | I-46-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-46-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-45-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-45-A | Uncertificated REMIC 2 Pass-Through Rate |
47 | I-47-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-47-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-46-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-46-A | Uncertificated REMIC 2 Pass-Through Rate |
48 | I-48-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-48-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-47-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-47-A | Uncertificated REMIC 2 Pass-Through Rate |
49 | I-49-A and I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-49-A and II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-48-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-48-A | Uncertificated REMIC 2 Pass-Through Rate |
50 | I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-49-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-49-A | Uncertificated REMIC 2 Pass-Through Rate |
thereafter | I-1-A through I-50-A | Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-50-A | Uncertificated REMIC 2 Pass-Through Rate |
With respect to REMIC 3 Regular Interest LT1GRP, a per annum rate (but not less than zero) equal to the weighted average of (w) with respect to REMIC 2 Regular Interest I and REMIC 2 Regular Interest P, the Uncertificated REMIC 2 Pass-Through Rate for such REMIC 2 Regular Interest for each such Distribution Date, (x) with respect to REMIC 2 Group I Regular Interests ending with the designation “B”, the weighted average of the Uncertificated REMIC 2 Pass-Through Rates for such REMIC 2 Regular Interests, weighted on the basis of the Uncertificated Balance of each such REMIC 2 Regular Interest for each such Distribution Date and (y) with respect to REMIC 2 Group I Regular Interests ending with the designation “A”, for each Distribution Date listed below, the weighted average of the rates listed below for such REMIC 2 Regular Interests listed below, weighted on the basis of the Uncertificated Balance of each such REMIC 2 Regular Interest for each such Distribution Date:
Distribution Date | REMIC 2 Regular Interest | Rate |
1 | I-1-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
2 | I-2-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
3 | I-3-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A and I-2-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
4 | I-4-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-3-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
5 | I-5-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-4-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
6 | I-6-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-5-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
7 | I-7-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-6-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
8 | I-8-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-7-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
9 | I-9-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-8-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
10 | I-10-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-9-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
11 | I-11-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-10-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
12 | I-12-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-11-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
13 | I-13-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-12-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
14 | I-14-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-13-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
15 | I-15-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-14-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
16 | I-16-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-15-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
17 | I-17-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-16-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
18 | I-18-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-17-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
19 | I-19-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-18-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
20 | I-20-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-19-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
21 | I-21-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-20-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
22 | I-22-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-21-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
23 | I-23-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-22-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
24 | I-24-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-23-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
25 | I-25-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-24-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
26 | I-26-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-25-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
27 | I-27-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-26-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
28 | I-28-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-27-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
29 | I-29-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-28-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
30 | I-30-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-29-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
31 | I-31-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-30-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
32 | I-32-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-31-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
33 | I-33-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-32-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
34 | I-34-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-33-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
35 | I-35-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-34-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
36 | I-36-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-35-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
37 | I-37-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-36-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
38 | I-38-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-37-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
39 | I-39-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-38-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
40 | I-40-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-39-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
41 | I-41-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-40-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
42 | I-42-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-41-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
43 | I-43-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-42-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
44 | I-44-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-43-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
45 | I-45-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-44-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
46 | I-46-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-45-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
47 | I-47-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-46-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
48 | I-48-A through I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-47-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
49 | I-49-A and I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-48-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
50 | I-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| I-1-A through I-49-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
thereafter | I-1-A through I-50-A | Uncertificated REMIC 2 Pass-Through Rate |
With respect to REMIC 3 Regular Interest LT2GRP, a per annum rate (but not less than zero) equal to the weighted average of (w) with respect to REMIC 2 Regular Interest II, the Uncertificated REMIC 2 Pass-Through Rate for such REMIC 2 Regular Interest for each such Distribution Date, (x) with respect to REMIC 2 Group II Regular Interests ending with the designation “B”, the weighted average of the Uncertificated REMIC 2 Pass-Through Rates for such REMIC 2 Regular Interests, weighted on the basis of the Uncertificated Balance of each such REMIC 2 Regular Interest for each such Distribution Date and (y) with respect to REMIC 2 Group II Regular Interests ending with the designation “A”, for each Distribution Date listed below, the weighted average of the rates listed below for such REMIC 2 Regular Interests listed
below, weighted on the basis of the Uncertificated Balance of each such REMIC 2 Regular Interest for each such Distribution Date:
Distribution Date | REMIC 2 Regular Interest | Rate |
1 | II-1-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
2 | II-2-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
3 | II-3-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A and II-2-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
4 | II-4-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-3-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
5 | II-5-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-4-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
6 | II-6-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-5-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
7 | II-7-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-6-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
8 | II-8-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-7-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
9 | II-9-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-8-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
10 | II-10-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-9-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
11 | II-11-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-10-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
12 | II-12-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-11-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
13 | II-13-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-12-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
14 | II-14-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-13-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
15 | II-15-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-14-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
16 | II-16-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-15-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
17 | II-17-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-16-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
18 | II-18-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-17-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
19 | II-19-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-18-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
20 | II-20-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-19-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
21 | II-21-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-20-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
22 | II-22-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-21-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
23 | II-23-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-22-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
24 | II-24-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-23-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
25 | II-25-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-24-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
26 | II-26-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-25-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
27 | II-27-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-26-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
28 | II-28-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-27-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
29 | II-29-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-28-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
30 | II-30-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-29-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
31 | II-31-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-30-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
32 | II-32-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-31-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
33 | II-33-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-32-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
34 | II-34-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-33-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
35 | II-35-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-34-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
36 | II-36-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-35-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
37 | II-37-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-36-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
38 | II-38-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-37-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
39 | II-39-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-38-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
40 | II-40-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-39-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
41 | II-41-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-40-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
42 | II-42-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-41-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
43 | II-43-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-42-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
44 | II-44-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-43-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
45 | II-45-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-44-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
46 | II-46-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-45-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
47 | II-47-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-46-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
48 | II-48-A through II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-47-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
49 | II-49-A and II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-48-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
50 | II-50-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 2 Pass-Through Rate |
| II-1-A through II-49-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
|
thereafter | II-1-A through II-50-A | Uncertificated REMIC 2 Pass-Through Rate |
|
|
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“United States Person” or “U.S. Person”: (i) A citizen or resident of the United States, (ii) a corporation, partnership or other entity treated as a corporation or partnership for United States federal income tax purposes organized in or under the laws of the United States or any state thereof or the District of Columbia (unless, in the case of a partnership, Treasury Regulations provide otherwise), (iii) an estate the income of which is includible in gross income for United States tax purposes, regardless of its source, or (iv) a trust if a court within the United States is able to exercise primary supervision over the administration of the trust and one or more United States persons have authority to control all substantial decisions of the trust. Notwithstanding the preceding sentence, to the extent provided in Treasury Regulations, certain Trusts in existence on August 20, 1996, and treated as United States persons prior to such date, that elect to continue to be treated as United States persons will also be a U.S. Person; provided, that for purposes of the definition of a “Permitted Transferee,” a U.S. Person shall not include any person whose income is attributable to a foreign permanent establishment or fixed base, within the meaning of an applicable income tax treaty, of such Person or any other U.S. Person.
“Unpaid Realized Loss Amount”: For any of the Class A-2MZ, Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1, Class B-2 Certificates and as to any Distribution Date, the excess of (x) the aggregate Applied Realized Loss Amounts allocated to such Class for all
prior Distribution Dates over (y) the sum of (a) the cumulative amount of any Subsequent Recoveries allocated to such Class and (b) the aggregate Realized Loss Amortization Amounts with respect to such Class for all prior Distribution Dates.
“Value”: With respect to any Mortgaged Property, the lesser of: (i) an amount determined by an appraisal done at origination of the Mortgage Loan; provided, however, the amount may be reduced to reflect the results of a review of such appraisal in accordance with the Originator’s underwriting guidelines and (ii) the purchase price paid for the related Mortgaged Property by the Mortgagor with the proceeds of the Mortgage Loan; provided, however, that in the case of a refinanced Mortgage Loan, the value of the Mortgaged Property is based solely upon clause (i) above.
“Voting Rights”: The portion of the voting rights of all of the Certificates which is allocated to any Certificate. The Voting Rights allocated among Holders of the Floating Rate Certificates shall be 98%, and shall be allocated among each such Class according to the fraction, expressed as a percentage, the numerator of which is the aggregate Certificate Principal Balance of all the Certificates of such Class then outstanding and the denominator of which is the aggregate Certificate Principal Balance of all the Floating Rate Certificates then outstanding. The Voting Rights allocated to each such Class of Certificates shall be allocated among all holders of each such Class in proportion to the outstanding Certificate Principal Balance of such Certificates; provided, however, that any Certificate registered in the name of the Servicer, the Depositor or the Trustee or any of their respective affiliates shall not be included in the calculation of Voting Rights; provided that only such Certificates as are known by a Responsible Officer of the Trustee to be so registered will be so excluded. 1% of all the Voting Rights will be allocated to the Holders of each of the Class CE and Class P Certificates. The Residual Certificates shall have no Voting Rights.
“Weighted Average Net Mortgage Rate”: The weighted average (based on Principal Balance as of the first day of the related Collection Period or, in the case of the first Distribution Date, the Cut-Off Date) of the Net Mortgage Interest Rates of the Mortgage Loans, the Group 1 Mortgage Loans or the Group 2 Mortgage Loans, as applicable, expressed for each such Mortgage Loan as an annual rate and calculated on the basis of twelve months consisting of 30 days each and a 360-day year.
“WMC Sale Agreement”: The Flow Sale and Interim Servicing Agreement, dated as of June 1, 2005, by and between Bank of America, N.A., as purchaser, and the Originator, as seller and the related Memoranda of Sale, dated as of June 27, 2005 and July 6, 2005, as amended by the Assignment, Assumption and Recognition Agreement, dated September 30, 2005, among the Depositor, Bank of America, N.A., the Trustee, the Servicer and the Originator.
“Written Order to Authenticate”: A written order by which the Depositor directs the Trustee to execute, authenticate and deliver the Certificates.
Section 1.02 | Accounting. |
Unless otherwise specified herein, for the purpose of any definition or calculation, whenever amounts are required to be netted, subtracted or added or any distributions are taken
into account such definition or calculation and any related definitions or calculations shall be determined without duplication of such functions.
Section 1.03 | Rights of the NIMS Insurer. |
Each of the rights of the NIMS Insurer set forth in this Agreement shall exist so long as (i) the NIMS Insurer has undertaken to guarantee certain payments of notes issued pursuant to the Indenture and (ii) any series of notes issued pursuant to the Indenture remains outstanding or the NIMS Insurer is owed amounts in respect of its guarantee of payment on such notes; provided, however, the NIMS Insurer shall not have any rights hereunder (except pursuant to Section 11.01 in the case of clause (ii) below) during the period of time, if any, that (i) the NIMS Insurer has not undertaken to guarantee certain payments of notes issued pursuant to the Indenture or (ii) any default has occurred and is continuing under the insurance policy issued by the NIMS Insurer with respect to such notes.
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01 | Conveyance of Mortgage Loans. |
The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey to the Trustee, on behalf of the Trust, without recourse for the benefit of the Certificateholders all the right, title and interest of the Depositor, including any security interest therein for the benefit of the Depositor, in and to (i) each Mortgage Loan identified on the Mortgage Loan Schedule, including the related Cut-off Date Principal Balance, all interest accruing thereon after the Cut-off Date and all collections in respect of interest and principal due after the Cut-off Date; (ii) property which secured each such Mortgage Loan and which has been acquired by foreclosure or deed in lieu of foreclosure; (iii) its interest in any insurance policies in respect of the Mortgage Loans; (iv) all other assets included or to be included in the Trust Fund; (v) all proceeds of any of the foregoing; (vi) the rights of the Depositor under the Consulting Agreement; (vii) the rights of the Depositor under WMC Sale Agreement and the Mortgage Loan Purchase Agreement and (viii) payments made to the Trustee pursuant to the Interest Rate Swap Agreement. Such assignment includes all interest and principal due to the Depositor or the Servicer after the Cut-off Date with respect to the Mortgage Loans.
In connection with such transfer and assignment, the Depositor does hereby deliver to, and deposit with the Trustee, or its designated agent, the following documents or instruments with respect to each Initial Mortgage Loan so transferred and assigned and the Depositor, shall, in accordance with Section 2.04, deliver or caused to be delivered to the Trustee with respect to each Subsequent Mortgage Loan, the following documents or instruments (a “Mortgage File”) so transferred and assigned:
(i) | the original Mortgage Note, endorsed in blank or with respect to any lost Mortgage Note, an original Lost Note Affidavit, together with a copy of the related Mortgage Note; |
(ii) | the original Mortgage with evidence of recording thereon, and the original recorded power of attorney, if the Mortgage was executed pursuant to a power of attorney, with evidence of recording thereon or, if such Mortgage or power of attorney has been submitted for recording but has not been returned from the applicable public recording office, has been lost or is not otherwise available, a copy of such Mortgage or power of attorney, as the case may be, certified to be a true and complete copy of the original submitted for recording; |
(iii) | an original Assignment of Mortgage, in form and substance acceptable for recording. The Mortgage shall be assigned in blank; |
(iv) | an original copy of any intervening assignment of Mortgage showing a complete chain of assignments; |
(v) | the original or a certified copy of lender’s title insurance policy; and |
(vi) | the original or copies of each assumption, modification, written assurance or substitution agreement, if any. |
The Trustee agrees to execute and deliver to the Depositor on or prior to the Closing Date an acknowledgment of receipt of the original Mortgage Note (with any exceptions noted), substantially in the form attached as Exhibit F-3 hereto.
If any of the documents referred to in Section 2.01(ii), (iii) or (iv) above has as of the Closing Date (or Subsequent Tranfer Date, with respect to Subsequent Mortgage Loans) been submitted for recording but either (x) has not been returned from the applicable public recording office or (y) has been lost or such public recording office has retained the original of such document, the obligations of the Depositor to deliver such documents shall be deemed to be satisfied upon (1) delivery to the Trustee no later than the Closing Date (or Subsequent Tranfer Date, with respect to Subsequent Mortgage Loans), of a copy of each such document certified by the Seller in the case of (x) above or the applicable public recording office in the case of (y) above to be a true and complete copy of the original that was submitted for recording and (2) if such copy is certified by the Seller, delivery to the Trustee, promptly upon receipt thereof of either the original or a copy of such document certified by the applicable public recording office to be a true and complete copy of the original. The Depositor shall deliver or cause to be delivered to the Trustee promptly upon receipt thereof any other documents constituting a part of a Mortgage File received with respect to any Mortgage Loan, including, but not limited to, any original documents evidencing an assumption or modification of any Mortgage Loan.
Upon discovery or receipt of notice of any materially defective document in, or that a document is missing from, a Mortgage File, the Seller shall have 120 days to cure such defect or deliver such missing document to the Trustee. If the Seller does not cure such defect or deliver such missing document within such time period, the Seller shall either repurchase or substitute for such Mortgage Loan in accordance with Section 2.03.
The Depositor herewith delivers to the Trustee executed copies of the WMC Sale Agreement and the Mortgage Loan Purchase Agreement.
The Depositor hereby directs the Trustee to execute, deliver and perform its obligations under the Interest Rate Swap Agreement (in its capacity as Supplemental Interest Trust Trustee). The Seller, the Depositor, the Servicer and the Holders of the Floating Rate Certificates by their acceptance of such Certificates acknowledge and agree that the Trustee shall execute, deliver and perform its obligations under the Interest Rate Swap Agreement and shall do so solely in its capacity as Supplemental Interest Trust Trustee and not in its individual capacity. Every provision of this Agreement relating to the conduct or affecting the liability of or affording
protection to the Trustee shall apply to the Trustee’s execution of the Interest Rate Swap Agreement and the performance of its duties and satisfaction of its obligations thereunder.
It is agreed and understood by the parties hereto that it is not intended that any mortgage loan be included in the Trust that is a “High-Cost Home Loan” as defined in any of (i) the New Jersey Home Ownership Act effective November 27, 2003, (ii) the New Mexico Home Loan Protection Act, effective January 1, 2004, (iii) the Massachusetts Predatory Home Loan Practices Act, effective November 7, 2004 or (iv) the Indiana Home Loan Practices Act, effective January 1, 2005.
Section 2.02 | Acceptance by Trustee. |
The Trustee acknowledges the receipt of, subject to the provisions of Section 2.01 and subject to the review described below and any exceptions noted on the exception report described in the next paragraph below, the documents referred to in Section 2.01 above and all other assets included in the definition of “Trust Fund” and declares that it holds and will hold such documents and the other documents delivered to it constituting a Mortgage File, and that it holds or will hold all such assets and such other assets included in the definition of “Trust Fund” in trust for the exclusive use and benefit of all present and future Certificateholders.
The Trustee agrees, for the benefit of the Certificateholders, to review each Mortgage File within 60 days after the Closing Date, with respect to each Initial Mortgage Loan or the Subsequent Transfer Date, with respect to each Subsequent Mortgage Loan (or, with respect to any document delivered after the Startup Day, within 60 days of receipt and with respect to any Qualified Substitute Mortgage, within 60 days after the assignment thereof) and to certify in substantially the form attached hereto as Exhibit F-1 that, as to each Initial Mortgage Loan listed in the Mortgage Loan Schedules (other than any Mortgage Loan paid in full or any Mortgage Loan specifically identified in the exception report annexed thereto as not being covered by such certification), (i) all documents required to be delivered to it pursuant to Section 2.01 of this Agreement are in its possession, (ii) such documents have been reviewed by it and have not been mutilated, damaged or torn and relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing, the information set forth in the Mortgage Loan Schedules that corresponds to items (1), (2) and (10) of the Mortgage Loan Schedules accurately reflects information set forth in the Mortgage File. It is herein acknowledged that, in conducting such review, the Trustee is under no duty or obligation to inspect, review or examine any such documents, instruments, certificates or other papers to determine that they are genuine, enforceable, or appropriate for the represented purpose or that they have actually been recorded or that they are other than what they purport to be on their face.
Prior to the first anniversary date of this Agreement the Trustee shall deliver to the Depositor, the Servicer and the NIMS Insurer a final certification in the form annexed hereto as Exhibit F-2 evidencing the completeness of the Mortgage Files, with any applicable exceptions noted thereon.
If in the process of reviewing the Mortgage Files and making or preparing, as the case may be, the certifications referred to above, the Trustee finds any document or documents
constituting a part of a Mortgage File to be missing or defective in any material respect, at the conclusion of its review the Trustee shall so notify the Seller, the Depositor, the NIMS Insurer and the Servicer. In addition, upon the discovery by the Originator, the Seller, the Depositor, the NIMS Insurer, the Trustee or the Servicer (or upon receipt by the Trustee of written notification of such breach) of a breach of any of the representations and warranties made by the Originator in the WMC Sale Agreement or the Seller in the Mortgage Loan Purchase Agreement in respect of any Mortgage Loan which materially adversely affects such Mortgage Loan or the interests of the related Certificateholders in such Mortgage Loan, the party discovering such breach shall give prompt written notice to the other parties.
The Depositor and the Trustee intend that the assignment and transfer herein contemplated constitute a sale of the Mortgage Loans and the Related Documents, conveying good title thereto free and clear of any liens and encumbrances, from the Depositor to the Trustee and that such property not be part of the Depositor’s estate or property of the Depositor in the event of any insolvency by the Depositor. In the event that such conveyance is deemed to be, or to be made as security for, a loan, the parties intend that the Depositor shall be deemed to have granted and does hereby grant to the Trustee, on behalf of the Trust, a first priority perfected security interest in all of the Depositor’s right, title and interest in and to the Mortgage Loans and the Related Documents, and that this Agreement shall constitute a security agreement under applicable law.
Section 2.03 Repurchase or Substitution of Mortgage Loans by the Originator or the Seller.
(a) Upon discovery or receipt of written notice of any materially defective document in, or that a document is missing from, a Mortgage File or of the breach by the Originator or the Seller of any representation or warranty under the WMC Sale Agreement or the Mortgage Loan Purchase Agreement, as applicable, in respect of any Mortgage Loan which materially adversely affects the value of such Mortgage Loan, Prepayment Charge or the interest therein of the Certificateholders, the Trustee shall promptly notify the Originator or the Seller, as the case may be, the Servicer and the NIMS Insurer of such defect, missing document or breach and request that, in the case of a defective or missing document, the Seller cure such defect or deliver such missing document within 120 days from the date the Seller was notified of such missing document or defect or, in the case of a beach of a representation or warranty, request the Originator or the Seller, as applicable, cure such breach within 90 days from the date the Originator or the Seller, as the case may be, was notified of such breach. If the Seller does not deliver such missing document or cure such defect or if the Originator or the Seller, as applicable, does not cure such breach in all material respects during such period, the Trustee shall enforce the Originator’s or the Seller’s obligation, as the case may be, under the WMC Sale Agreement or the Mortgage Loan Purchase Agreement, as applicable, and cause the Originator or the Seller, as applicable, to repurchase such Mortgage Loan from the Trust Fund at the Purchase Price on or prior to the Determination Date following the expiration of such period (subject to Section 2.03(d)). The Purchase Price for the repurchased Mortgage Loan shall be deposited in the Collection Account, and the Trustee, upon receipt of written notice from the Servicer of such deposit, shall release to the Originator or the Seller, as applicable, the related Mortgage File and shall execute and deliver such instruments of transfer or assignment, in each
case without recourse, as the Originator or the Seller, as applicable, shall furnish to it and as shall be necessary to vest in the Originator or the Seller, as the case may be, any Mortgage Loan released pursuant hereto and the Trustee shall have no further responsibility with regard to such Mortgage File. In lieu of repurchasing any such Mortgage Loan as provided above, the Originator or the Seller, as the case may be, may cause such Mortgage Loan to be removed from the Trust Fund (in which case it shall become a Defective Mortgage Loan) and substitute one or more Eligible Substitute Mortgage Loans in the manner and subject to the limitations set forth in Section 2.03(c).
With respect to the representations and warranties set forth in the WMC Sale Agreement and the Mortgage Loan Purchase Agreement that are made to the best of the Originator’s or the Seller’s knowledge, as applicable, or as to which the Originator or the Seller, as the case may be, has no knowledge, if it is discovered by the Depositor, the Servicer, the NIMS Insurer or the Trustee that the substance of such representation and warranty is inaccurate and such inaccuracy materially and adversely affects the value of the related Mortgage Loan, Prepayment Charge or the interest therein of the Certificateholders then, notwithstanding the Originator’s or the Seller’s lack of knowledge with respect to the substance of such representation and warranty being inaccurate at the time the representation or warranty was made, such inaccuracy shall be deemed a breach of the applicable representation or warranty.
It is understood and agreed that the representations and warranties set forth in the WMC Sale Agreement and the Mortgage Loan Purchase Agreement shall survive delivery of the Mortgage Files to the Trustee and the Closing Date and shall inure to the benefit of the Certificateholders notwithstanding any restrictive or qualified endorsement or assignment. It is understood and agreed that the obligations of the Originator and the Seller set forth in this Section 2.03(a) to cure, substitute for or repurchase a Mortgage Loan pursuant to the WMC Sale Agreement or the Mortgage Loan Purchase Agreement, as applicable, and to pay the Reimbursement Amount constitute the sole remedies available to the Certificateholders and to the Trustee on their behalf respecting a breach of the representations and warranties contained in the WMC Sale Agreement and the Mortgage Loan Purchase Agreement.
The representations and warranties of the Originator with respect to the Mortgage Loans in the WMC Sale Agreement, which have been assigned to the Trustee hereunder, were made as of June 27, 2005 and July 6, 2005. To the extent that any fact, condition or event with respect to a Mortgage Loan constitutes a breach of both (i) a representation or warranty of the Originator under the WMC Sale Agreement and (ii) a representation or warranty of the Seller under the Mortgage Loan Purchase Agreement with respect to the Mortgage Loans purchased from the Originator under the WMC Sale Agreement (other than Seller’s representations with respect to predatory and abusive lending laws in Section 3.01(k) and 3.01(s) of the Mortgage Loan Purchase Agreement), the only right or remedy of the Trustee or of any Certificateholder shall be the Trustee’s right to enforce the obligations of the Originator under any applicable representation or warranty made by it. The Trustee acknowledges that the Seller shall have no obligation or liability with respect to any breach of a representation or warranty made by it with respect to such Mortgage Loans (except as otherwise set forth in this paragraph) if the fact, condition or event constituting such breach also constitutes a breach of a representation or warranty made by the Originator in the WMC Sale Agreement, without regard to whether the
Originator fulfills its contractual obligations in respect of such representation or warranty. In addition, to the extent that any fact, condition or event with respect to a Mortgage Loan constitutes a breach of both (x) the Originator’s representation with respect to predatory and abusive lending laws in clauses (i), (ddd) or (ooo) of Section 3.02 of the WMC Sale Agreement and (y) the Seller’s representation with respect to predatory and abusive lending laws in Section 3.01(k) or 3.01(s) of the Mortgage Loan Purchase Agreement, the Originator shall be obligated to pay the Reimbursement Amount relating to such Mortgage Loan, and, to the extent the Originator fails to do so, the Trustee shall be entitled to enforce the Seller’s obligation to pay such Reimbursement Amount.
In any event, the Reimbursement Amount shall be delivered to the Servicer for deposit into the Collection Account within 10 days from the date the Seller was notified by the Trustee of the Reimbursement Amount.
(b) Within 90 days of the earlier of discovery by the Servicer or receipt of notice by the Servicer of the breach of any representation, warranty or covenant of the Servicer set forth in Section 2.05 which materially and adversely affects the interests of the Certificateholders in any Mortgage Loan, the Servicer shall cure such breach in all material respects.
(c) Any substitution of Eligible Substitute Mortgage Loans for Defective Mortgage Loans made pursuant to Section 2.03(a) must be effected prior to the last Business Day that is within two years after the Closing Date. As to any Defective Mortgage Loan for which the Originator or the Seller substitutes an Eligible Substitute Mortgage Loan or Loans, such substitution shall be effected by the Originator or the Seller, as applicable, delivering to the Trustee for such Eligible Substitute Mortgage Loan or Loans, the Mortgage Note, the Mortgage, the Assignment to the Trustee, and such other documents and agreements, with all necessary endorsements thereon, as are required by Section 2.01, together with an Officers’ Certificate providing that each such Eligible Substitute Mortgage Loan satisfies the definition thereof and specifying the Substitution Adjustment Amount (as described below), if any, in connection with such substitution. The Trustee shall acknowledge receipt for such Eligible Substitute Mortgage Loan or Loans and, within ten Business Days thereafter, shall review such documents as specified in Section 2.02 and deliver to the Servicer and the NIMS Insurer, with respect to such Eligible Substitute Mortgage Loan or Loans, a certification substantially in the form attached hereto as Exhibit F-1, with any applicable exceptions noted thereon. Within one year of the date of substitution, the Trustee shall deliver to the Servicer and the NIMS Insurer a certification substantially in the form of Exhibit F-2 hereto with respect to such Eligible Substitute Mortgage Loan or Loans, with any applicable exceptions noted thereon. Monthly Payments due with respect to Eligible Substitute Mortgage Loans in the month of substitution are not part of the Trust Fund and will be retained by the Originator or the Seller, as applicable. For the month of substitution, distributions to Certificateholders will reflect the collections and recoveries in respect of such Defective Mortgage Loan in the Collection Period or Prepayment Period, as applicable, preceding the date of substitution and the Depositor, the Originator or the Seller, as the case may be, shall thereafter be entitled to retain all amounts subsequently received in respect of such Defective Mortgage Loan. The Depositor shall give or cause to be given written notice to the Certificateholders and the NIMS Insurer that such substitution has taken place, shall amend
the Mortgage Loan Schedule to reflect the removal of such Defective Mortgage Loan from the terms of this Agreement and the substitution of the Eligible Substitute Mortgage Loan or Loans and shall deliver a copy of such amended Mortgage Loan Schedule to the Trustee and the NIMS Insurer. Upon such substitution, such Eligible Substitute Mortgage Loan or Loans shall constitute part of the Mortgage Pool and shall be subject in all respects to the terms of this Agreement and, in the case of a substitution effected by the Originator or the Seller, the WMC Sale Agreement or the Mortgage Loan Purchase Agreement, as the case may be, including, in the case of a substitution effected by the Originator or the Seller, all applicable representations and warranties thereof included in the WMC Sale Agreement and, in the case of a substitution made by the Seller, the Mortgage Loan Purchase Agreement, as of the date of substitution.
For any month in which the Originator or the Seller substitutes one or more Eligible Substitute Mortgage Loans for one or more Defective Mortgage Loans, the Servicer will determine the amount (the “Substitution Adjustment Amount”), if any, by which the aggregate Purchase Price of all such Defective Mortgage Loans exceeds the aggregate, as to each such Eligible Substitute Mortgage Loan, of the Principal Balance thereof as of the date of substitution, together with one month’s interest on such Principal Balance at the applicable Net Mortgage Interest Rate. On the date of such substitution, the Originator or the Seller, as the case may be, will deliver or cause to be delivered to the Servicer for deposit in the Collection Account an amount equal to the Substitution Adjustment Amount, if any, and the Trustee, upon receipt of the related Eligible Substitute Mortgage Loan or Loans and notice by the Servicer of such deposit, shall release to the Originator or the Seller, as applicable, the related Mortgage File or Files and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as the Originator or the Seller, as the case may be, shall deliver to it and as shall be necessary to vest therein any Defective Mortgage Loan released pursuant hereto.
In addition, the Originator or the Seller, as applicable, shall obtain at its own expense and deliver to the Trustee and the NIMS Insurer an Opinion of Counsel to the effect that such substitution will not cause (a) any federal tax to be imposed on the Trust Fund, including without limitation, any federal tax imposed on “prohibited transactions” under Section 860F(a)(l) of the Code or on “contributions after the startup date” under Section 860G(d)(l) of the Code, or (b) any REMIC to fail to qualify as a REMIC at any time that any Certificate is outstanding. If such Opinion of Counsel can not be delivered, then such substitution may only be effected at such time as the required Opinion of Counsel can be given.
(d) Upon discovery by the Originator, the Seller, the Servicer, the NIMS Insurer or the Trustee that any Mortgage Loan does not constitute a “qualified mortgage” within the meaning of Section 860G(a)(3) of the Code, the party discovering such fact shall within two Business Days give written notice thereof to the other parties. In connection therewith, the Originator or the Seller, as applicable, shall repurchase or, subject to the limitations set forth in Section 2.03(c), substitute one or more Eligible Substitute Mortgage Loans for the affected Mortgage Loan within 90 days of the earlier of discovery or receipt of such notice with respect to such affected Mortgage Loan. In addition, upon discovery that a Mortgage Loan is defective in a manner that would cause it to be a “defective obligation” within the meaning of Treasury Regulations relating to REMICs, the Originator or the Seller, as the case may be, shall cure the defect or make the required purchase or substitution no later than 90 days after the discovery of
the defect. Any such repurchase or substitution shall be made in the same manner as set forth in Section 2.03(a). The Trustee shall reconvey to the Originator or the Seller, as applicable, the Mortgage Loan to be released pursuant hereto in the same manner, and on the same terms and conditions, as it would a Mortgage Loan repurchased for breach of a representation or warranty.
Section 2.04 | Conveyance of the Subsequent Mortgage Loans. |
(a) Subject to the conditions set forth in paragraph (b) below in consideration of the Trustee’s delivery on the Subsequent Transfer Dates to or upon the order of the Depositor of all or a portion of the balance of funds in the Pre-Funding Accounts, the Depositor shall on any Subsequent Transfer Date sell, transfer, assign, set over and convey without recourse to the Trust Fund but subject to the other terms and provisions of this Agreement all of the right, title and interest of the Depositor in and to (i) the Subsequent Mortgage Loans identified on the Mortgage Loan Schedule attached to the related Subsequent Transfer Instrument delivered by the Depositor on such Subsequent Transfer Date, (ii) all interest accruing thereon on and after the Subsequent cut-off Date and all collections in respect of interest and principal due after the Subsequent cut-off Date and (iii) all items with respect to such Subsequent Mortgage Loans to be delivered pursuant to Section 2.01 and the other items in the related Mortgage Files; provided, however, that the Depositor reserves and retains all right, title and interest in and to principal received and interest accruing on the Subsequent Mortgage Loans prior to the related Subsequent cut-off Date. The transfer to the Trustee for deposit in the Mortgage Pool by the Depositor of the Subsequent Mortgage Loans identified on the Mortgage Loan Schedule shall be absolute and is intended by the Depositor, the Servicer, the Trustee and the Certificateholders to constitute and to be treated as a sale of the Subsequent Mortgage Loans by the Depositor to the Trust Fund. The related Mortgage File for each Subsequent Mortgage Loan shall be delivered to the Trustee at least three Business Days prior to the related Subsequent Transfer Date.
The purchase price paid by the Trustee from amounts released from the Group 1 Pre-Funding Account or the Group 2 Pre-Funding Account, as applicable, shall be one-hundred percent (100%) of the aggregate Stated Principal Balance of the related Subsequent Mortgage Loans so transferred (as identified on the Mortgage Loan Schedule provided by the Depositor). This Agreement shall constitute a fixed-price purchase contract in accordance with Section 860G(a)(3)(A)(ii) of the Code.
(b) The Depositor shall transfer to the Trustee for deposit in the Mortgage Pool the Subsequent Mortgage Loans and the other property and rights related thereto as described in paragraph (a) above, and the Trustee shall release funds from the Group 1 Pre-Funding Account or the Group 2 Pre-Funding Account, as applicable, only upon the satisfaction of each of the following conditions on or prior to the related Subsequent Transfer Date:
(i) the Depositor shall have provided the Trustee, the NIMS Insurer and the Rating Agencies with a timely Addition notice and shall have provided any information reasonably requested by the Trustee with respect to the Subsequent Mortgage Loans;
(ii) the Depositor shall have delivered to the Trustee and the NIMS Insurer a duly executed Subsequent Transfer Instrument, which shall include a Mortgage Loan
Schedule listing the Subsequent Mortgage Loans, and the Depositor, shall have delivered a computer file containing such Mortgage Loan Schedule to the Trustee at least three Business Days prior to the related Subsequent Transfer Date;
(iii) as of each Subsequent Transfer Date, as evidenced by delivery of the Subsequent Transfer Instrument, substantially in the form of Exhibit R the Depositor shall not be insolvent nor shall it have been rendered insolvent by such transfer nor shall it be aware of any pending insolvency;
(iv) such sale and transfer shall not result in a material adverse tax consequence to the Trust Fund or the Certificateholders;
(v) | the Funding Period shall not have terminated; |
(vi) the Depositor shall not have selected the Subsequent Mortgage Loans in a manner that it believed to be adverse to the interests of the Certificateholders;
(vii) the Depositor shall have delivered to the Trustee and the NIMS Insurer a Subsequent Transfer Instrument confirming the satisfaction of the conditions precedent specified in this Section 2.04 and, pursuant to the Subsequent Transfer Instrument, assigned to the Trustee without recourse for the benefit of the Certificateholders all the right, title and interest of the Depositor, in, to and under the Subsequent Mortgage Loan Purchase Agreement, to the extent of the Subsequent Mortgage Loans;
(viii) with respect to the last Subsequent Transfer Date, the Depositor shall have delivered to the Trustee and the NIMS Insurer a letter from an Independent accountant (with copies provided to each Rating Agency) stating that the characteristics of the Subsequent Mortgage Loans conform to the characteristics set forth in clauses (i) through (xii) of paragraph (c) below and to the characteristics set forth in paragraph (d) below;
(ix) the Depositor shall have delivered to the Trustee, the Underwriters and the NIMS Insurer an Opinion of Counsel addressed to the Trustee and the Rating Agencies with respect to the transfer of the Subsequent Mortgage Loans substantially in the form of the Opinion of Counsel delivered to the Trustee on the Closing Date regarding the true sale of the Subsequent Mortgage Loans;
(x) the Depositor shall have delivered to the Trustee, the Underwriters and the NIMS Insurer an Opinion of Counsel addressed to the Trustee and the Rating Agencies with respect to the transfer of the Subsequent Mortgage Loans substantially in the form of the Opinion of Counsel delivered to the Trustee on the Closing Date regarding each REMIC in the Trust Fund is and shall continue to qualify as a REMIC following the transfer of the Subsequent Mortgage Loans;
(xi) the Depositor shall have received the consent of the NIMS Insurer, if any, to the transfer of such Subsequent Mortgage Loans.
(c) The obligation of the Trust Fund to purchase a Subsequent Mortgage Loan on any Subsequent Transfer Date is subject to the satisfaction of the conditions set forth in the immediately following paragraph and the accuracy of the following representations and warranties with respect to each such Subsequent Mortgage Loan determined as of the applicable Subsequent cut-off Date: (i) such Subsequent Mortgage Loan may not be 30 or more days delinquent as of the last day of the month preceding the Subsequent cut-off Date; (ii) the original term to stated maturity of such Subsequent Mortgage Loan will not be less than 120 months and will not exceed 360 months; (iii) the Subsequent Mortgage Loan may not provide for negative amortization; (iv) such Subsequent Mortgage Loan will not have a Loan-to-Value Ratio greater than 100.00%; (v) such Subsequent Mortgage Loans will have, as of the Subsequent cut-off Date, a weighted average term since origination not in excess of 360 months; (vi) such Subsequent Mortgage Loan, if a Fixed Rate Mortgage Loan, shall have a Mortgage Rate that is not less than 4.800% per annum or greater than 12.600% per annum; (vii) such Subsequent Mortgage Loan shall have been serviced by the Servicer since origination, the date of purchase or the date of acquisition of the servicing (viii) each of the Subsequent Mortgage Loans will have a first payment date occurring on or before August 1, 2005 and will include 30 days’ interest thereon; (ix) if the Subsequent Mortgage Loan is an Adjustable Rate Mortgage Loan, the Subsequent Mortgage Loan will have a Gross Margin not less than 4.000% per annum; (x) if the Subsequent Mortgage Loan is an Adjustable Rate Mortgage Loan, the Subsequent Mortgage Loan will have a Maximum Mortgage Rate not less than 11.000% per annum; (xi) if the Subsequent Mortgage Loan is an Adjustable Rate Mortgage Loan, the Subsequent Mortgage Loan will have a Minimum Mortgage Rate not less than 4.000% per annum, and (xii) such Subsequent Mortgage Loan shall have been underwritten in accordance with the criteria set forth under “The Originator—Underwriting Guidelines” in the Prospectus Supplement.
(d) Following the purchase of any Subsequent Group 1 Mortgage Loan by the Trust, the Group 1 Mortgage Loans (including such Subsequent Group 1 Mortgage Loans) will: (i) have a weighted average original term to stated maturity of not more than 360 months; (ii) have a Mortgage Rate of not less than 6.000% per annum and not more than 12.500% per annum; (iii) have a Loan-to-Value Ratio of not more than 100.00%; (iv) have no Mortgage Loan with an original principal balance which does not conform to Fannie Mae and Freddie Mac principal balance guidelines; (v) will have a FICO score of not less than 500. In addition, the Adjustable Rate Group 1 Mortgage Loans will have a Gross Margin not less than 6.000% per annum. For purposes of the calculations described in this paragraph, percentages of the Group 1 Mortgage Loans will be based on the Stated Principal Balance of the Initial group 1 mortgage loans as of the Cut-off Date and the Stated Principal Balance of the Subsequent Group 1 Mortgage Loans as of the related Subsequent cut-off Date.
Following the purchase of any Subsequent Group 2 Mortgage Loan by the Trust, the Group 2 Mortgage Loans (including such Subsequent Group 2 Mortgage Loans) will: (i) have a weighted average original term to stated maturity of not more than 360 months; (ii) have a Mortgage Rate of not less than 5.000% per annum and not more than 13.000% per annum; (iii) have a Loan-to-Value Ratio of not more than 100.00%; (iv) have no Mortgage Loan with a principal balance in excess of $999,999; (v) will have a FICO score of not less than 500. In addition, the Adjustable Rate Group 2 Mortgage Loans will have a Gross Margin not less than 4.000% per annum. For purposes of the calculations described in this paragraph, percentages of
the Group 2 Mortgage Loans will be based on the Stated Principal Balance of the Initial Group 2 Mortgage Loans as of the Cut-off Date and the Stated Principal Balance of the Subsequent Group 2 Mortgage Loans as of the related Subsequent cut-off Date.
(e) Notwithstanding the foregoing, any Subsequent Mortgage Loan may be rejected by (i) the NIMS Insurer or (ii) any Rating Agency if the inclusion of any such Subsequent Mortgage Loan would adversely affect the ratings of any Class of Certificates. At least one Business Day prior to the Subsequent Transfer Date, each Rating Agency shall notify the Trustee as to which Subsequent Mortgage Loans, if any, shall not be included in the transfer on the Subsequent Transfer Date; provided, however, that the Depositor shall have delivered to each Rating Agency at least three Business Days prior to such Subsequent Transfer Date a computer file acceptable to each Rating Agency describing the characteristics specified in paragraphs (c) and (d) above.
Section 2.05 | Representations, Warranties and Covenants of the Servicer. |
The Servicer hereby represents, warrants and covenants to the Trustee, for the benefit of each of the Trustee and the Certificateholders and to the Depositor and the NIMS Insurer that as of the Closing Date or as of such date specifically provided herein:
(i) The Servicer is a corporation duly organized, validly existing and in good standing under the laws of the State of New Jersey and has all licenses necessary to carry on its business as now being conducted, except for such licenses, certificates and permits the absence of which, individually or in the aggregate, would not have a material adverse effect on the ability of the Servicer to conduct its business as it is presently conducted, and is licensed, qualified and in good standing in the states where the Mortgaged Property is located if the laws of such state require licensing or qualification in order to conduct business of the type conducted by the Servicer or to ensure the enforceability or validity of each Mortgage Loan; the Servicer has the power and authority to execute and deliver this Agreement and to perform in accordance herewith; the execution, delivery and performance of this Agreement (including all instruments of transfer to be delivered pursuant to this Agreement) by the Servicer and the consummation of the transactions contemplated hereby have been duly and validly authorized; and all requisite corporate action has been taken by the Servicer to make this Agreement valid and binding upon the Servicer in accordance with its terms;
(ii) The consummation of the transactions contemplated by this Agreement are in the ordinary course of business of the Servicer and will not result in the breach of any term or provision of the articles of incorporation or by-laws of the Servicer or result in the breach of any term or provision of, or conflict with or constitute a default under or result in the acceleration of any obligation under, any agreement, indenture or loan or credit agreement or other instrument to which the Servicer or its property is subject, or result in the violation of any law, rule, regulation, order, judgment or decree to which the Servicer or its property is subject;
(iii) The Servicer is an approved seller/servicer of conventional residential mortgage loans for Fannie Mae or Freddie Mac, with the facilities, procedures, and experienced personnel necessary for the sound servicing of mortgage loans of the same type as the Mortgage Loans. The Servicer is a HUD approved mortgagee pursuant to Section 203 of the National Housing Act and is in good standing to sell mortgage loans to and service mortgage loans for Fannie Mae or Freddie Mac, and no event has occurred, including but not limited to a change in insurance coverage, which would make the Servicer unable to comply with Fannie Mae or Freddie Mac eligibility requirements or which would require notification to either Fannie Mae or Freddie Mac;
(iv) This Agreement, and all documents and instruments contemplated hereby which are executed and delivered by the Servicer, constitute and will constitute valid, legal and binding obligations of the Servicer, enforceable in accordance with their respective terms, except as the enforcement thereof may be limited by applicable bankruptcy, insolvency, reorganization, moratorium or other similar laws affecting the enforcement of creditors’ rights generally (whether considered in a proceeding at law or in equity);
(v) The Servicer does not believe, nor does it have any reason or cause to believe, that it cannot perform each and every covenant contained in this Agreement;
(vi) There is no action, suit, proceeding or investigation pending or, to its knowledge, threatened against the Servicer that, either individually or in the aggregate, may result in any material adverse change in the business, operations, financial condition, properties or assets of the Servicer, or in any material impairment of the right or ability of the Servicer to carry on its business substantially as now conducted, or in any material liability on the part of the Servicer, or that would draw into question the validity or enforceability of this Agreement or of any action taken or to be taken in connection with the obligations of the Servicer contemplated herein, or that would be likely to impair materially the ability of the Servicer to perform under the terms of this Agreement;
(vii) No consent, approval or order of any court or governmental agency or body is required for the execution, delivery and performance by the Servicer of or compliance by the Servicer with this Agreement or the consummation of the transactions contemplated by this Agreement, except for such consents, approvals, authorizations and orders, if any, that have been obtained; and
(viii) No information in this Agreement provided by the Servicer nor any information, certificate of an officer, statement furnished in writing or report delivered to the Trustee by the Servicer in connection with the transactions contemplated hereby contains or will contain any untrue statement of a material fact or omits or will omit to state a material fact necessary in order to make the statements contained therein, in light of the circumstances under which they were made, not misleading.
(ix) The Servicer has fully furnished, and shall continue to fully furnish for so long as it is servicing the Mortgage Loans hereunder, in accordance with the Fair Credit Reporting Act and its implementing regulations, accurate and complete information on the
Mortgagor credit files to Equifax, Experian and Trans Union Credit Information Company on a monthly basis.
It is understood and agreed that the representations, warranties and covenants set forth in this Section 2.05 shall survive delivery of the Mortgage Files to the Trustee and shall inure to the benefit of the Trustee, the Depositor, the NIMS Insurer and the Certificateholders. Upon discovery by any of the Depositor, the Servicer, the NIMS Insurer or the Trustee of a breach of any of the foregoing representations, warranties and covenants which materially and adversely affects the value of any Mortgage Loan, Prepayment Charge or the interests therein of the Certificateholders, the party discovering such breach shall give prompt written notice (but in no event later than two Business Days following such discovery) to the other parties hereto.
Section 2.06 | Representations and Warranties of the Depositor. |
The Depositor represents and warrants to the Trust and the Trustee on behalf of the Certificateholders and to the Servicer and the NIMS Insurer as follows:
(i) This agreement constitutes a legal, valid and binding obligation of the Depositor, enforceable against the Depositor in accordance with its terms, except as enforceability may be limited by applicable bankruptcy, insolvency, reorganization, moratorium or other similar laws now or hereafter in effect affecting the enforcement of creditors’ rights in general and except as such enforceability may be limited by general principles of equity (whether considered in a proceeding at law or in equity);
(ii) Immediately prior to the sale and assignment by the Depositor to the Trustee on behalf of the Trust of each Mortgage Loan, the Depositor had good and marketable title to each Mortgage Loan (insofar as such title was conveyed to it by the Seller) subject to no prior lien, claim, participation interest, mortgage, security interest, pledge, charge or other encumbrance or other interest of any nature;
(iii) As of the Closing Date, the Depositor has transferred all right, title interest in the Mortgage Loans to the Trustee on behalf of the Trust;
(iv) The Depositor has not transferred the Mortgage Loans to the Trustee on behalf of the Trust with any intent to hinder, delay or defraud any of its creditors;
(v) The Depositor has been duly incorporated and is validly existing as a corporation in good standing under the laws of the State of Delaware, with full corporate power and authority to own its assets and conduct its business as presently being conducted;
(vi) The Depositor is not in violation of its certificate of incorporation or by-laws or in default in the performance or observance of any material obligation, agreement, covenant or condition contained in any contract, indenture, mortgage, loan agreement, note, lease or other instrument to which the Depositor is a party or by which it or its properties may be bound, which default might result in any material adverse changes in the financial condition, earnings, affairs or business of the Depositor or which might materially and adversely affect the properties or assets, taken as a whole, of the Depositor;
(vii) The execution, delivery and performance of this Agreement by the Depositor, and the consummation of the transactions contemplated thereby, do not and will not result in a material breach or violation of any of the terms or provisions of, or, to the knowledge of the Depositor, constitute a default under, any indenture, mortgage, deed of trust, loan agreement or other agreement or instrument to which the Depositor is a party or by which the Depositor is bound or to which any of the property or assets of the Depositor is subject, nor will such actions result in any violation of the provisions of the certificate of incorporation or by-laws of the Depositor or, to the best of the Depositor’s knowledge without independent investigation, any statute or any order, rule or regulation of any court or governmental agency or body having jurisdiction over the Depositor or any of its properties or assets (except for such conflicts, breaches, violations and defaults as would not have a material adverse effect on the ability of the Depositor to perform its obligations under this Agreement);
(viii) To the best of the Depositor’s knowledge without any independent investigation, no consent, approval, authorization, order, registration or qualification of or with any court or governmental agency or body of the United States or any other jurisdiction is required for the issuance of the Certificates, or the consummation by the Depositor of the other transactions contemplated by this Agreement, except such consents, approvals, authorizations, registrations or qualifications as (a) may be required under State securities or Blue Sky laws, (b) have been previously obtained or (c) the failure of which to obtain would not have a material adverse effect on the performance by the Depositor of its obligations under, or the validity or enforceability of, this Agreement; and
(ix) There are no actions, proceedings or investigations pending before or, to the Depositor’s knowledge, threatened by any court, administrative agency or other tribunal to which the Depositor is a party or of which any of its properties is the subject: (a) which if determined adversely to the Depositor would have a material adverse effect on the business, results of operations or financial condition of the Depositor; (b) asserting the invalidity of this Agreement or the Certificates; (c) seeking to prevent the issuance of the Certificates or the consummation by the Depositor of any of the transactions contemplated by this Agreement, as the case may be; (d) which might materially and adversely affect the performance by the Depositor of its obligations under, or the validity or enforceability of, this Agreement.
Section 2.07 Issuance of Certificates and the Uncertificated Regular Interests.
The Trustee acknowledges the assignment to it of the Mortgage Loans and the delivery to it of the Mortgage Files, subject to the provisions of Sections 2.01 and 2.02, and the Trustee acknowledges the assignment to it of all other assets included in the Trust Fund, receipt of which is hereby acknowledged. Concurrently with such assignment and delivery and in exchange therefor, the Trustee, pursuant to the Written Order to Authenticate executed by an officer of the Depositor, has executed, and the Certificate Registrar has authenticated and delivered to or upon the order of the Depositor, the Certificates (other than the Class CE, Class P and Residual Certificates) in minimum dollar denominations or $25,000 and integral dollar
multiples of $1 in excess; provided, however that the Offered Certificates must be purchased in minimum total investments of $100,000 per class. The Class CE and Class P Certificates are issuable only in minimum Percentage Interests of 10%. Each Residual Certificate is issuable only as a single certificate. The Trustee acknowledges the issuance of the uncertificated REMIC 1 Regular Interests and declares that it hold such regular interests as assets of REMIC 2. The Trustee acknowledges the issuance of the uncertificated REMIC 2 Regular Interests and declares that it hold such regular interests as assets of REMIC 3. The Trustee acknowledges the issuance of the uncertificated REMIC 3 Regular Interests and declares that it hold such regular interests as assets of REMIC 4. The Trustee acknowledges the issuance of the Class CE Certificates and declares that it hold such regular interests as assets of REMIC 5. The Trustee acknowledges the issuance of the Class P Interest and declares that it hold such regular interests as assets of REMIC 6. The Trustee acknowledges the issuance of the Class IO Interest and declares that it hold such regular interests as assets of REMIC 7. The Trustee acknowledges the obligation of the Class CE Certificates to pay Cap Carryover Amounts to the holders of the Floating Rate Certificates.
ARTICLE III
ADMINISTRATION AND SERVICING
OF THE TRUST FUND
Section 3.01 | Servicer to Act as Servicer. |
The Servicer, as independent contract servicer, shall service and administer the Mortgage Loans in accordance with this Agreement and the normal and usual standards of practice of prudent mortgage servicers servicing similar mortgage loans and, to the extent consistent with such terms, in the same manner in which it services and administers similar mortgage loans for its own portfolio, and shall have full power and authority, acting alone, to do or cause to be done any and all things in connection with such servicing and administration which the Servicer may deem necessary or desirable and consistent with the terms of this Agreement (the “Servicing Standard”).
Consistent with the terms of this Agreement, the Servicer may waive, modify or vary any term of any Mortgage Loan or consent to the postponement of strict compliance with any such term or in any manner grant indulgence to any Mortgagor if in the Servicer’s reasonable and prudent determination such waiver, modification, postponement or indulgence is not materially adverse to the Certificateholders; provided, however, that the Servicer shall not make future advances and, except as set forth in the following sentence or Section 3.03, the Servicer shall not permit any modification with respect to any Mortgage Loan that would (i) change the Mortgage Interest Rate, defer or forgive the payment thereof of any principal or interest payments, reduce the outstanding principal amount (except for actual payments of principal) or extend the final maturity date with respect to such Mortgage Loan, (ii) affect adversely the status of any REMIC constituting part of the Trust Fund as a REMIC or (iii) cause any such REMIC to be subject to a tax on “prohibited transactions” or “contributions” pursuant to the REMIC Provisions. In the event that the Mortgagor is in default with respect to the Mortgage Loan or such default is, in the judgment of the Servicer, reasonably foreseeable, the Servicer may permit a modification of such Mortgage Loan to reduce the Principal Balance thereof and/or extend the term, but not beyond the latest maturity date of any other Mortgage Loan. Notwithstanding the foregoing, the Servicer shall not permit any modification with respect to any Mortgage Loan that would both (x) effect an exchange or reissuance of such Mortgage Loan under Section 1.860G-2(b) of the Treasury Regulations and (y) cause any REMIC constituting part of the Trust Fund to fail to qualify as a REMIC under the Code or the imposition of any tax on “prohibited transactions” or “contributions” after the Startup Day under the REMIC Provisions. The NIMS Insurer’s prior written consent shall be required for any modification, waiver or amendment if the aggregate number of outstanding Mortgage Loans which have been modified, waived or amended exceeds 5% of the number of Mortgage Loans as of the Cut-off Date. Without limiting the generality of the foregoing, the Servicer shall continue, and is hereby authorized and empowered to execute and deliver on behalf of itself, and the Trustee, all instruments of satisfaction or cancellation, or of partial or full release, discharge and all other comparable instruments, with respect to the Mortgage Loans and with respect to the
Mortgaged Property. The Servicer shall make all required Servicing Advances and shall service and administer the Mortgage Loans in accordance with Applicable Regulations, and shall provide to the Mortgagor any reports required to be provided to them thereby. The Trustee shall execute and deliver to the Servicer within at least fifteen (15) Business Day of receipt, upon request, any powers of attorney furnished to it by the Servicer empowering the Servicer to execute and deliver instruments of satisfaction or cancellation, or of partial or full release or discharge, and to foreclose upon or otherwise liquidate any Mortgaged Property, and to appeal, prosecute or defend in any court action relating to the Mortgage Loans or the Mortgaged Properties, in accordance with this Agreement, and the Trustee shall execute and deliver such other documents as the Servicer may request, necessary or appropriate to enable the Servicer to service and administer the Mortgage Loans and carry out its duties hereunder, in each case in accordance with Servicing Standard (and the Trustee shall have no liability for misuse of any such powers of attorney by the Servicer). Notwithstanding anything contained herein to the contrary, the Servicer shall not without the Trustee’s written consent: (i) initiate any action, suit or proceeding solely under the Trustee’s name without indicating the Servicer’s representative capacity or (ii) take any action with the intent to cause, and which results in, the Trustee being registered to do business in any state.
In servicing and administering the Mortgage Loans, the Servicer shall employ procedures including collection procedures and exercise the same care that it customarily employs and exercises in servicing and administering mortgage loans for its own account giving due consideration to accepted mortgage servicing practices of prudent lending institutions and the Certificateholders’ reliance on the Servicer.
The Servicer shall give prompt notice to the Trustee of any action, of which the Servicer has actual knowledge, to (i) assert a claim against the Trust Fund or (ii) assert jurisdiction over the Trust Fund.
Notwithstanding anything in this Agreement to the contrary, in the event of a voluntary Principal Prepayment in full of a Mortgage Loan, the Servicer may not waive any Prepayment Charge or portion thereof required by the terms of the related Mortgage Note unless (i)(a) the Servicer determines that such waiver is standard and customary in servicing similar mortgage loans, (b) such waiver relates to a default or a reasonably foreseeable default and (c) would, in the reasonable judgment of the Servicer, maximize recovery of Liquidation Proceeds for such Mortgage Loan, taking into account the value of such Prepayment Charge, or (ii) the enforceability thereof is limited (1) by bankruptcy, insolvency, moratorium, receivership, or other similar law relating to creditors’ rights generally or (2) due to acceleration in connection with a foreclosure or other involuntary payment, (iii) the collection of such Prepayment Charge would be in violation of applicable law or the terms of the related Mortgage Note or (iv) the collection of such Prepayment Charge would be considered “predatory” pursuant to written guidance published or issued by any applicable federal, state or local regulatory authority acting in its official capacity and having jurisdiction over such matters.
If a Prepayment Charge is waived as permitted by meeting the standard described in clauses (iii) or (iv) above, then the Servicer shall use commercially reasonable efforts to determine whether the Originator is obligated to pay an Originator Prepayment Charge Payment
Amount based on whether the representations and warranties of the Originator as set forth on Exhibit Q hereto are breached and such breach materially and adversely affects the interests of the Certificateholders and, if the Servicer determines that the Originator Prepayment Charge Payment Amount is due, the Servicer shall promptly notify the Originator, and the Servicer shall enforce the Originator’s obligations to pay in a timely manner any Originator Prepayment Charge Payment Amounts and, to the extent that such amounts are received by the Servicer, shall cause such amounts to be deposited into the Collection Account within one Business Day of receipt. To the extent the Originator fails to remit the Originator Prepayment Charge Amount, the Servicer shall notify the Depositor and the Trustee of such failure.
If the Servicer has waived or does not collect all or a portion of a Prepayment Charge relating to a voluntary Principal Prepayment due to any action or omission of the Servicer, other than as provided in the two paragraphs above, the Servicer shall, on the date on which the Principal Prepayment is remitted to the Trustee, deliver to the Trustee the Servicer Prepayment Charge Amount with respect to such Mortgage Loan for distribution in accordance with the terms of this Agreement.
Section 3.02 | Collection of Mortgage Loan Payments. |
Continuously from the date hereof until the principal and interest on all Mortgage Loans are paid in full or as long as the Mortgage Loan remains subject to this Agreement, the Servicer will diligently collect all payments due under each Mortgage Loan when the same shall become due and payable and shall, to the extent such procedures shall be consistent with this Agreement and Applicable Regulations, follow such collection procedures as it follows with respect to mortgage loans comparable to the Mortgage Loans and held for its own account. Further, the Servicer will take special care in ascertaining and estimating on escrowed Mortgage Loans annual ground rents, taxes, assessments, water rates, fire and hazard insurance premiums, mortgage insurance premiums, and all other charges that, as provided in the Mortgage, will become due and payable to that end that the installments payable by the Mortgagors will be sufficient to pay such charges as and when they become due and payable.
Section 3.03 | Realization Upon Defaulted Mortgage Loans. |
In the event that any payment due under any Mortgage Loan is not paid when the same becomes due and payable, or in the event the Mortgagor fails to perform any other covenant or obligation under the Mortgage Loan and such failure continues beyond any applicable grace period, the Servicer shall take such action as it shall deem to be in the best interest of the Certificateholders. With respect to any defaulted Mortgage Loan, the Servicer shall have the right to review the status of the related forbearance plan and, subject to the second paragraph of Section 3.01, may modify such forbearance plan; including extending the Mortgage Loan repayment date for a period of one year or reducing the Mortgage Interest Rate up to 50 basis points.
In connection with a foreclosure or other conversion, the Servicer shall exercise such rights and powers vested in it hereunder and use the same degree of care and skill in its exercise as prudent mortgage servicers would exercise or use under the circumstances in the
conduct of their own affairs and consistent with Applicable Regulations and the Servicing Standard, including, without limitation, advancing funds for the payment of taxes and insurance premiums.
Notwithstanding the foregoing provisions of this Section 3.03, with respect to any Mortgage Loan as to which the Servicer has received actual notice of, or has actual knowledge of, the presence of any toxic or hazardous substance on the related Mortgaged Property, the Servicer shall not either (i) obtain title to such Mortgaged Property as a result of or in lieu of foreclosure or otherwise, or (ii) otherwise acquire possession of, or take any other action with respect to, such Mortgaged Property if, as a result of any such action, the Trust would be considered to hold title to, to be a mortgagee-in-possession of, or to be an owner or operator of such Mortgaged Property within the meaning of the Comprehensive Environmental Response, Compensation and Liability Act of 1980, as amended from time to time, or any comparable law, unless the Servicer has received the prior written consent of the NIMS Insurer and has received a prudent report prepared by a Person who regularly conducts environmental audits using customary industry standards, that:
A. such Mortgaged Property is in compliance with applicable environmental laws or, if not, that it would be in the best economic interest of the Certificateholders to take such actions as are necessary to bring the Mortgaged Property into compliance therewith; and
B. there are no circumstances present at such Mortgaged Property relating to the use, management or disposal of any hazardous substances, hazardous materials, hazardous wastes, or petroleum-based materials for which investigation, testing, monitoring, containment, clean-up or remediation could be required under any federal, state or local law or regulation, or that if any such materials are present for which such action could be required, that it would be in the best economic interest of the Certificateholders to take such actions with respect to the affected Mortgaged Property.
The cost of the environmental audit report contemplated by this Section 3.03 shall be advanced by the Servicer, subject to the Servicer’s right to be reimbursed therefor from the Collection Account as provided in Section 3.05(iv).
If the Servicer determines, as described above, that it is in the best economic interest of the Certificateholders to take such actions as are necessary to bring any such Mortgaged Property into compliance with applicable environmental laws, or to take such action with respect to the containment, clean-up or remediation of hazardous substances, hazardous materials, hazardous wastes, or petroleum-based materials affecting any such Mortgaged Property, then the Servicer shall take such action as it deems to be in the best economic interest of the Certificateholders. The cost of any such compliance, containment, clean-up or remediation shall be advanced by the Servicer, subject to the Servicer’s right to be reimbursed therefor from the Collection Account as provided in Section 3.05.
Section 3.04 Collection Account, Distribution Account and Cap Carryover Reserve Account.
(a) The Servicer shall segregate and hold all funds collected and received pursuant to each Mortgage Loan separate and apart from any of its own funds and general assets and shall establish and maintain one or more Collection Accounts. Each Collection Account shall be an Eligible Account.
The Servicer shall deposit or cause to be deposited on a daily basis and in no event more than one Business Day after receipt thereof in the clearing account (which must be an Eligible Account) in which it customarily deposits payments and collections on mortgage loans in connection with its mortgage loan servicing activities, and shall thereafter deposit in the Collection Account, in no event more than one Business Day after deposit of such funds in the clearing account, and retain therein, the following payments and collections received or made by it after the Cut-off Date with respect to the Initial Mortgage Loans or Subsequent Cut-off Date with respect to the Subsequent Mortgage Loans (other than in respect of principal and interest due on or before the Cut-off Date):
(i) all payments on account of principal, including Principal Prepayments, on the Mortgage Loans;
(ii) all payments on account of interest on the Mortgage Loans adjusted to the Mortgage Interest Rate less the Servicing Fee Rate and any Prepayment Interest Excess;
(iii) | all Liquidation Proceeds and any Subsequent Recoveries; |
(iv) all Insurance Proceeds including amounts required to be deposited pursuant to Section 3.10, other than proceeds to be held in the Escrow Account and applied to the restoration or repair of the Mortgaged Property or released to the Mortgagor in accordance with the Servicer’s normal servicing procedures, the loan documents or applicable law;
(v) all Condemnation Proceeds affecting any Mortgaged Property which are not released to the Mortgagor in accordance with the Servicer’s normal servicing procedures, the loan documents or applicable law;
(vi) any amounts required to be deposited by the Servicer in connection with any REO Property pursuant to Section 3.13;
(vii) all Prepayment Charges collected by the Servicer in connection with the voluntary Principal Prepayment in full of any Mortgage Loan, all Originator Prepayment Charge Payment Amounts paid by the Originator and all Servicer Prepayment Charge Payment Amounts required to be paid by the Servicer pursuant to Section 3.01 in connection with any such Principal Prepayment; and
(viii) all amounts required to be deposited by the Servicer pursuant to Section 2.03.
Any interest paid on funds deposited in the Collection Account, subject to Section 3.25, shall accrue to the benefit of the Servicer and the Servicer shall be entitled to retain and withdraw such interest from the Collection Account pursuant to Section 3.05(vi). The foregoing requirements for deposit into the Collection Account shall be exclusive, it being understood and agreed that, without limiting the generality of the foregoing, payments in the nature of late payment charges, bad check fees, prepayment charges that are not Prepayment Charges, Originator Prepayment Charge Payment Amounts or Servicer Prepayment Charge Payment Amounts, assumption fees and other similar fees need not be deposited by the Servicer in the Collection Account. Amounts deposited in the Collection Account in error may be withdrawn by the Servicer at any time.
(b) On behalf of the Trust Fund, the Trustee shall establish and maintain one or more accounts (such account or accounts, the “Distribution Account”), held in trust for the benefit of the Certificateholders. On behalf of the Trust Fund, the Servicer shall deliver to the Trustee in immediately available funds for deposit in the Distribution Account by 1:00 p.m. New York time on the Servicer Remittance Date, (i) that portion of the Available Funds (calculated without regard to the references in the definition thereof to amounts that may be deposited to the Distribution Account from a different source as provided herein) then on deposit in the Collection Account, (ii) the amount of all Prepayment Charges collected by the Servicer in connection with the voluntary Principal Prepayment in full of any of the Mortgage Loans then on deposit in the Collection Account (other than any such Prepayment Charges received after the related Prepayment Period) and (iii) any Originator Prepayment Charge Payment Amount or any Servicer Prepayment Charge Payment Amount (other than any such amounts paid after the related Prepayment Period). Amounts in the Distribution Account shall be deemed to be held on behalf of the related REMICs and the Grantor Trust in accordance with the REMIC distributions set forth in Section 4.08. The Trustee shall be entitled to withdraw from the Distribution Account any amounts owing to it pursuant to Section 8.05 and Section 9.01(c) prior to the distribution of any amounts on deposit to the Certificateholders; provided, however, the Trustee shall provide the Depositor, the NIMS Insurer and the Servicer with a written account of such amounts five Business Days prior to withdrawing such funds. In connection with any failure by the Servicer to make any remittance required to be made by the Servicer to the Trustee for deposit in the Distribution Account on the day and by the time such remittance is required to be made under the terms of this Section 3.04(b) (without giving effect to any grace or cure period), the Servicer shall pay to the Trustee for the account of the Trustee interest at the prime rate of United States money center commercial banks as published in The Wall Street Journal on any amount not timely remitted from and including the day such remittance was required to be made to, but not including, the day on which such remittance was actually made.
(c) Funds in the Collection Account and the Distribution Account may be invested in Eligible Investments in accordance with the provisions set forth in Section 3.25. The Servicer shall give notice to the Trustee and the NIMS Insurer of the location of the Collection Account maintained by it when established and prior to any change thereof. The Trustee shall give notice to the Servicer, the NIMS Insurer and the Depositor of the location of the Distribution Account when established and prior to any change thereof.
(d) In the event the Servicer shall deliver to the Trustee for deposit in the Distribution Account any amount not required to be deposited therein, it may at any time request that the Trustee withdraw such amount from the Distribution Account and remit to the Servicer any such amount, any provision herein to the contrary notwithstanding. In addition, the Servicer shall deliver to the Trustee from time to time for deposit, and the Trustee shall so deposit, in the Distribution Account in respect of REMIC 1:
(i) | any Advances, as required pursuant to Section 4.07; |
(ii) any Stayed Funds, as soon as permitted by the federal bankruptcy court having jurisdiction in such matters;
(iii) any amounts required to be delivered by the Servicer to the Trustee for deposit in the Distribution Account pursuant to Sections 2.03, 3.04, 3.13, 3.15, 3.16, 3.23, 3.24, 4.07 or 10.01; and
(iv) any amounts required to be deposited by the Servicer pursuant to Section 3.11 in connection with the deductible clause in any blanket hazard insurance policy, such deposit being made from the Servicer’s own funds, without reimbursement therefor.
(e) Promptly upon receipt of any Stayed Funds, whether from the Servicer, a trustee in bankruptcy, or federal bankruptcy court or other source, the Trustee shall notify the Servicer of such receipt and deposit such funds in the Distribution Account, subject to withdrawal thereof as permitted hereunder. In addition, the Trustee shall deposit in the Distribution Account any amounts required to be deposited pursuant to Section 3.25(b) in connection with losses realized on Eligible Investments with respect to funds held in the Distribution Account.
(f) Any Prepayment Charges, Originator Prepayment Charge Payment Amounts and Servicer Prepayment Charge Payment Amounts deposited pursuant to Section 3.04(a)(vii) shall not be assets of any REMIC created hereunder, but shall be considered assets of the Grantor Trust held by the Trustee for the benefit of the Class P Certificateholders.
(g) No later than the Closing Date, the Trustee shall establish and maintain with itself a separate, segregated trust account titled, “Cap Carryover Reserve Account, Wells Fargo Bank, N.A., as Trustee, in trust for registered Holders of ABFC 2005-WMC1 Trust, ABFC Asset-Backed Certificates, Series 2005-WMC1.”
On each Distribution Date as to which there is a Cap Carryover Amount payable to the Floating Rate Certificates, the Trustee has been directed by the Class CE Certificateholders to, and therefore will, deposit into the Cap Carryover Reserve Account the amounts described in Section 4.02(b)(xix), rather than distributing such amounts to the Class CE Certificateholders. On each such Distribution Date, the Trustee shall hold all such amounts for the benefit of the Holders of the Floating Rate Certificates, and will distribute such amounts to the Holders of the Floating Rate Certificates in the amounts and priorities set forth in Sections 4.01 and 4.02.
For federal and state income tax purposes, the Class CE Certificateholders will be deemed to be the owners of the Cap Carryover Reserve Account and all amounts deposited into the Cap Carryover Reserve Account shall be treated as amounts distributed by REMIC 4 to the Holder of the Class CE Interest and by REMIC 5 to the Holders of the Class CE Certificates. Upon the termination of the Trust Fund, or the payment in full of the Floating Rate Certificates, all amounts remaining on deposit in the Cap Carryover Reserve Account will be released by the Trust Fund and distributed to the Class CE Certificateholders or their designees. The Cap Carryover Reserve Account will be part of the Trust Fund but not part of any REMIC and any payments to the Holders of the Floating Rate Certificates of Cap Carryover Amounts will not be payments with respect to a “regular interest” in a REMIC within the meaning of Code Section 860(G)(a)(1).
By accepting a Class CE Certificate, each Class CE Certificateholder hereby agrees to direct the Trustee, and the Trustee hereby is directed, to deposit into the Cap Carryover Reserve Account the amounts described above on each Distribution Date as to which there is any Cap Carryover Amount rather than distributing such amounts to the Class CE Certificateholders. By accepting a Class CE Certificate, each Class CE Certificateholder further agrees that such direction is given for good and valuable consideration, the receipt and sufficiency of which is acknowledged by such acceptance. Amounts held in the Cap Carryover Reserve Account shall be held uninvested.
For federal tax return and information reporting, the value of the right of the Holders of the Floating Rate Certificates to receive payments from the Cap Carryover Reserve Account in respect of any Cap Carryover Amount shall be de minimis.
Section 3.05 | Permitted Withdrawals From the Collection Account. |
The Servicer may, from time to time, withdraw from the Collection Account for the following purposes:
(i) to remit to the Trustee for deposit in the Distribution Account the amounts required to be so remitted pursuant to Section 3.04(b) or permitted to be so remitted pursuant to the first sentence of Section 3.04(d);
(ii) to reimburse itself for (a) any unreimbursed Advances to the extent of amounts received which represent Late Collections (net of the related Servicing Fees) of Monthly Payments, Liquidation Proceeds and Insurance Proceeds on Mortgage Loans with respect to which such Advances were made in accordance with the provisions of Section 4.07; (b) any unreimbursed Advances with respect to the final liquidation of a Mortgage Loan that are Nonrecoverable Advances, but only to the extent that Late Collections, Liquidation Proceeds and Insurance Proceeds received with respect to such Mortgage Loan are insufficient to reimburse the Servicer for such unreimbursed Advances; or (c) subject to Section 4.07(b), any unreimbursed Advances to the extent of funds held in the Collection Account for future distribution that were not included in Available Funds for the preceding Distribution Date;
(iii) to reimburse itself for (a) any unpaid Servicing Fees, (b) any unreimbursed Servicing Advances with respect to each Mortgage Loan, but only to the extent of any Late Collections, Liquidation Proceeds, Insurance Proceeds and condemnation proceeds received with respect to such Mortgage Loan, and (c) any Servicing Advances with respect to the final liquidation of a Mortgage Loan that are Nonrecoverable Advances, but only to the extent that Late Collections, Liquidation Proceeds and Insurance Proceeds received with respect to such Mortgage Loan are insufficient to reimburse the Servicer for Servicing Advances;
(iv) to reimburse itself for any amounts paid or expenses incurred pursuant to Section 3.03 (and not otherwise previously reimbursed);
(v) | to reimburse itself for any Nonrecoverable Advances; |
(vi) to pay to itself as servicing compensation (a) any interest earned on funds in the Collection Account (all such interest to be withdrawn monthly not later than each Servicer Remittance Date), (b) the Servicing Fee from that portion of any payment or recovery as to interest to a particular Mortgage Loan to the extent not retained pursuant to Section 3.04(a)(ii) and (c) any Prepayment Interest Excess to the extent not retained pursuant to Section 3.04(a)(ii);
(vii) to pay or reimburse itself for any amounts payable or paid pursuant to Section 6.03 (and not otherwise previously reimbursed); and
(viii) to clear and terminate the Collection Account upon the termination of this Agreement.
The foregoing requirements for withdrawal from the Collection Account shall be exclusive. In the event the Servicer shall deposit in the Collection Account any amount not required to be deposited therein, it may at any time withdraw such amount from the Collection Account, any provision herein to the contrary notwithstanding.
Section 3.06 Establishment of Escrow Accounts; Deposits in Escrow Accounts.
The Servicer shall segregate and hold all funds collected and received pursuant to each Mortgage Loan which constitute Escrow Payments separate and apart from any of its own funds and general assets and shall establish and maintain one or more Escrow Accounts, in the form of time deposit or demand accounts. A copy of such letter agreement shall be furnished to the Trustee upon request. The Escrow Account shall be an Eligible Account.
The Servicer shall deposit or cause to be deposited on a daily basis and in no event more than one Business Day after receipt thereof in the clearing account (which must be an Eligible Account) in which it customarily deposits payments and collections on mortgage loans in connection with its mortgage loan servicing activities, and shall thereafter deposit in the Escrow Account or Accounts, in no event more than one Business Day after deposit of such funds in the clearing account, and retain therein, (i) all Escrow Payments collected on account of the Mortgage Loans, for the purpose of effecting timely payment of any such items as required
under the terms of this Agreement, and (ii) all Insurance Proceeds which are to be applied to the restoration or repair of any Mortgaged Property. The Servicer shall make withdrawals therefrom only to effect such payments as are required under this Agreement, and for such other purposes as shall be set forth in, or in accordance with, Section 3.07. The Servicer shall be entitled to retain any interest paid on funds deposited in the Escrow Account by the depository institution other than interest on escrowed funds required by law to be paid to the Mortgagor and, to the extent required by the related Mortgage Loan or Applicable Regulations, the Servicer shall pay interest on escrowed funds to the Mortgagor notwithstanding that the Escrow Account is non-interest bearing or that interest paid thereon is insufficient for such purposes.
Section 3.07 | Permitted Withdrawals From Escrow Account. |
Withdrawals from the Escrow Account may be made by the Servicer (i) to effect timely payments of ground rents, taxes, assessments, water rates, fire, flood and hazard insurance premiums and comparable items in a manner and at a time that assures that the lien priority of the Mortgage is not jeopardized (or, with respect to the payment of taxes, in a manner and at a time that avoids the loss of the Mortgaged Property due to a tax sale or the foreclosure as a result of a tax lien), (ii) to reimburse the Servicer for any Servicing Advance made by the Servicer with respect to a related Mortgage Loan but only from amounts received on the related Mortgage Loan which represent late payments or Late Collections of Escrow Payments thereunder with respect to taxes and assessments and with respect to hazard insurance, (iii) to refund to the Mortgagor any funds as may be determined to be overages, (iv) for transfer to the Collection Account in accordance with the terms of this Agreement, (v) for application to restoration or repair of the Mortgaged Property, (vi) to pay to the Servicer, or to the Mortgagor to the extent required by the related Mortgage Loan or Applicable Regulations, any interest paid on the funds deposited in the Escrow Account, (vii) to clear and terminate the Escrow Account on the termination of this Agreement, or (viii) to transfer to the Collection Account any insurance proceeds. As part of its servicing duties, the Servicer shall pay to the Mortgagor interest on funds in the Escrow Account, to the extent required by the related Mortgage Loan or Applicable Regulations, and to the extent that interest earned on funds in the Escrow Account is insufficient, shall pay such interest from its own funds, without any reimbursement therefor.
In the event the Servicer shall deposit in the Escrow Account any amount not required to be deposited therein, it may at any time withdraw such amount from the Escrow Account, any provision herein to the contrary notwithstanding.
Section 3.08 Payment of Taxes, Insurance and Other Charges; Collections Thereunder.
With respect to each Mortgage Loan that provides for Escrow Payments, the Servicer shall maintain accurate records reflecting the status of ground rents, taxes, assessments, water rates and other charges which are or may become a lien upon the Mortgaged Property and the status of fire, flood and hazard insurance coverage and shall obtain, from time to time, all bills for the payment of such charges (including renewal premiums) and shall effect payment of taxes, assessments, hazard insurance premiums, and comparable items in a manner and at a time that assures that the lien priority of the Mortgage is not jeopardized (or, with respect to the
payment of taxes, in a manner and at a time that avoids the loss of the Mortgaged Property due to a tax sale or the foreclosure as a result of a tax lien). To the extent that the Mortgage does not provide for Escrow Payments, the Servicer shall use its best efforts to determine that any such payments are made by the Mortgagor in a manner and at a time that is necessary to avoid the loss of the Mortgaged Property due to a tax sale or foreclosure as a result of a tax lien. If any such payment has not been made and the Servicer receives notice of a tax lien with respect to the Mortgae Loan being imposed, the Servicer will advance or cause to be advanced funds necessary to avoid the lapse of insurance coverage on the Mortgaged Property and to assure that no Mortgaged Property is lost to a tax sale or foreclosure as a result of a tax lien.
Section 3.09 | Transfer of Accounts. |
The Servicer may transfer the Collection Account and the Escrow Account to a different depository institution from time to time. Upon such transfer, the Servicer shall deliver to the Trustee, the NIMS Insurer and the Depositor, a certification or letter agreement, as the case may be, as required pursuant to Sections 3.04 and 3.06.
Section 3.10 | Maintenance of Hazard Insurance. |
The Servicer shall cause to be maintained for each Mortgage Loan fire and hazard insurance with extended coverage as is customary in the area where the Mortgaged Property is located in an amount which is at least equal to the lesser of (i) the amount necessary to fully compensate for any damage or loss to the improvements which are a part of such property on a replacement cost basis or (ii) the Principal Balance of the Mortgage Loan, in each case in an amount not less than such amount as is necessary to prevent the Mortgagor and/or the Mortgagee from becoming a co-insurer. If the Mortgaged Property is in an area identified in the Federal Register by the Flood Emergency Management Agency as having special flood hazards and flood insurance has been made available, the Servicer will cause to be maintained a flood insurance policy meeting the requirements of the current guidelines of the Federal Insurance Administration with a generally acceptable insurance carrier, in an amount representing coverage not less than the least of (i) the Principal Balance of the Mortgage Loan, (ii) the maximum insurable value of the improvements securing such Mortgage Loan or (iii) the maximum amount of insurance which is available under the National Flood Insurance Act of 1968, as amended. The Servicer shall also maintain on the REO Property for the benefit of the Certificateholders, (x) fire and hazard insurance with extended coverage in an amount which is at least equal to the lesser of (i) 100% of the maximum insurable value of the improvements securing the Mortgage Loan and (ii) the outstanding Principal Balance of the Mortgage Loan at the time it became an REO Property, (y) public liability insurance and, (z) to the extent required and available under the National Flood Insurance Act of 1968, as amended, flood insurance in an amount as provided above. Any amounts collected by the Servicer under any such policies other than amounts to be deposited in the Escrow Account and applied to the restoration or repair of the Mortgaged Property or REO Property, or released to the Mortgagor in accordance with the Servicer’s normal servicing procedures, shall be deposited in the Collection Account, subject to withdrawal pursuant to Section 3.05. It is understood and agreed that no earthquake or other additional insurance is required to be maintained by the Servicer or the Mortgagor or maintained on property acquired in respect of the Mortgage Loan, other than pursuant to such Applicable
Regulations as shall at any time be in force and as shall require such additional insurance. All such policies shall be endorsed with standard mortgagee clauses with loss payable to the Servicer and shall provide for at least thirty days prior written notice of any cancellation, reduction in the amount of or material change in coverage to the Servicer. The Servicer shall not interfere with the Mortgagor’s freedom of choice in selecting either his insurance carrier or agent, provided, however, that the Servicer shall not accept any such insurance policies from insurance companies unless such companies currently reflect a general policy rating of B:III or better in Best’s Key Rating Guide and are licensed to do business in the state wherein the property subject to the policy is located.
Section 3.11 | Maintenance of Mortgage Impairment Insurance Policy. |
In the event that the Servicer shall obtain and maintain a blanket policy issued by an insurer that has a general policy rating of B:III or better in Best’s Key Rating Guide insuring against hazard losses on all of the Mortgage Loans, then, to the extent such policy provides coverage in an amount equal to the amount required pursuant to Section 3.10 and otherwise complies with all other requirements of Section 3.10, it shall conclusively be deemed to have satisfied its obligations as set forth in Section 3.10, it being understood and agreed that such policy may contain a deductible clause, in which case the Servicer shall, in the event that there shall not have been maintained on the related Mortgaged Property or REO Property a policy complying with Section 3.10, and there shall have been a loss which would have been covered by such policy, deliver to the Trustee for deposit in the Distribution Account the amount not otherwise payable under the blanket policy because of such deductible clause, which amount shall not be reimbursable to the Servicer from the Trust Fund. In connection with its activities as servicer of the Mortgage Loans, the Servicer agrees to prepare and present, on behalf of the Trustee, claims under any such blanket policy in a timely fashion in accordance with the terms of such policy. Upon request of the Trustee, the Servicer shall cause to be delivered to the Trustee a certified true copy of such policy and a statement from the insurer thereunder that such policy shall in no event be terminated or materially modified without thirty days prior written notice to the Trustee.
Section 3.12 | Fidelity Bond, Errors and Omissions Insurance. |
The Servicer shall maintain, at its own expense, a blanket fidelity bond (the “Fidelity Bond”) and an errors and omissions insurance policy, with broad coverage with financially responsible companies on all officers, employees or other persons acting in any capacity with regard to the Mortgage Loans to handle funds, money, documents and papers relating to the Mortgage Loans. The Fidelity Bond shall be in the form of the Mortgage Banker’s Blanket Bond. The Fidelity Bond and errors and omissions policy shall protect and insure the Servicer against losses, including forgery, theft, embezzlement, fraud, errors and omissions and negligent acts of such persons. Such Fidelity Bond shall also protect and insure the Servicer against losses in connection with the failure to maintain any insurance policies required pursuant to this Agreement and the release or satisfaction of a Mortgage Loan without having obtained payment in full of the indebtedness secured thereby. No provision of this Section 3.12 requiring the Fidelity Bond and errors and omissions insurance shall diminish or relieve the Servicer from its duties and obligations as set forth in this Agreement. The minimum coverage under any such
bond and insurance policy shall be at least equal to the corresponding amounts required by Fannie Mae in the Fannie Mae MBS Selling and Servicing Guide or by Freddie Mac in the Freddie Mac Servicer’s Guide, unless the Servicer has obtained a waiver of such requirements from Fannie Mae or Freddie Mac. Upon request of the Trustee or the NIMS Insurer, the Servicer shall cause to be delivered to the requesting party a certified true copy of the Fidelity Bond and errors and omissions insurance policy and a statement from the Servicer that such Fidelity Bond and errors and omissions insurance policy shall in no event be terminated or materially modified by the Servicer without thirty days’ prior written notice to the Trustee.
Section 3.13 | Title, Management and Disposition of REO Property. |
(a) In the event that title to a Mortgaged Property is acquired in foreclosure or by deed in lieu of foreclosure, the deed or certificate of sale shall be taken (pursuant to a limited power of attorney to be provided by the Trustee to the Servicer) in the name of the Trustee or its nominee, on behalf of the Certificateholders, or in the event the Trustee is not authorized or permitted to hold title to real property in the state where the REO Property is located, or would be adversely affected under the “doing business” or tax laws of such state by so holding title, the deed or certificate of sale shall be taken in the name of such Person or Persons as shall be consistent with an Opinion of Counsel obtained by the Servicer from an attorney duly licensed to practice law in the state where the REO Property is located. Any Person or Persons holding such title other than the Trustee shall acknowledge in writing that such title is being held as nominee for the benefit of the Trustee.
(b) In the event that the Trust Fund acquires any REO Property as aforesaid or otherwise in connection with a default or imminent default on a Mortgage Loan, the Servicer shall dispose of such REO Property before the end of the third taxable year beginning after the year of its acquisition by the Trust Fund for purposes of Section 860G(a)(8) of the Code unless the Servicer has received a grant of extension from the Internal Revenue Service of the above-mentioned grace period such that the holding by the Trust Fund of such REO Property subsequent to such period will not: (i) result in the imposition of any tax on “prohibited transactions” as defined in Section 860F of the Code; or (ii) cause any REMIC constituting any part of the Trust Fund to fail to qualify as a REMIC at any time that any Certificates (other than the Class P Certificates) are outstanding, in which case the Trust Fund may continue to hold such REO Property.
Subject to compliance with applicable laws and regulations as shall at any time be in force, and notwithstanding any other provisions of this Agreement, no REO Property acquired by the Trust Fund shall be rented (or allowed to continue to be rented) or otherwise used by or on behalf of the Trust Fund in such a manner or pursuant to any terms that would: (i) cause such REO Property to fail to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code; or (ii) subject any REMIC constituting part of the Trust Fund to the imposition of any federal income taxes on the income earned from such REO Property, including any taxes imposed by reason of Sections 860F or 860G(c) of the Code, unless the Servicer has agreed to indemnify and hold harmless the Trust Fund with respect to the imposition of any such taxes.
The Servicer shall manage, conserve, protect and operate each REO Property for the Certificateholders and the Trust Fund solely for the purpose of its prompt disposition and sale in a manner which does not cause such REO Property to fail to qualify as “foreclosure property” within the meaning of Section 860G(a)(8) of the Code or result in the receipt by the related REMIC of any “income from non-permitted assets” within the meaning of Section 860F(a)(2)(B) of the Code, or any “net income from foreclosure property” which is subject to taxation under the REMIC Provisions. The Servicer shall cause each REO Property to be inspected promptly upon the acquisition of title thereto and shall cause each REO Property to be inspected at least annually thereafter. The Servicer shall make or cause to be made a written or electronic report of each such inspection. Such reports shall be retained in the Mortgage File and copies thereof shall be forwarded by the Servicer to the Trustee upon request. The Servicer shall attempt to sell the same (and may temporarily rent the same) on such terms and conditions as the Servicer deems to be in the best interest of the Certificateholders and the Trust Fund.
With respect to each REO Property, the Servicer shall account separately for each REO Property with respect to all funds collected and received in connection with the operation of such REO Property.
The Servicer shall deposit or cause to be deposited, on a daily basis, within one Business Day of receipt, in the Collection Account, all revenues received with respect to each REO Property and shall withdraw therefrom funds necessary for the proper operation, management and maintenance of the related REO Property, including the cost of maintaining any hazard insurance pursuant to Section 3.10 hereof and the fees of any managing agent acting on behalf of the Servicer and for unreimbursed Servicing Fees, Advances and Servicing Advances related thereto.
The Servicer shall furnish to the Trustee, on each Servicer Remittance Date, an operating statement for each REO Property covering the operation of each REO Property for the previous month. Such operating statement shall be accompanied by such other information as the Trustee shall reasonably request.
The Servicer shall use its best efforts to dispose of the REO Property as promptly as is practically consistent with protecting the Certificateholders’ interests.
Each REO Disposition shall be carried out by the Servicer at such price and upon such terms and conditions as the Servicer deems to be in the best interest of the Certificateholders. If as of the date title to any REO Property was acquired by the Servicer there were outstanding unreimbursed Servicing Advances, Servicing Fees and Advances with respect to the REO Property, the Servicer, upon an REO Disposition of such REO Property, shall be entitled to reimbursement for any related unreimbursed Servicing Advances, Servicing Fees and Advances from proceeds received in connection with such REO Disposition. The proceeds from the REO Disposition, net of any payment to the Servicer as provided above, shall be deposited in the Collection Account for transfer to the Distribution Account on the succeeding Servicer Remittance Date in accordance with Section 3.04(a)(vi).
Any REO Disposition shall be for cash only (unless changes in the REMIC Provisions made subsequent to the Startup Day allow a sale for other consideration and an Opinion of Counsel is obtained by the Servicer to the effect that such sale shall not cause any REMIC constituting part of the Trust Fund to fail to qualify as a REMIC).
Section 3.14 Due-on-Sale Clauses; Assumption and Substitution Agreements.
When a Mortgaged Property has been or is about to be conveyed by the Mortgagor, the Servicer shall, to the extent it has knowledge of such conveyance or prospective conveyance, exercise its rights to accelerate the maturity of the related Mortgage Loan under any “due-on-sale” clause contained in the related Mortgage or Mortgage Note; provided, however, that the Servicer shall not exercise any such right if the “due-on-sale” clause, in the reasonable belief of the Servicer, is not enforceable under applicable law. In such event, the Servicer shall make reasonable efforts to enter into an assumption and modification agreement with the Person to whom such property has been or is about to be conveyed, pursuant to which such Person becomes liable under the Mortgage Note and, unless prohibited by applicable law or the Mortgage, the Mortgagor remains liable thereon. If the foregoing is not permitted under applicable law, the Servicer is authorized to enter into a substitution of liability agreement with such Person, pursuant to which the original Mortgagor is released from liability and such Person is substituted as Mortgagor and becomes liable under the Note; provided that no such substitution will be permitted unless such person satisfies the underwriting criteria of the Servicer and has a credit score at least equal to that of the original Mortgagor. The Mortgage Loan, as assumed, shall conform in all respects to the requirements, representations and warranties of this Agreement. The Servicer shall not take or enter into any assumption and modification agreement, however, unless (to the extent practicable under the circumstances) it shall have received confirmation, in writing, of the continued effectiveness of any applicable hazard insurance policy. The Servicer shall notify the Trustee that any such assumption or substitution agreement has been completed by forwarding to the Trustee the original copy of such assumption or substitution agreement (indicating the Mortgage File to which it relates) which copy shall be added by the Trustee to the related Mortgage File and which shall, for all purposes, be considered a part of such Mortgage File to the same extent as all other documents and instruments constituting a part thereof. The Servicer shall be responsible for recording any such assumption or substitution agreements. In connection with any such assumption or substitution agreement, the Monthly Payment on the related Mortgage Loan shall not be changed but shall remain as in effect immediately prior to the assumption or substitution, the stated maturity or outstanding principal amount of such Mortgage Loan shall not be changed nor shall any required monthly payments of principal or interest be deferred or forgiven. Any fee collected by the Servicer for consenting to any such conveyance or entering into an assumption or substitution agreement shall be retained by or paid to the Servicer as additional servicing compensation.
Notwithstanding the foregoing paragraph or any other provision of this Agreement, the Servicer shall not be deemed to be in default, breach or any other violation of its obligations hereunder by reason of any assumption of a Mortgage Loan by operation of law or
any assumption which the Servicer may be restricted by law from preventing, for any reason whatsoever.
Section 3.15 | Notification of Adjustments. |
On each Adjustment Date, the Servicer shall make Mortgage Interest Rate adjustments for each Adjustable-Rate Mortgage Loan in compliance with the requirements of the related Mortgage and Mortgage Note and Applicable Regulations. The Servicer shall execute and deliver the notices required by each Mortgage and Mortgage Note and Applicable Regulations regarding Mortgage Interest Rate adjustments. Upon the discovery by the Servicer or the Trustee that the Servicer has failed to adjust or has incorrectly adjusted a Mortgage Interest Rate or a Monthly Payment pursuant to the terms of the related Mortgage Note and Mortgage, the Servicer shall deliver to the Trustee for deposit in the Distribution Account from its own funds the amount of any interest loss caused thereby without reimbursement therefor; provided, however, the Servicer shall be held harmless with respect to any Mortgage Interest Rate adjustments made by any servicer prior to the Servicer.
Section 3.16 | Optional Purchases of Mortgage Loans by Servicer. |
The Servicer may, at its option, or at the direction of the NIMS Insurer (which shall be at the expense of the NIMS Insurer), purchase a Mortgage Loan or REO Property which becomes 90 or more days Delinquent or for which the Servicer has accepted a deed in lieu of foreclosure. Prior to purchase pursuant to this Section 3.16, the Servicer shall be required to continue to make Advances pursuant to Section 4.07. The Servicer shall not use any procedure in selecting Mortgage Loans to be purchased which is materially adverse to the interests of the Certificateholders. The Servicer shall purchase such Delinquent Mortgage Loan or REO Property at a price equal to the Purchase Price. The Servicer will not be entitled to any Servicing Fee with respect to any such purchased Mortgage Loan. Any such purchase of a Mortgage Loan or REO Property pursuant to this Section 3.16 shall be accomplished by delivery to the Trustee for deposit in the Distribution Account of the amount of the Purchase Price. The Trustee shall immediately effectuate the conveyance of such delinquent Mortgage Loan or REO Property to the Servicer to the extent necessary, including the prompt delivery of all documentation to the Servicer.
Section 3.17 | Trustee to Cooperate; Release of Files. |
(a) Upon the payment in full of any Mortgage Loan (including any liquidation of such Mortgage Loan through foreclosure or otherwise, or the receipt by the Servicer of a notification that payment in full will be escrowed in a manner customary for such purposes), the Servicer shall deliver to the Trustee, in written form (with two executed copies) or electronic form, of a completed “Request for Release” in the form of Exhibit E. Upon receipt of such Request for Release of Documents, the Trustee shall promptly release the related Mortgage File within three (3) Business Days via overnight mail delivery (at the expense of the Servicer), in trust, to (i) the Servicer, or (ii) such other party identified in the related Request for Release. The Trustee agrees to indemnify the Servicer, out of its own funds, for any loss, liability or expense (other than special, indirect, punitive or consequential damages which will not be paid by the
Trustee) incurred by the Servicer as a direct result of the negligence or willful misconduct by the Trustee in releasing the Mortgage File as provided above. Upon any such payment in full, or the receipt of such notification that such funds have been placed in escrow, the Trustee hereby authorizes and empowers the Servicer to execute an instrument of satisfaction (or assignment of Mortgage without recourse) regarding the Mortgaged Property relating to such Mortgage, which instrument of satisfaction or assignment shall be delivered to the Person or Persons entitled thereto against receipt therefor of payment in full, it being understood and agreed that no expense incurred in connection with such instrument of satisfaction or assignment, as the case may be, shall be chargeable to the Collection Account. In lieu of executing any such satisfaction or assignment, as the case may be, the Servicer may prepare and submit to the Trustee a satisfaction (or assignment without recourse, if requested by the Person or Persons entitlted thereto) in form for execution by the Trustee with all requiste information completed by the Servicer; in such event, the Trustee shall execute and acknowledge such satisfaction or assignment, as the case may be, and deliver the same with the related Mortgage File as aforesaid.
(b) From time to time and as appropriate in the servicing of any Mortgage Loan, including, without limitation, foreclosure or other comparable conversion of a Mortgage Loan or collection under any insurance policy relating to a Mortgage Loan, the Trustee shall (except in the case of the payment or liquidation pursuant to which the related Mortgage File is released to an escrow agent or an employee, agent or attorney of the Trustee), upon written request of the Servicer and delivery to the Trustee, in written form (with two executed copies) or electronic form, of a “Request for Release” in the form of Exhibit E signed by a Servicing Officer, release the related Mortgage File to the Servicer within three (3) Business Days and shall execute such documents as shall be necessary to the prosecution of any such proceedings, including, without limitation, an assignment without recourse of the related Mortgage to the Servicer. Such receipt shall obligate the Servicer to return the Mortgage File to the Trustee when the need therefor by the Servicer no longer exists unless the Mortgage Loan shall be liquidated, in which case, upon receipt of a Request for Release evidencing such liquidation, the receipt shall be released by the Trustee to the Servicer.
(c) Subject to Section 3.01, the Servicer shall have the right to accept applications of Mortgagors for consent to (i) partial releases of Mortgages, (ii) alterations, (iii) removal, demolition or division of properties subject to Mortgages, (iv) modifications, and (v) second mortgage subordination agreements. No application for approval shall be considered by the Servicer unless: (w) it has received an Opinion of Counsel, addressed to the Trustee (which opinion shall not be an expense of the Trustee or the Trust Fund) that such sale, disposition, substitution, acquisition or contribution will not affect adversely the status of any REMIC constituting part of the Trust Fund as a REMIC or cause any REMIC constituting part of the Trust Fund to be subject to a tax on “prohibited transactions” or “contributions” pursuant to the REMIC Provisions; (x) the provisions of the related Note and Mortgage have been complied with; (y) the Combined Loan-to-Value Ratio and debt-to-income ratio after any release does not exceed the maximum Combined Loan-to-Value Ratio and debt-to-income ratio established in accordance with the underwriting standards of the Mortgage Loans; and (z) the lien priority of the related Mortgage is not affected. Upon receipt by the Trustee of a Servicing Officer’s certificate setting forth the action proposed to be taken in respect of a particular Mortgage Loan and certifying that the criteria set forth in the immediately preceding sentence have been
satisfied, the Trustee shall execute and deliver to the Servicer the consent or partial release so requested by the Servicer. A proposed form of consent or partial release, as the case may be, shall accompany any Servicing Officer’s certificate delivered by the Servicer pursuant to this paragraph.
Section 3.18 | Servicing Compensation. |
As compensation for its activities hereunder, the Servicer shall be entitled to retain the amount of the Servicing Fee with respect to each Mortgage Loan (including REO Properties) and any Prepayment Interest Excess. The Servicer shall be entitled to retain additional servicing compensation in the form of release fees, bad check charges, assumption fees, modification or extension fees, late payment charges, prepayment charges that are not Prepayment Charges, Originator Prepayment Charge Payment Amounts or Servicer Prepayment Charge Payment Amounts, or any other service-related fees and similar items, to the extent collected from Mortgagors.
Section 3.19 | Annual Statement as to Compliance. |
(a) Beginning in 2006, the Servicer, at its own expense, will deliver to the Trustee, the NIMS Insurer and the Depositor, not later than March 15th of each calendar year (or March 24th in a year in which no Form 10-K is required to be filed pursuant to Section 3.31(b) hereof), a Servicing Officer’s certificate stating, as to each signer thereof, that (i) a review of the activities of the Servicer during such preceding calendar year and of performance under this Agreement has been made under such officers’ supervision, and (ii) to the best of such officers’ knowledge, based on such review, the Servicer has fulfilled in all material respects all its obligations under this Agreement for such year, or, if there has been a default in the fulfillment in any material respect of all such obligations, specifying each such default known to such officers and the nature and status thereof including the steps being taken by the Servicer to remedy such default.
(b) Delivery of such reports, information and documents to the Trustee is for informational purposes only and their receipt of such shall not constitute constructive notice of any information contained therein or determinable, from information contained therein, including the Servicer’s compliance with any of its covenants hereunder (as to which the Trustee is entitled to rely exclusively on Officers’ Certificates).
Section 3.20 | Annual Independent Certified Public Accountants’ Reports. |
(a) Beginning in 2006, not later than March 15th of each calendar year (or March 24th in a year in which no Form 10-K is required to be filed pursuant to Section 3.31(b) hereof), the Servicer, at its expense, shall cause a nationally recognized firm of independent certified public accountants to furnish to the Trustee, the Depositor, the NIMS Insurer and each Rating Agency, a report stating that (i) it has obtained a letter of representation regarding certain matters from the management of the Servicer which includes an assertion that the Servicer has complied with certain minimum residential mortgage loan servicing standards, identified in either the Uniform Single Attestation Program for Mortgage Bankers established by the Mortgage Bankers Association of America or the Audit Program for Mortgages serviced by
Freddie Mac, with respect to the servicing of residential mortgage loans during the most recently completed calendar year and (ii) on the basis of an examination conducted by such firm in accordance with standards established by the American Institute of Certified Public Accountants, such representation is fairly stated in all material respects, subject to such exceptions and other qualifications that may be appropriate. Copies of such statement shall be provided by the Trustee to any Certificateholder upon request, provided that such statement is delivered by the Servicer to the Trustee.
(b) Delivery of such reports, information and documents to the Trustee is for informational purposes only and their receipt of such shall not constitute constructive notice of any information contained therein or determinable from information contained therein, including the Servicer’s compliance with any of its covenants hereunder (as to which the Trustee is entitled to rely exclusively on Officers’ Certificates).
Section 3.21 Access to Certain Documentation and Information Regarding the Mortgage Loans.
(a) The Servicer shall provide to the Trustee, Certificateholders that are federally insured savings and loan associations, the Office of Thrift Supervision, the FDIC and the supervisory agents and examiners of each of the foregoing (which, in the case of supervisory agents and examiners, may be required by applicable state and federal regulations) access to the available documentation regarding the Mortgage Loans, such access being afforded without charge but only upon reasonable advance request and during normal business hours at the offices of the Servicer designated by it.
(b) The Servicer, in its capacity as Servicer, shall afford the NIMS Insurer, upon reasonable advance notice, during normal business hours, access to all records maintained by the Servicer in respect of its rights and obligations hereunder and access to officers of the Servicer responsible for such obligations. Upon request, the Servicer shall furnish to the NIMS Insurer its most recent publicly available financial statements and such other information relating to its capacity to perform its obligations under this Agreement.
Section 3.22 | Duties of Credit Risk Manager. |
For and on behalf of the Depositor, the Credit Risk Manager shall provide reports and recommendations as to loss mitigation activities concerning Mortgage Loans that are past due, are in default, as to which there has been commencement of foreclosure, as to which there has been forbearance in exercise of remedies, as to which any obligor is the subject of bankruptcy, receivership, or an arrangement of creditors, or which have become REO Properties. Such reports and recommendations will be based upon information provided pursuant to the Credit Risk Management Agreement. The Credit Risk Manager shall look solely to the Servicer for all information and data (including loss and delinquency information and data) and loan-level information and data relating to the servicing of the Mortgage Loans. The Trustee, on behalf of the Trust, hereby authorizes the Servicer to provide such loan level information and data to the Credit Risk Manager.
The Credit Risk Manager may be removed at any time by a vote of Certificateholders holding Certificates evidencing at least 66 2/3% of the aggregate Voting Rights of the Certificates. After any such termination, the Credit Risk Manager shall have no further obligations hereunder, and shall no longer be entitled to the Credit Risk Manager Fee.
Section 3.23 Obligations of the Servicer in Respect of Compensating Interest.
Not later than the close of business on each Servicer Remittance Date, the Servicer shall deliver to the Trustee for deposit in the Distribution Account an amount (“Compensating Interest”) equal to the lesser of (A) the aggregate of the Prepayment Interest Shortfalls on the Mortgage Loans for the related Distribution Date resulting from Principal Prepayments in full on the Mortgage Loans during the portion of the related Prepayment Period occurring in the prior calendar month and (B) its aggregate Servicing Fee received in the related Collection Period; provided, however, the Servicer shall not offset any Prepayment Interest Shortfall resulting from a Principal Prepayment in full that occurs during the period from the Cut-off Date through September 15, 2005. The Servicer shall apply Compensating Interest to offset any Prepayment Interest Shortfalls resulting from Principal Prepayments in full on the Mortgage Loans. The Servicer shall not have the right to reimbursement for any amounts remitted to the Trustee in respect of Compensating Interest. Such amounts so remitted shall be included in the Available Funds and distributed therewith on the next Distribution Date. The Servicer shall not be obligated to pay Compensating Interest with respect to Prepayment Interest Shortfalls resulting from partial Principal Prepayments or Relief Act Interest Shortfalls.
Section 3.24 Obligations of the Servicer in Respect of Mortgage Interest Rates and Monthly Payments.
In the event that a shortfall in any collection on or liability with respect to any Mortgage Loan results from or is attributable to adjustments to Mortgage Interest Rates, Monthly Payments or Principal Balances that were made by the Servicer in a manner not consistent with the terms of the related Mortgage Note and this Agreement, the Servicer, upon discovery or receipt of notice thereof, immediately shall deliver to the Trustee for deposit in the Distribution Account from its own funds the amount of any such shortfall and shall indemnify and hold harmless the Trust Fund, the Trustee, the Depositor and any successor servicer in respect of any such liability. Such indemnities shall survive the termination or discharge of this Agreement. Notwithstanding the foregoing, this Section 3.24 shall not limit the ability of the Servicer to seek recovery of any such amounts from the related Mortgagor under the terms of the related Mortgage Note, as permitted by law.
Section 3.25 Investment of Funds in the Collection Account and the Distribution Account.
(a) The Servicer may direct any depository institution maintaining the Collection Account and the Trustee may direct any depository institution maintaining the Distribution Account (for purposes of this Section 3.25, each an “Investment Account”), to invest the funds in such Investment Account in one or more Eligible Investments bearing interest
or sold at a discount, and maturing, unless payable on demand, (i) no later than the Business Day immediately preceding the date on which such funds are required to be withdrawn from such account pursuant to this Agreement, if a Person other than the Trustee is the obligor thereon, and (ii) no later than the date on which such funds are required to be withdrawn from such account pursuant to this Agreement, if the Trustee is the obligor thereon or if such investment is managed or advised by the Trustee or an Affiliate of the Trustee. All such Eligible Investments shall be held to maturity, unless payable on demand. Any investment of funds in an Investment Account shall be made in the name of the Trustee or the Servicer, as applicable (in its capacity as such) or in the name of a nominee of the Trustee. The Trustee shall be entitled to sole possession (except with respect to investment direction of funds held in the Collection Account) over each such investment and the income thereon, and any certificate or other instrument evidencing any such investment shall be delivered directly to the Trustee or its agent, together with any document of transfer necessary to transfer title to such investment to the Trustee or its nominee. In the event amounts on deposit in an Investment Account are at any time invested in an Eligible Investment payable on demand, the Trustee shall at the direction of the Servicer:
(x) | consistent with any notice required to be given thereunder, demand that payment thereon be made on the last day such Eligible Investment may otherwise mature hereunder in an amount equal to the lesser of (1) all amounts then payable thereunder and (2) the amount required to be withdrawn on such date; and |
(y) | demand payment of all amounts due thereunder promptly upon determination by a Responsible Officer of the Trustee that such Eligible Investment would not constitute an Eligible Investment in respect of funds thereafter on deposit in the Investment Account. |
(b) All income and gain realized from the investment of funds in the Collection Account shall be for the benefit of the Servicer. The Servicer shall deposit in the Collection Account or (to the extent funds in the Escrow Account are invested if permitted by applicable law) the Escrow Account, as applicable, from its own funds the amount of any loss incurred in respect of any such Eligible Investment made with funds in such account immediately upon realization of such loss. All income and gain realized from the investment of funds in the Distribution Account shall be for the benefit of the Trustee. The Trustee shall deposit in the Distribution Account from its own funds the amount of any loss incurred on Eligible Investments in the Distribution Account.
(c) Except as otherwise expressly provided in this Agreement, if any default occurs in the making of a payment due under any Eligible Investment, or if a default occurs in any other performance required under any Eligible Investment, the Trustee may and, subject to Section 8.01 and Section 8.02(a)(v), upon the request of the NIMS Insurer or Holders of Certificates representing more than 50% of the Voting Rights allocated to any Class of Certificates, shall take such action as may be appropriate to enforce such payment or performance, including the institution and prosecution of appropriate proceedings.
The Trustee shall not in any way be held liable by reason of any insufficiency in any Account held by the Trustee resulting from any investment loss on any Eligible Investment included therein (except to the extent that the Trustee is the obligor and has defaulted thereon).
Section 3.26 | Liability of Servicer; Indemnification. |
(a) Subject to clause (b) below and Section 6.03, the Servicer (except the Trustee if it is required to succeed the Servicer hereunder) indemnifies and holds the Trustee, the Depositor, the NIMS Insurer and the Trust Fund harmless against any and all third party claims, losses, penalties, fines, forfeitures, reasonable legal fees and related costs, judgments, and any other costs, fees and expenses that the Trustee, the Depositor, the NIMS Insurer and the Trust Fund may sustain in any way related to the failure of the Servicer to perform its duties and service the Mortgage Loans in compliance with the Servicing Standard. The Servicer shall immediately notify the Trustee, the NIMS Insurer and the Depositor if a claim is made that may result in such claims, losses, penalties, fines, forfeitures, legal fees or related costs, judgments, or any other costs, fees and expenses, and the Servicer shall assume (with the consent of the Trustee) the defense of any such claim and pay all expenses in connection therewith, including reasonable counsel fees, and promptly pay, discharge and satisfy any judgment or decree which may be entered against the Servicer, the Trustee, the Depositor, the NIMS Insurer and/or the Trust Fund in respect of such claim. The provisions of this Section 3.26 shall survive the termination of this Agreement and the payment of the outstanding Certificates.
(b) None of the Depositor, the NIMS Insurer, the Servicer, or any of the directors, officers, employees or agents of the Depositor or the Servicer shall be under any liability to the Trust Fund or the Certificateholders for any action taken, or for refraining from the taking of any action, in good faith pursuant to this Agreement, or for errors in judgment; provided, however, that this provision shall not protect the Depositors, the NIMS Insurer or the Servicer or any such Person against any breach of warranties or representations made by such party herein, or against any specific liability imposed on the Servicer for a breach of the Servicing Standard and/or this Agreement, or against any liability which would otherwise be imposed by reason of its respective willful misfeasance, bad faith, fraud or negligence in the performance of its duties or by reasons of negligent disregard of its respective obligations or duties hereunder.
The Depositor, the NIMS Insurer, the Servicer and any director, officer, employee or agent of the Depositor, the NIMS Insurer or the Servicer, may rely in good faith on any document of any kind which, prima facie, is properly executed and submitted by any appropriate Person with respect to any matters arising hereunder. The Depositor, the Servicer, the NIMS Insurer and any director, officer, employee or agent of the Depositor, the Servicer or the NIMS Insurer shall be indemnified and held harmless by the Trust against any loss, liability or expense incurred in connection with any legal action relating to this Agreement or the Certificates, other than any loss, liability or expense incurred in connection with any legal action incurred by reason of its respective misfeasance, bad faith, fraud or negligence, a breach of a representation or warranty made by such party hereunder or (in the case of the Servicer) a breach of the Servicing Standard in the performance of its respective duties or by reason of negligent disregard of its respective obligations or duties hereunder. Neither the Depositor, the NIMS Insurer, nor the
Servicer shall be under any obligation to appear in, prosecute or defend any legal action unless such action is related to its respective duties under this Agreement and in its opinion does not expose it to any expense or liability; provided, however, that the Depositor, the NIMS Insurer or the Servicer may in their discretion undertake any action related to their obligations hereunder which they may deem necessary or desirable with respect to this Agreement and the rights and duties of the parties hereto and the interests of the Certificateholders hereunder. The Servicer’s right to indemnity or reimbursement pursuant to this Section shall survive any resignation or termination of the Servicer pursuant to Section 6.04 or 7.01 with respect to any losses, expenses, costs or liabilities arising prior to such resignation or termination (or arising from events that occurred prior to such resignation or termination).
Section 3.27 Reports of Foreclosure and Abandonment of Mortgaged Properties.
Beginning in 2006, the Servicer shall file the reports of foreclosure and abandonment of any Mortgaged Property required by Section 6050J of the Code with the Internal Revenue Service on or before the due date for any such report. Not later than 90 days following the end of each calendar year, beginning in 2006, the Servicer will deliver an Officer’s Certificate to the Trustee and the NIMS Insurer certifying its compliance with this Section 3.27. The reports from the Servicer shall be in form and substance sufficient to meet the reporting requirements imposed by such Section 6050J.
Section 3.28 | Protection of Assets. |
(a) Except for transactions and activities entered into in connection with the securitization that is the subject of this Agreement, the Trust is not authorized and has no power to:
(1) | borrow money or issue debt; |
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(2) | merge with another entity, reorganize, liquidate or sell assets; or | ||
(3) | engage in any business or activities. |
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(b) Each party to this Agreement agrees that it will not file an involuntary bankruptcy petition against the Trustee or the Trust Fund or initiate any other form of insolvency proceeding until after the Certificates have been paid.
Section 3.29 | Limitation of Liability of the Credit Risk Manager. |
Neither the Credit Risk Manager, nor any of the directors, officers, employees or agents of the Credit Risk Manager, shall be under any liability to the Depositor, the Servicer, the Trustee or the Certificateholders for any action taken or for refraining from the taking of any action in good faith pursuant to this Agreement, in reliance upon information provided by the Servicer under the Credit Risk Management Agreement or for errors in judgment; provided, however, that this provision shall not protect the Credit Risk Manager or any such person against liability that would otherwise be imposed by reason of willful malfeasance, bad faith or
negligence in its performance of its duties or by reason of reckless disregard for its obligations and duties under this Agreement or the applicable Credit Risk Management Agreement. The Credit Risk Manager and any director, officer, employee or agent of the Credit Risk Manager may rely in good faith on any document of any kind prima facie properly executed and submitted by any Person respecting any matters arising hereunder, and may rely in good faith upon the accuracy of information furnished by the Servicer pursuant to the applicable Credit Risk Management Agreement in the performance of its duties thereunder and hereunder.
Section 3.30 | No Personal Solicitation. |
From and after the Closing Date, the Servicer agrees that it will not take any action or permit or cause any action to be taken by any of its agents and Affiliates, or by any independent contractors or independent mortgage brokerage companies on the Servicer’s behalf, to personally, by telephone, mail or electronic mail, solicit the Mortgagor under any Mortgage Loan for the purpose of refinancing such Mortgage Loan; provided, that the Servicer may solicit any Mortgagor for whom the Servicer has received a request for verification of mortgage, a request for demand for payoff, a mortgagor initiated written or verbal communication indicating a desire to prepay the related Mortgage Loan, or the mortgagor initiates a title search; provided further, it is understood and agreed that promotions undertaken by the Servicer or any of its Affiliates which (i) concern optional insurance products or other additional products or (ii) are directed to the general public at large, including, without limitation, mass mailings based on commercially acquired mailing lists, newspaper, radio and television advertisements shall not constitute solicitation under this Section, nor is the Servicer prohibited from responding to unsolicited requests or inquiries made by a Mortgagor or an agent of a Mortgagor. Furthermore, the Servicer shall be permitted to include in its monthly statements to borrowers or otherwise, statements regarding the availability of the Servicer’s counseling services with respect to refinancing mortgage loans.
Section 3.31 | Periodic Filings. |
(a) The Trustee and the Servicer shall reasonably cooperate with the Depositor in connection with the Trust’s satisfying its reporting requirements under the Exchange Act. Without limiting the generality of the foregoing, the Trustee shall prepare on behalf of the Trust any monthly Current Reports on Form 8-K (each, a “Monthly Form 8-K”) and Annual Reports on Form 10-K (each, a “Form 10-K”) customary for similar securities as required by the Exchange Act and the rules and regulations of the Commission thereunder, and the Trustee shall sign (other than any Form 10-K) and file (via the Commission’s Electronic Data Gathering and Retrieval System) such Forms on behalf of the Trust. The Depositor shall sign any Form 10-K.
(b) Each Monthly Form 8-K shall be filed by the Trustee within 15 days after each Distribution Date, including a copy of the Distribution Date Statement for such Distribution Date as an exhibit thereto. Prior to March 30th of each year (or such earlier date as may be required by the Exchange Act and the rules and regulations of the Commission), the Trustee shall file a Form 10-K, in substance as required by applicable law or applicable Commission staff’s interpretations. Such Form 10-K shall include as exhibits the Servicer’s annual statement of
compliance described under Section 3.19 and the accountant’s report described under Section 3.20, in each case, to the extent they have been timely delivered to the Trustee. If they are not so timely delivered, the Trustee shall file an amended Form 10-K including such documents as exhibits reasonably promptly after they are delivered to the Trustee. The Trustee shall have no liability with respect to any failure to properly prepare or file such periodic reports resulting from or relating to the Trustee’s inability or failure to obtain any information not resulting from its own negligence, willful misconduct or bad faith. The Form 10-K shall also include a certification in the form attached hereto as Exhibit O (the “Certification”), which shall be signed by a senior officer of the Depositor in charge of securitization. The Depositor shall deliver the Certification to the Trustee three (3) Business Days prior to the latest date on which the Form 10-K may be timely filed. The Trustee, the Depositor and the Servicer shall reasonably cooperate to enable the Commission requirements with respect to the Trust to be met in the event that the Commission issues additional interpretive guidelines or promulgates rules or regulations, or in the event of any other change of law that would require reporting arrangements or the allocation of responsibilities with respect thereto, as described in this Section 3.31, to be conducted or allocated in a different manner.
(c) Not later than five (5) Business Days prior to the latest date on which the Form 10-K may be timely filed each year, (i) the Trustee shall sign and deliver to the Depositor a certification (in the form attached hereto as Exhibit P-1) for the benefit of the Depositor and its officers, directors and Affiliates (provided, however, that the Trustee shall not undertake an analysis of the accountant’s report attached as an exhibit to the Form 10-K) and (ii) the Servicer shall sign and deliver to the Depositor a certification (in the form attached hereto as Exhibit P-2) for the benefit of the Depositor and its officers, directors and Affiliates. In addition, (i) the Trustee shall also indemnify and hold harmless the Depositor and its officers, directors and Affiliates from and against any losses, damages, penalties, fines, forfeitures, reasonable and necessary legal fees and related costs, judgments and other costs and expenses arising out of or based upon any inaccuracy in the certification provided by the Trustee pursuant to this Section 3.31(c), any breach of the Trustee’s obligations under this Section 3.31(c) or the Trustee’s negligence, bad faith or willful misconduct in connection therewith and (ii) the Servicer shall indemnify and hold harmless the Depositor and its officers, directors and Affiliates from and against any losses, damages, penalties, fines, forfeitures, reasonable and necessary legal fees and related costs, judgments and other costs and expenses arising out of or based upon any inaccuracy in the certification provided by the Servicer pursuant to this Section 3.31(c), any breach of the Servicer’s obligations under this Section 3.31(c) or the Servicer’s negligence, bad faith or willful misconduct in connection therewith. If the indemnification provided for herein is unavailable or insufficient to hold harmless the Depositor and its officers, directors and Affiliates, then (i) the Trustee agrees that it shall contribute to the amount paid or payable by the Depositor, its officers, directors or Affiliates as a result of the losses, claims, damages or liabilities of the Depositor, its officers, directors or Affiliates in such proportion as is appropriate to reflect the relative fault of the Depositor and its officers, directors and Affiliates on the one hand and the Trustee on the other in connection with a breach of the Trustee’s obligations under this Section 3.31(c) or the Trustee’s negligence, bad faith or willful misconduct in connection therewith and (ii) the Servicer agrees that it shall contribute to the amount paid or payable by the Depositor, its officers, directors or Affiliates as a result of the losses, claims, damages or liabilities of the Depositor, its officers, directors or Affiliates in such proportion as is appropriate
to reflect the relative fault of the Depositor and its officers, directors and Affiliates on the one hand and the Servicer on the other in connection with a breach of the Servicer’s obligations under this Section 3.31(c) or the Servicer’s negligence, bad faith or willful misconduct in connection therewith. The Servicer hereby acknowledges and agrees that the Depositor and the Trustee are relying on the Servicer’s performance of its obligations under Sections 3.19 and 3.20 in order to perform their respective obligations under this Section 3.31.
(d) Upon any filing with the Commission, the Trustee shall promptly deliver to the Depositor a copy of any such executed report, statement or information.
(e) The obligations set forth in paragraphs (a) through (d) of this Section shall only apply with respect to periods for which the Trustee is obligated to file reports on Form 8-K or 10-K pursuant to paragraph (b) of this Section. Upon request of the Depositor, the Trustee shall prepare, execute and file with the Commission a Form 15 Suspension Notification with respect to the Trust, and thereafter there shall be no further obligations under paragraphs (a) through (d) of this Section commencing with the calendar year in which the Form 15 is filed (other than the obligations to be performed in such calendar year that relate back to the prior calendar year).
ARTICLE IV
FLOW OF FUNDS
Section 4.01 | Interest Distributions. |
On each Distribution Date, the Trustee shall withdraw from the Distribution Account the related Interest Remittance Amount and apply it in the following order of priority (based upon the Mortgage Loan information provided to it in the Remittance Report, upon which the Trustee may conclusively rely), and the calculations required to be made by the Trustee, to the extent available:
(i) to the Credit Risk Manager, the Credit Risk Manager Fee for such Distribution Date;
(ii) | concurrently, as follows: |
(a) from the Group 1 Interest Remittance Amount to the Group 1 Certificates, the Accrued Certificate Interest thereon for such Distribution Date; and
(b) concurrently, from the Group 2 Interest Remittance Amount to the Group 2 Certificates, pro rata, the applicable Accrued Certificate Interest thereon for such Distribution Date;
(iii) | concurrently, as follows: |
(a) from the Group 1 Interest Remittance Amount to the Group 1 Certificates, the Interest Carry Forward Amount thereon for such Distribution Date; and
(b) concurrently, from the Group 2 Interest Remittance Amount to the Group 2 Certificates, pro rata, the applicable Interest Carry Forward Amount thereon for such Distribution Date;
(iv) | concurrently, as follows: |
(a) if the Group 1 Interest Remittance Amount is insufficient to pay the Group 1 Certificates’ Accrued Certificate Interest for such Distribution Date pursuant to Section 4.01(ii)(a) above, from the remaining Group 2 Interest Remittance Amount, to the Group 1 Certificates, to cover such shortfall for such Distribution Date; and
(b) if the Group 2 Interest Remittance Amount is insufficient to pay the Group 2 Certificates’ applicable Accrued Certificate Interest for such Distribution
Date pursuant to Section 4.01(ii)(b) above, concurrently, from the remaining Group 1 Interest Remittance Amount, to the Group 2 Certificates, pro rata, to cover such shortfall for such Distribution Date;
(v) | concurrently, as follows: |
(a) if the Group 1 Interest Remittance Amount is insufficient to pay the Group 1 Certificates’ Interest Carry Forward Amount for such Distribution Date pursuant to Section 4.01(iii)(a) above, from the remaining Group 2 Interest Remittance Amount, to the Group 1 Certificates, to cover such shortfall for such Distribution Date; and
(b) if the Group 2 Interest Remittance Amount is insufficient to pay the Group 2 Certificates’ applicable Interest Carry Forward Amount for such Distribution Date pursuant to Section 4.01(iii)(b) above, concurrently, from the remaining Group 1 Interest Remittance Amount, to the Group 2 Certificates, pro rata, to cover such shortfall for such Distribution Date;
(vi) sequentially, to the Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1 and Class B-2 Certificates, in that order, the related Accrued Certificate Interest thereon for such Distribution Date; and
(vii) the amount, if any, of the related Interest Remittance Amount remaining after application with respect to the priorities set forth above will be applied as described under Section 4.02(b) hereof.
Section 4.02 Distributions of Principal and Monthly Excess Cashflow Amounts.
(a) On each Distribution Date, the Trustee shall make the following distributions in the following order of priority (based upon the Mortgage Loan information provided to it in the Remittance Report and the calculations required to be made by the Trustee), to the extent of the Principal Distribution Amount:
(i) before the Stepdown Date or with respect to which a Trigger Event is in effect, as follows:
first, concurrently, as follows:
(a) the Group 1 Senior Principal Distribution Amount to the Group 1 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; and
(b) (i) the Group 2 Senior Principal Distribution Amount to the Group 2 Certificates (allocated as described below), until the Certificate Principal Balances thereof have been reduced to zero;
second, concurrently, as follows:
(a) (i) the Group 1 Senior Principal Distribution Amount remaining after priority first of this Section 4.02(a)(i), to the Group 2 Certificates (allocated as described below), until the Certificate Principal Balances thereof have been reduced to zero; and
(b) the Group 2 Senior Principal Distribution Amount remaining after priority first of this Section 4.02(a)(i), to the Group 1 Certificates, until the Certificate Principal Balance thereof has been reduced to zero;
third, sequentially, to the Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1 and Class B-2 Certificates, in that order, in each case, until the Certificate Principal Balance thereof has been reduced to zero; and
fourth, any remaining Principal Distribution Amount will be distributed as part of the Monthly Excess Cashflow Amount as set forth in Section 4.02(b).
(ii) on or after the Stepdown Date and as long as a Trigger Event is not in effect, as follows:
first, concurrently, as follows:
(a) the Group 1 Senior Principal Distribution Amount to the Group 1 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; and
(b) (i) the Group 2 Senior Principal Distribution Amount to the Group 2 Certificates (allocated as described below), until the Certificate Principal Balances thereof have been reduced to zero;
second, concurrently, as follows:
(a) (i) the Group 1 Senior Principal Distribution Amount remaining after priority first of this Section 4.02(a)(i), to the Group 2 Certificates (allocated as described below), until the Certificate Principal Balances thereof have been reduced to zero; and
(b) the Group 2 Senior Principal Distribution Amount remaining after priority first of this Section 4.02(a)(ii), to the Group 1 Certificates, until the Certificate Principal Balance thereof has been reduced to zero;
third, to the Class M-1 Certificates, up to the Class M-1 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
fourth, to the Class M-2 Certificates, up to the Class M-2 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
fifth, to the Class M-3 Certificates, up to the Class M-3 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
sixth, to the Class M-4 Certificates, up to the Class M-4 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
seventh, to the Class M-5 Certificates, up to the Class M-5 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
eighth, to the Class M-6 Certificates, up to the Class M-6 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
ninth, to the Class M-7 Certificates, up to the Class M-7 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
tenth, to the Class M-8 Certificates, up to the Class M-8 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
eleventh, to the Class M-9 Certificates, up to the Class M-9 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
twelfth, to the Class M-10 Certificates, up to the Class M-10 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
thirteenth, to the Class M-11 Certificates, up to the Class M-11 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
fourteenth, to the Class M-12 Certificates, up to the Class M-12 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
fifteenth, to the Class B-1 Certificates, up to the Class B-1 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
sixteenth, to the Class B-2 Certificates, up to the Class B-2 Principal Distribution Amount, until the Certificate Principal Balance thereof has been reduced to zero;
seventeenth, any remaining Principal Distribution Amount will be distributed as part of the Monthly Excess Cashflow Amount as set forth in Section 4.02(b).
With respect to the Group 2 Certificates, all principal distributions will be distributed to the Group 2 Sequential Certificates and the Class A-2 MZ Certificates, on a pro rata basis, based on the Certificate Principal Balance of such Classes of Certificates. Prior to the Subordination Depletion Date, all principal distributions to the Group 2 Sequential Certificates will be distributed sequentially, first, to the Holders of the Class A-2A Certificates until the Certificate Principal Balance of the Class A-2A Certificates is reduced to zero, second, to the Holders of the Class A-2B Certificates until the Certificate Principal Balance of the Class A-2B Certificates is reduced to zero, third, to the Holders of the Class A-2C Certificates until the Certificate Principal Balance of the Class A-2C Certificates is reduced to zero and fourth, to the Holders of the Class A-2D Certificates until the Certificate Principal Balance of the Class A-2D Certificates is reduced to zero. On or after the Subordination Depletion Date, all principal distributions to the Group 2 Sequential Certificates will be distributed concurrently, to the Class A-2A, Class A-2B, Class A-2C and Class A-2D Certificates, on a pro rata basis, based on the Certificate Principal Balance of such Classes of Certificates until the Certificate Principal Balances of such Certificates is reduced to zero.
(b) On each Distribution Date, any Monthly Excess Cashflow Amount shall be distributed, to the extent available, in the following order of priority on such Distribution Date:
(i) to the Holders of the Class A Certificates, on a pro rata basis based on the entitlement of each such Class, first, any remaining Accrued Certificate Interest for such Classes and second, any Interest Carry Forward Amounts for such classes;
(ii) to the Holders of the Class A-2MZ Certificates, an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(iii) to the Holders of the Class M-1 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(iv) to the Holders of the Class M-2 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(v) to the Holders of the Class M-3 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry
Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(vi) to the Holders of the Class M-4 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(vii) to the Holders of the Class M-5 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(viii) to the Holders of the Class M-6 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(ix) to the Holders of the Class M-7 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(x) to the Holders of the Class M-8 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xi) to the Holders of the Class M-9 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xii) to the Holders of the Class M-10 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xiii) to the Holders of the Class M-11 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xiv) to the Holders of the Class M-12 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xv) to the Holders of the Class B-1 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xvi) to the Holders of the Class B-2 Certificates, first, in an amount equal to any remaining Accured Certificate Interest, second, in an amount equal to any Interest Carry Forward amount and third, in an amount equal to any Realized Loss Amortization Amount for such class for such Distribution Date;
(xvii) first, to the Class A Certificates, on a pro rata basis based on the Cap Carryover Amounts for each such Class, and then sequentially, to the Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1 and Class B-2 Certificates, in that order, any Cap Carryover Amount for such Class from the Cap Carryover Reserve Account;
(xviii) to the Swap Provider, any Swap Termination Payments resulting from a Swap Provider Trigger Event; and
(xix) to pay to the Class CE Certificates, up to the Class CE Distributable Amount for such Distribution Date.
On each Distribution Date, there shall be distributed to the Holder of the Class R Certificate in respect of the Class R-1 Interest, any remaining amount in the Distribution Account on such date after the application pursuant to Sections 4.01, 4.02(a) and 4.02(b)(i)-(xix).
(c) On each Distribution Date, after making the distributions of the Available Funds, Monthly Excess Cashflow and amounts on deposit in the Cap Carryover Reserve Account as set forth above, the Trustee shall distribute the amount on deposit in the Swap Account as follows:
first, to the Swap Provider, any Net Swap Payment owed to the Swap Provider pursuant to the Interest Rate Swap Agreement for such Distribution Date;
second, to the Swap Provider, any Swap Termination Payment owed to the Swap Provider not due to a Swap Provider Trigger Event pursuant to the Interest Rate Swap Agreement;
third, concurrently, to each Class of Class A Certificates, the related Accrued Certificate Interest and Interest Carry Forward Amount remaining undistributed after the distributions of the Group 1 Interest Remittance Amount and the Group 2 Interest Remittance Amount, on a pro rata basis based on such respective remaining Accrued Certificate Interest and Interest Carry Forward Amount,
fourth, sequentially, to the Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1 and Class B-2 Certificates, in that order, the related Accrued Certificate Interest and Interest
Carry Forward Amount, to the extent remaining undistributed after the distributions of the Group 1 Interest Remittance Amount, the Group 2 Interest Remittance Amount and the Monthly Excess Cashflow;
fifth, to the holders of the Class or Classes of Certificates then entitled to receive distributions in respect of principal, in an amount necessary to maintain the applicable Targeted Overcollateralization Amount after taking into account distributions made pursuant to Section 4.02(b)(i);
sixth, concurrently, to each Class of Class A Certificates, the related Cap Carryover Amount, to the extent remaining undistributed after distributions are made from the Cap Carryover Reserve Account, on a pro rata basis based on such respective Cap Carryover Amounts remaining;
seventh, sequentially, to the Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1 and Class B-2 Certificates, in that order, the related Cap Carryover Amount, to the extent remaining undistributed after distributions are made from the Cap Carryover Reserve Account; and
eighth, sequentially, to the Class A-2MZ, Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1 and Class B-2 Certificates, to the extent of any remaining related Realized Loss Amortization Amount for such Class.
(c) On each Distribution Date, the Trustee shall withdraw any amounts then on deposit in the Distribution Account that represent Prepayment Charges collected by the Servicer in connection with the Principal Prepayment in full of any of the Mortgage Loans, any Originator Prepayment Charge Payment Amount or Servicer Prepayment Charge Payment Amount and shall distribute such amounts to the Holders of the Class P Certificates.
(d) Any amounts distributed to the Floating Rate Certificates in respect of interest pursuant to Section 4.01(b)(xlii) which constitute Cap Carryover Amounts shall first be deemed distributed by REMIC 4 as a distribution to the Class CE Certificates, and then distributed to the Floating Rate Certificates.
(e) On each Distribution Date, Unpaid Realized Loss Amounts on the Floating Rate Certificates will be reduced by the amount of any Subsequent Recoveries received during the related Prepayment Period in the same order as Realized Loss Amortization Amounts are paid to the Floating Rate Certificates pursuant to Section 4.02(b) above.
Section 4.03 | Allocation of Losses. |
Any Applied Realized Loss Amount for a Distribution Date will be allocated against the Class B-2, Class B-1, Class M-12, Class M-11, Class M-10, Class M-9, Class M-8, Class M-7, Class M-6, Class M-5, Class M-4, Class M-3, Class M-2 and Class M-1 Certificates and with respect to any additional losses on the Group 2 Mortgage Loans, to the Class A-2MZ
Certificates, in that order and until the respective Certificate Principal Balances thereof are reduced to zero.
Section 4.04 | Method of Distribution. |
The Trustee shall make distributions in respect of a Distribution Date to each Certificateholder of record on the related Record Date (other than as provided in Section 10.01 respecting the final distribution), in the case of Certificateholders of the Certificates, by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Trustee in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of such Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Trustee may deduct a reasonable wire transfer fee from any payment made by wire transfer. Distributions among Certificateholders shall be made in proportion to the Percentage Interests evidenced by the Certificates held by such Certificateholders.
Section 4.05 | Distributions on Book-Entry Certificates. |
Each distribution with respect to a Book-Entry Certificate shall be paid to the Depository, which shall credit the amount of such distribution to the accounts of its Depository Participants in accordance with its normal procedures. Each Depository Participant shall be responsible for disbursing such distribution to the Certificate Owners that it represents and to each indirect participating brokerage firm (a “brokerage firm” or “indirect participating firm”) for which it acts as agent. Each brokerage firm shall be responsible for disbursing funds to the Certificate Owners that it represents. All such credits and disbursements with respect to a Book-Entry Certificate are to be made by the Depository and the Depository Participants in accordance with the provisions of the Certificates. None of the Trustee, the Depositor or the Servicer shall have any responsibility therefor except as otherwise provided by applicable law.
Section 4.06 | Statements. |
(a) On each Distribution Date, based on the Mortgage Loan information contained in the Remittance Report, the Trustee shall prepare and post on its website at www.ctslink.com, a statement (the “Distribution Date Statement”) as to the distributions made on such Distribution Date:
(i) the amount of the distribution made on such Distribution Date to the Holders of each Class of Certificates allocable to principal, separately identified and the amount of the distribution made on such Distribution Date to the Holders of the Class P Certificates allocable to Prepayment Charges, Originator Prepayment Charge Payment Amounts and Servicer Prepayment Charge Payment Amounts;
(ii) the amount of the distribution made on such Distribution Date to the Holders of each Class of Certificates allocable to interest or Class CE Distributable Amount, separately identified;
(iii) the Overcollateralization Amount, the Overcollateralization Release Amount, the Overcollateralization Deficiency and the Targeted Overcollateralization Amount as of such Distribution Date and the Monthly Excess Interest Amount and Monthly Excess Cashflow Amount for such Distribution Date;
(iv) the aggregate amount of servicing compensation received by the Servicer during the related Collection Period;
(v) the aggregate amount of Advances for the related Collection Period, cumulative unreimbursed Advances and Servicing Advances and cumulative Nonrecoverable Advances;
(vi) the Pool Balance, at the close of business at the end of the related Collection Period;
(vii) the number, weighted average remaining term to maturity, the weighted average Mortgage Interest Rate of the Mortgage Loans as of the related Due Date and number and aggregate Principal Balance of all Subsequent Mortgage Loans added during the preceding Prepayment Period;
(viii) the number and aggregate unpaid principal balance of Mortgage Loans (a) 30 to 59 days past due on a contractual basis, (b) 60 to 89 days past due on a contractual basis, (c) 90 or more days past due on a contractual basis, (d) as to which foreclosure proceedings have been commenced and (e) in bankruptcy as of the close of business on the last day of the calendar month preceding such Distribution Date;
(ix) with respect to any Mortgage Loan that became an REO Property during the preceding calendar month, the loan number of such Mortgage Loan, the unpaid Principal Balance of the REO Property as of the close of business on the last Business Day of such calendar month and the Principal Balance of such Mortgage Loan as of the date it became an REO Property;
(x) the book value of any REO Property as of the close of business on the last Business Day of the calendar month preceding the Distribution Date, and, cumulatively, the total number and cumulative principal balance of all REO Properties as of the close of business of the last day of the preceding Collection Period;
(xi) separately stated for each Loan Group, the aggregate amount of Principal Prepayments made during the related Prepayment Period;
(xii) separately stated for each Loan Group, the aggregate amount of Realized Losses incurred during the related Collection Period and the cumulative amount of Realized Losses;
(xiii) the Certificate Principal Balance of each Class of Certificates, after giving effect to the distributions, and allocations of Realized Losses or Applied Realized Loss
Amounts, as applicable, made on such Distribution Date, separately identifying any reduction thereof due to allocations of Realized Losses or Applied Realized Loss Amounts;
(xiv) the Accrued Certificate Interest in respect of each Class of Certificates for such Distribution Date and any related Cap Carryover Amounts, and the respective portions thereof, if any, remaining unpaid following the distributions made in respect of such Certificates on such Distribution Date;
(xv) the aggregate amount of any Prepayment Interest Shortfalls for such Distribution Date, to the extent not covered by payments by the Servicer pursuant to Section 3.23;
(xvi) the Cap Carryover Amounts distributed on such Distribution Date, the amounts remaining after giving effect to distributions thereof on such Distribution Date and the amount of all Cap Carryover Amounts covered by withdrawals from the Cap Carryover Reserve Account;
(xvii) for the distribution occurring on the Distribution Date immediately following the end of the Funding Period, the balance on deposit in the Group 1 Pre-Funding Account and/or the Group 2 Pre-Funding Account that has not been used to purchase Subsequent Group 1 Mortgage Loans and/or Subsequent Group 2 Mortgage Loans, as applicable, and that is being distributed to the related Class A Certificates as a mandatory distribution of principal, if any, on such Distribution Date.
(xviii) any Overcollateralization Deficiency after giving effect to the distribution of principal on such Distribution Date;
(xix) whether a Trigger Event has occurred and is continuing, and the cumulative Realized Losses, as a percentage of the original Pool Balance;
(xx) | the Available Funds; |
(xxi) the rate at which interest accrues for each Class of Certificates for such Distribution Date;
(xxii) the information contained in the Liquidation Report for such Distribution Date;
(xxiii) the aggregate Principal Balance of Mortgage Loans purchased by the Servicer, the Originator or the Seller during the related Prepayment Period and indicating the section of this Agreement requiring or allowing the purchase of each such Mortgage Loan;
(xxiv) | the amount of the Credit Risk Manager Fee paid; |
(xxv) the Mortgage Loan identifying number of each Mortgage Loan with a Prepayment Charge that was the subject of a Principal Prepayment in full during the related Collection Period, the Prepayment Charge listed on each related Mortgage Note and the
Prepayment Charge collected, the Servicer Prepayment Charge Payment Amount paid by the Servicer or the Originator Prepayment Charge Payment Amount paid by the Originator with respect to each such Mortgage Loan;
(xxvi) the amount of Subsequent Recoveries received during the related Prepayment Period;
(xxvii) | the amount of any Net Swap Payments or Swap Termination Payments. |
The Trustee may fully rely upon and shall have no liability with respect to information with respect to the Mortgage Loans provided by the Servicer.
In the case of information furnished pursuant to subclauses (i), (ii) and (xiii) above, the amounts shall be expressed in a separate section of the report as a dollar amount for each Class for each $1,000 original dollar amount as of the Cut-off Date.
(b) Within a reasonable period of time after the end of each calendar year, the Trustee shall furnish to the NIMS Insurer and each Person who at any time during the calendar year was a Certificateholder of a Regular Certificate, if requested in writing by such Person, such information as is reasonably necessary to provide to such Person a statement containing the information set forth in subclauses (i), (ii), (xiv) and (xvii) above, aggregated for such calendar year or applicable portion thereof during which such Person was a Certificateholder. Such obligation of the Trustee shall be deemed to have been satisfied to the extent that substantially comparable information shall be prepared and furnished by the Trustee to Certificateholders pursuant to any requirements of the Code as are in force from time to time.
(c) On each Distribution Date, the Trustee shall forward to each Residual Certificateholder a copy of the reports forwarded to the Regular Certificateholders in respect of such Distribution Date with such other information as the Trustee deems necessary or appropriate. Such obligation of the Trustee shall be deemed to have been satisfied to the extent that substantially comparable information shall be prepared and furnished to a Residual Certificateholder by the Trustee pursuant to any requirements of the Code as from time to time in force.
Section 4.07 | Remittance Reports; Advances. |
(a) On the third Business Day following each Determination Date but in no event later than the 20th day of each month (or if such 20th day is not a Business Day, the preceding Business Day), the Servicer shall deliver to the Trustee and the NIMS Insurer by telecopy (or by such other means as the Servicer, the NIMS Insurer and the Trustee may agree from time to time) a Remittance Report with respect to the related Distribution Date. On the same date, the Servicer shall electronically forward to the Trustee in such medium as may be agreed between the Servicer and the Trustee the information set forth in such Remittance Report with respect to the related Distribution Date and such information reasonably available to the Servicer necessary in order for the Trustee to perform the calculations necessary to make the distributions and allocations contemplated by Section 4.01, 4.02 and 4.03 and to prepare the
Distribution Date Statement. The Trustee shall not be responsible to recompute, recalculate or verify any information provided to it by the Servicer.
(b) The amount of Advances to be made by the Servicer for any Distribution Date shall equal, subject to Section 4.07(d), the sum of (i) the aggregate amount of Monthly Payments (net of the related Servicing Fee), due during the related Collection Period in respect of the Mortgage Loans, other than Balloon Payments, which Monthly Payments were delinquent on a contractual basis as of the close of business on the related Determination Date and (ii) with respect to each REO Property, which REO Property was acquired during or prior to the related Collection Period and as to which REO Property an REO Disposition did not occur during the related Collection Period, an amount equal to the excess, if any, of the REO Imputed Interest on such REO Property for such Collection Period, over the net income from such REO Property transferred to the Distribution Account pursuant to Section 3.13 for distribution on such Distribution Date.
On or before 1:00 p.m. New York time on the Servicer Remittance Date, the Servicer shall remit in immediately available funds to the Trustee for deposit in the Distribution Account an amount equal to the aggregate amount of Advances, if any, to be made in respect of the Mortgage Loans for the related Distribution Date either (i) from its own funds or (ii) from the Collection Account, to the extent of funds held therein for future distribution (in which case it will cause to be made an appropriate entry in the records of the Collection Account that amounts held for future distribution have been, as permitted by this Section 4.07, used by the Servicer in discharge of any such Advance) or (iii) in the form of any combination of (i) and (ii) aggregating the total amount of Advances to be made by the Servicer with respect to the Mortgage Loans. Any amounts held for future distribution and so used shall be appropriately reflected in the Servicer’s records and replaced by the Servicer by deposit in the Collection Account on or before any future Servicer Remittance Date to the extent that the Available Funds for the related Distribution Date (determined without regard to Advances to be made on the Servicer Remittance Date) shall be less than the total amount that would be distributed to the Classes of Certificateholders pursuant to Section 4.01 and 4.02 on such Distribution Date if such amounts held for future distributions had not been so used to make Advances. The Trustee will provide notice to the Servicer and NIMS Insurer by telecopy by the close of business on any Servicer Remittance Date in the event that the amount remitted by the Servicer to the Trustee on such date is less than the Advances required to be made by the Servicer for the related Distribution Date, as set forth in the related Remittance Report.
(c) The obligation of the Servicer to make such Advances is mandatory, notwithstanding any other provision of this Agreement but subject to (d) below, and, with respect to any Mortgage Loan, shall continue until the earlier of such time as the Trust acquires title to the related Mortgaged Property or such Mortgage Loan is paid in full by the Mortgagor or disposed of by the Trust, or until the recovery of all Liquidation Proceeds thereon.
(d) Notwithstanding anything herein to the contrary, no Advance or Servicing Advance shall be required to be made hereunder by the Servicer if such Advance would, if made, constitute a Nonrecoverable Advance. The determination by the Servicer that it has made a Nonrecoverable Advance or that any proposed Advance, if made, would constitute a
Nonrecoverable Advance, shall be evidenced by an Officers’ Certificate of the Servicer delivered to the Depositor, the NIMS Insurer and the Trustee. The Trustee shall be entitled to conclusively rely upon any such determination by the Servicer.
Section 4.08 | REMIC Distributions. |
(a) On each Distribution Date, the Trustee shall cause in the following order of priority, the following amounts to be distributed by REMIC 1 to REMIC 2 on account of the REMIC 1 Regular Interests or withdrawn from the Distribution Account and distributed to the Holders of the Class R Certificates (in respect of the Class R-1 Interest), as the case may be:
With respect to the Group 1 Mortgage Loans:
(i) to the Holders of REMIC Regular Interest I, REMIC 1 Regular Interest I-PF and REMIC 1 Regular Interest P in an amount equal to (A) the Uncertificated Interest for each REMIC 1 Regular Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Dates;
(ii) to the Holders of REMIC 1 Regular Interest P, on the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the Prepayment Charge Schedule or any Distribution Date thereafter until $100 has been distributed pursuant to this clause; and
(iii) to the Holders of REMIC 1 Regular Interest I and REMIC 1 Regular Interest I-PF, in an amount equal to the remainder of the Available Funds for such Distribution Date after the distributions made pursuant to clause (i) above, allocated as follows:
(a) to the Holders of REMIC 1 Regular Interest I, until the Uncertificated Balance of REMIC 1 Regular Interest I is reduced to zero;
(b) to the Holders of REMIC 1 Regular Interest I-PF, until the Uncertificated Balance of REMIC 1 Regular Interest I-PF is reduced to zero; and
(c) any remaining amount to the Holders of the Class R Certificates (in respect of the Class R-I Interest);
provided, however, that for the first three Distribution Dates, such amounts relating to the Initial Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest I and such amounts relating to the Subsequent Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest I-PF.
With respect to the Group 2 Mortgage Loans:
(i) to the Holders of REMIC Regular Interest II, REMIC 1 Regular Interest II-PF and REMIC 1 Regular Interest P in an amount equal to (A) the Uncertificated
Interest for each REMIC 1 Regular Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Dates;
(ii) to the Holders of REMIC 1 Regular Interest P, on the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the Prepayment Charge Schedule or any Distribution Date thereafter until $100 has been distributed pursuant to this clause; and
(iii) to the Holders of REMIC 1 Regular Interest II and REMIC 1 Regular Interest II-PF, in an amount equal to the remainder of the Available Funds for such Distribution Date after the distributions made pursuant to clause (i) above, allocated as follows:
(a) to the Holders of REMIC 1 Regular Interest II, until the Uncertificated Balance of REMIC 1 Regular Interest II is reduced to zero;
(b) to the Holders of REMIC 1 Regular Interest II-PF, until the Uncertificated Balance of REMIC 1 Regular Interest II-PF is reduced to zero; and
(c) any remaining amount to the Holders of the Class R Certificates (in respect of the Class R-1 Interest);
provided, however, that for the first three Distribution Dates, such amounts relating to the Initial Group 2 Mortgage Loans shall be allocated to REMIC 1 Regular Interest II and such amounts relating to the Subsequent Group 2 Mortgage Loans shall be allocated to REMIC 1 Regular Interest II-PF.
(b) On each Distribution Date, the Trustee shall cause in the following order of priority, the following amounts to be distributed by REMIC 2 to REMIC 3 on account of the REMIC 1 Regular Interests or withdrawn from the Distribution Account and distributed to the Holders of the Class R Certificates (in respect of the Class R-2 Interest), as the case may be:
(A) | to Holders of each of REMIC 2 Regular Interest I, REMIC I Regular Interest P and REMIC 2 Regular Interest I-1-A through I-50-B, pro rata, in an amount equal to (A) Uncertificated Accrued Interest for such REMIC 2 Regular Interests for such Distribution Date, plus (B) any amounts payable in respect thereof remaining unpaid from previous Distribution Dates; |
(B) | to the extent of amounts remaining after the distributions made pursuant to clause (i) above, payments of principal shall be allocated as follows: first, to REMIC 2 Regular Interest I until the Uncertificated Balance is reduced to zero and second, to REMIC 2 Regular interests I-1-A through I-50-B starting with the lowest numerical denomination until the Uncertificated Balance of each such REMIC 2 Regular Interest is reduced to zero, provided that, for REMIC 2 Regular Interests with the same numerical denomination, such payments of principal shall be allocated pro rata between such REMIC 2 Regular Interests, and second, to the extent of the |
product of (a) any Overcollateralization Release Amounts multiplied by (b) a fraction, the numerator of which is the aggregate Scheduled Principal Balance of the Group 1 Mortgage Loans and the denominator of which is the aggregate Scheduled Principal Balance of the Mortgage Loans, to REMIC 2 Regular Interest I until the Uncertificated Balance of such REMIC 2 Regular Interest is reduced to zero; and
(C) | to the Holders of REMIC 2 Regular Interest P, (A) on each Distribution Date, 100% of the amount paid in respect of Prepayment Charges and (B) on the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the Prepayment Charge Schedule or any Distribution Date thereafter until $100 has been distributed pursuant to this clause. |
(2) On each Distribution Date, the Trustee shall cause the Available Distribution Amount with respect to the Group 2 Loans, in the following order of priority, to be distributed by REMIC 2 to REMIC 3 on account of the REMIC 2 Group 2 Regular Interests or withdrawn from the Certificate Account and distributed to the Holders of the Class R Certificates (in respect of the Class R-2 Interest), as the case may be:
(A) | to Holders of each of REMIC 2 Regular Interest II and REMIC 2 Regular Interest II-1-A through II-50-B, pro rata, in an amount equal to (A) Uncertificated Accrued Interest for such REMIC 2 Regular Interests for such Distribution Date, plus (B) any amounts payable in respect thereof remaining unpaid from previous Distribution Dates; |
(B) | to the extent of amounts remaining after the distributions made pursuant to clause (i) above, payments of principal shall be allocated as follows: first, to REMIC 2 Regular Interest II until the Uncertificated Balance is reduced to zero and second, to REMIC 2 Regular interests II-1-A through II-103-B starting with the lowest numerical denomination until the Uncertificated Balance of each such REMIC 2 Regular Interest is reduced to zero, provided that, for REMIC 2 Regular Interests with the same numerical denomination, such payments of principal shall be allocated pro rata between such REMIC 2 Regular Interests, and second, to the extent of the product of (a) any Overcollateralization Release Amounts multiplied by (b) a fraction, the numerator of which is the aggregate Scheduled Principal Balance of the Group 2 Mortgage Loans and the denominator of which is the aggregate Scheduled Principal Balance of the Mortgage Loans, to REMIC 2 Regular Interest II until the Uncertificated Balance of such REMIC 2 Regular Interest is reduced to zero; and |
(C) | to the Holders of REMIC 2 Regular Interest P, on each Distribution Date, 100% of the amount paid in respect of Prepayment Charges. |
(c) On each Distribution Date, the Trustee shall cause in the following order of priority, the following amounts to be distributed by REMIC 3 to REMIC 4 on account of the REMIC 1 Regular Interests or withdrawn from the Distribution Account and distributed to the Holders of the Class R Certificates (in respect of the Class R-3 Interest), as the case may be:
(i) to the Holders of REMIC 3 Regular Interest LTIO, in an amount equal to Uncertificated Accrued Interest for such REMIC 3 Regular Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Datesto Holders of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1, REMIC 3 Regular Interest LTB2, REMIC 3 Regular Interest LTZZ and REMIC 3 Regular Interest LTP, pro rata, in an amount equal to (A) the Uncertificated Accrued Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Dates. Amounts payable as Uncertificated Accrued Interest in respect of REMIC 3 Regular Interest LTZZ shall be reduced and deferred when the REMIC 3 Overcollateralized Amount is less than the REMIC 3 Overcollateralization Target Amount, by the lesser of (x) the amount of such difference and (y) the Maximum LTZZ Uncertificated Accrued Interest Deferral Amount and such amount will be payable to the Holders of REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1 and REMIC 3 Regular Interest LTB2 in the same proportion as the Overcollateralization Deficiency is allocated to the Corresponding Certificates and REMIC 3 Regular Interest LTZZ shall be increased by such amount;
(ii) to Holders of REMIC 1 Regular Interest LTSUB, REMIC 1 Regular Interest LTGRP, REMIC 1 Regular Interest LT2SUB, REMIC 1 Regular Interest LT2GRP and REMIC 1 Regular Interest LTXX, pro rata, in an amount equal to (A) the Uncertificated Accrued Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Dates;
(iii) to the Holders of REMIC 3 Regular Interests, in an amount equal to the remainder of the REMIC 3 Marker Allocation Percentage of Available Funds for such Distribution Date after the distributions made pursuant to clause (i) above, allocated as follows:
(1) to REMIC 3 Regular Interest LTAA, 98.00% of such remainder, until the Uncertificated Balance of such Uncertificated REMIC 3 Regular Interest is reduced to zero;
(2) to REMIC 3 Regular Interest LTA1, REMIC 3 Regular Interest LTA2A, REMIC 3 Regular Interest LTA2B, REMIC 3 Regular Interest LTA2C, REMIC 3 Regular Interest LTA2D, REMIC 3 Regular Interest LTA2MZ, REMIC 3 Regular Interest LTM1, REMIC 3 Regular Interest LTM2, REMIC 3 Regular Interest LTM3, REMIC 3 Regular Interest LTM4, REMIC 3 Regular Interest LTM5, REMIC 3 Regular Interest LTM6, REMIC 3 Regular Interest LTM7, REMIC 3 Regular Interest LTM8, REMIC 3 Regular Interest LTM9, REMIC 3 Regular Interest LTM10, REMIC 3 Regular Interest LTM11, REMIC 3 Regular Interest LTM12, REMIC 3 Regular Interest LTB1 and REMIC 3 Regular Interest LTB2, 1.00% of such remainder, in the same proportion as principal payments are allocated to the Corresponding Certificates, until the Uncertificated Balances of such REMIC 3 Regular Interests are reduced to zero; then
(3) to REMIC 3 Regular Interest LTZZ, 1.00% of such remainder, until the Uncertificated Balance of such REMIC 3 Regular Interest is reduced to zero;
provided, however, that (i) 98.00% and (ii) 2.00% of any principal payments that are attributable to an Aggregate Overcollateralization Release Amount shall be allocated to (i) REMIC 3 Regular Interest LTAA and (ii) REMIC 3 Regular Interest LTZZ, respectively; and
(iv) to the Holders of REMIC 3 Regular Interests, in an amount equal to the REMIC 3 Sub WAC Allocation Percentage of Available Funds for such Distribution Date after the distributions made pursuant to clause (i) above, such that distributions of principal shall be deemed to be made to the REMIC 3 Regular Interests first, so as to keep the Uncertificated Balance of each REMIC 3 Regular Interest ending with the designation “GRP” equal to 0.01% of the aggregate Principal Balance of the Mortgage Loans in the related group of Mortgage Loans; second, to each REMIC 3 Regular Interest ending with the designation “SUB,” so that the Uncertificated Balance of each such REMIC 3 Regular Interest is equal to 0.01% of the excess of (x) the aggregate Principal Balance of the Mortgage Loans in the related group of Mortgage Loans over (y) the aggregate current Certificate Principal Balance of the Class A Certificates in the related group of Mortgage Loans (except that if any such excess is a larger number than in the preceding distribution period, the least amount of principal shall be distributed to such REMIC 1 Regular Interests such that the REMIC 3 Subordinated Balance Ratio is maintained); and third, any remaining principal to REMIC 3 Regular Interest LTXX.
(d) | The Trustee shall cause the following allocation of losses: |
(i) The aggregate amount of any Prepayment Interest Shortfalls and the aggregate amount of any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans for any Distribution Date shall be allocated first, (a) with respect to the Group 1 Mortgage Loans, to REMIC 1 Regular Interest I and REMIC 1 Regular Interest I-PF, in each case to the extent of one month’s interest at the then applicable respective Uncertificated REMIC 1 Pass-Through Rate on the respective Uncertificated Balance of each such REMIC 1 Regular Interest; provided, however, with respect to the first three Distribution Dates, such amounts relating to the Initial Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest I and such amounts relating to the Subsequent Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest I-PF and (b) with respect to the Group 2 Mortgage Loans, to REMIC 1 Regular Interest II and REMIC 1 Regular Interest II-PF, in each case to the extent of one month’s interest at the then applicable respective Uncertificated REMIC 1 Pass-Through Rate on the respective Uncertificated Balance of each such REMIC 1 Regular Interest; provided, however, with respect to the first three Distribution Dates, such amounts relating to the Initial Group 2 Mortgage Loans shall be allocated to REMIC 1 Regular Interest II and such amounts relating to the Subsequent Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest II-PF.
(ii) The aggregate amount of any Prepayment Interest Shortfalls and the aggregate amount of any Relief Act Interest Shortfalls incurred in respect of the Loan Group 1 for any Distribution Date shall be allocated first, REMIC 2 Regular Interest I and to the REMIC 2 Group I Regular Interests ending with the designation “B”, pro rata based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 2 Pass-Through Rates on the respective Uncertificated Balances of each such REMIC 2 Regular Interest , and then, to REMIC 2 Group I Regular Interests ending with the designation “A”, pro rata based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 2 Pass-Through Rates on the respective Uncertificated Balances of each such REMIC 2 Regular Interest. The aggregate amount of any Prepayment Interest Shortfalls and the aggregate amount of any Relief Act Interest Shortfalls incurred in respect of the Loan Group 2 for any Distribution Date shall be allocated first,, REMIC 2 Regular Interest II and to the REMIC 2 Group II Regular Interests ending with the designation “B”, pro rata based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 2 Pass-Through Rates on the respective Uncertificated Balances of each such REMIC 2 Regular Interest , and then, to REMIC 2 Group II Regular Interests ending with the designation “A”, pro rata based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 2 Pass-Through Rates on the respective Uncertificated Balances of each such REMIC 2 Regular Interest.
(iii) The REMIC 3 Marker Allocation Percentage of the aggregate amount of any Prepayment Interest Shortfalls and the REMIC 3 Marker Allocation Percentage of the aggregate amount of any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans for any Distribution Date shall be allocated among REMIC 1 Regular Interest LTAA, REMIC 1 Regular Interest LTA1, REMIC 1 Regular Interest LTA2A, REMIC 1 Regular Interest LTA2B, REMIC 1 Regular Interest LTA2C, REMIC 1 Regular Interest LTA2D, REMIC 1 Regular Interest LTM1, REMIC 1 Regular Interest LTM2, REMIC 1 Regular
Interest LTM3, REMIC 1 Regular Interest LTM4, REMIC 1 Regular Interest LTM5, REMIC 1 Regular Interest LTM6, REMIC 1 Regular Interest LTM7, REMIC 1 Regular Interest LTM8, REMIC 1 Regular Interest LTM9, REMIC 1 Regular Interest LTM10, REMIC 1 Regular Interest LTM11, REMIC 1 Regular Interest LTB1, REMIC 1 Regular Interest LTB2 and REMIC 1 Regular Interest LTZZ pro rata based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 1 Pass-Through Rate on the respective Uncertificated Balance of each such REMIC 1 Regular Interest;
(iv) The REMIC 3 Sub WAC Allocation Percentage of the aggregate amount of any Prepayment Interest Shortfalls and the REMIC 3 Sub WAC Allocation Percentage of the aggregate amount of any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans for any Distribution Date shall be allocated first, to Uncertificated Accrued Interest payable to REMIC 3 Regular Interest LTSUB, REMIC 1 Regular Interest LTGRP, REMIC 1 Regular Interest LT2SUB, REMIC 3 Regular Interest LT2GRP and REMIC 1 Regular Interest LTXX, pro rata based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 3 Pass-Through Rate on the respective Uncertificated Balance of each such REMIC 3 Regular Interest;
(v) With respect to the REMIC 1 Regular Interests, all Realized Losses on the Group 1 Loans shall be allocated shall be allocated by the Trustee on each Distribution Date first to REMIC 1 Regular Interest I and REMIC 1 Regular Interest I-PF, until the Uncertificated Balance of each such REMIC 1 Regular Interest has been reduced to zero; provided however, with respect to the first two Distribution Dates, all Realized Losses on the Initial Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest I, until the Uncertificated Balance thereof has been reduced to zero, and all Realized Losses on the Subsequent Group 1 Mortgage Loans shall be allocated to REMIC 1 Regular Interest I-PF until the Uncertificated Balance thereof has been reduced to zero.
All Realized Losses on the Group 2 Mortgage Loans shall be allocated by the Trustee on each Distribution Date, first to REMIC 1 Regular Interest II and REMIC 1 Regular Interest II-PF, until the Uncertificated Balance of each such REMIC 1 Regular Interest has been reduced to zero; provided however, with respect to the first two Distribution Dates, all Realized Losses on the Initial Group 2 Mortgage Loans shall be allocated to REMIC 1 Regular Interest II, until the Uncertificated Balance thereof has been reduced to zero, and all Realized Losses on the Subsequent Group 2 Mortgage Loans shall be allocated to REMIC 1 Regular Interest II-PF until the Uncertificated Balance thereof has been reduced to zero.
(vi) With respect to the REMIC 2 Regular Interests, all Realized Losses on the Group 1 Loans shall be allocated shall be allocated by the Trustee on each Distribution Date first, to REMIC 2 Regular Interest I until the Uncertificated Balance has been reduced to zero, and second, to REMIC 2 Regular Interest I-1-A through REMIC 2 Regular Interest I-50-B, starting with the lowest numerical denomination until such REMIC 2 Regular Interest has been reduced to zero, provided that, for REMIC 2 Regular Interests with the same numerical denomination, such Realized Losses shall be allocated pro rata between such REMIC 2 Regular Interests. All Realized Losses on the Group 2 Loans shall be allocated on each Distribution Date first, to REMIC 2 Regular Interest II until the Uncertificated Balance
has been reduced to zero, and second, to REMIC 2 Regular Interest II-1-A through REMIC 2 Regular Interest II-50-B, starting with the lowest numerical denomination until such REMIC 2 Regular Interest has been reduced to zero, provided that, for REMIC 2 Regular Interests with the same numerical denomination, such Realized Losses shall be allocated pro rata between such REMIC 2 Regular Interests.
(vii) The REMIC 1 Marker Allocation Percentage of all Realized Losses on the Mortgage Loans shall be allocated by the Trustee on each Distribution Date to the following REMIC 3 Regular Interests in the specified percentages, as follows: first, to Uncertificated Accrued Interest payable to REMIC 3 Regular Interest LTAA and REMIC 3 Regular Interest LTZZ up to an aggregate amount equal to the REMIC 3 Interest Loss Allocation Amount, 98% and 2%, respectively; second, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA and REMIC 3 Regular Interest LTZZ up to an aggregate amount equal to the REMIC 3 Principal Loss Allocation Amount, 98% and 2%, respectively; third, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTB2 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balance of REMIC 3 Regular Interest LTB2 has been reduced to zero, fourth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTB1 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balance of REMIC 3 Regular Interest LTB1 has been reduced to zero; fifth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM12 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balance of REMIC 3 Regular Interest LTM12 has been reduced to zero; sixth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM11 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balance of REMIC 3 Regular Interest LTM11 has been reduced to zero; seventh to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM10 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balance of REMIC 3 Regular Interest LTM10 has been reduced to zero; eighth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM9 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balance of REMIC 3 Regular Interest LTM9 has been reduced to zero; ninth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM8 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM8 has been reduced to zero; tenth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM7 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM7 has been reduced to zero; eleventh, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM6 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM6 has been reduced to zero; twelfth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM5 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM5 has been reduced to zero; thirteenth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM4 and REMIC 3 Regular Interest
LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM4 has been reduced to zero; fourteenth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM3 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM3 has been reduced to zero; fifteenth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM2 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM2 has been reduced to zero; sixteenth, to the Uncertificated Balances of REMIC 3 Regular Interest LTAA, REMIC 3 Regular Interest LTM1 and REMIC 3 Regular Interest LTZZ, 98%, 1% and 1%, respectively, until the Uncertificated Balances of REMIC 3 Regular Interest LTM1 has been reduced to zero; and
(viii) The REMIC 3 Sub WAC Allocation Percentage of all Realized Losses shall be applied after all distributions have been made on each Distribution Date first, so as to keep the Uncertificated Balance of each REMIC 3 Regular Interest ending with the designation “GRP” equal to 0.01% of the aggregate Stated Principal Balance of the Mortgage Loans in the related Loan Group; second, to each REMIC 3 Regular Interest ending with the designation “SUB,” so that the Uncertificated Balance of each such REMIC 3 Regular Interest is equal to 0.01% of the excess of (x) the aggregate Principal Balance of the Mortgage Loans in the related Loan Group over (y) the aggregate current Certificate Principal Balances of the Class A Certificates in the related group of Mortgage Loans (except that if any such excess is a larger number than in the preceding distribution period, the least amount of Realized Losses shall be applied to such REMIC 3 Regular Interests such that the REMIC 3 Subordinated Balance Ratio is maintained); and third, any remaining Realized Losses shall be allocated to REMIC 3 Regular Interest LTXX.
(e) Notwithstanding anything to the contrary contained herein, the above distributions in this Section 4.08 (other than on the Certificates) are deemed distributions, and distributions of funds from the Distribution Account shall be made only in accordance with Sections 4.01 and 4.02 hereof.
Section 4.09 | Swap Account. |
A separate trust is hereby established (the “Supplemental Interest Trust”), into which the Depositor shall deposit: (i) the Interest Rate Swap Agreement and (ii) $1,000. The Supplemental Interest Trust shall be maintained by the the Trustee. No later than the Closing Date, the Trustee shall establish and maintain a separate, segregated trust account to be held in the Supplemental Interest Trust, titled, “Wells Fargo Bank, N.A. as Trustee, in trust for the registered holders of ABFC Asset-Backed Certificates, Series 2005-WMC1—Swap Account.” Such account shall be an Eligible Account and funds on deposit therein shall be held separate and apart from, and shall not be commingled with, any other moneys, including, without limitation, other moneys of the Trustee held pursuant to this Agreement. Amounts therein shall be held uninvested.
On each Distribution Date, prior to any distribution to any Certificate, the Trustee shall deposit into the Swap Account: (i) the amount of any Net Swap Payment or Swap Termination Payment
(other than any Swap Termination Payment resulting from a Swap Provider Trigger Event) owed to the Swap Provider (after taking into account any upfront payment received from the counterparty to a replacement interest rate swap agreement) from funds collected and received with respect to the Mortgage Loans prior to the determination of Available Funds and (ii) amounts received by the Trustee, for distribution in accordance with subsection (d) below. For federal income tax purposes, any amounts paid to the Swap Provider on each Distribution Date shall first be deemed paid to the Swap Provider in respect of REMIC 7 Regular Interest Swap-IO to the extent of the amount distributable on REMIC 7 Regular Interest Swap-IO on such Distribution Date, and any remaining amount shall be deemed paid to the Swap Provider in respect of a Class IO Distribution Amount (as defined below). Any Swap Termination Payment triggered by a Swap Provider Trigger Event owed to the Swap Provider pursuant to the Interest Rate Swap Agreement will be subordinated to distributions to the Holders of the Class A Certificates, Class B Certificates, and Class M Certificates and shall be paid as set forth under Section 4.02(b)(xviii).
(a) For federal income tax purposes, the Swap Account shall be owned by the majority Holder of the Class CE Certificates.
(b) To the extent that the Supplemental Interest Trust is determined to be a separate legal entity from the Trustee, any obligation of the Trustee under the Interest Rate Swap Agreement shall be deemed to be an obligation of the Supplemental Interest Trust.
(c) The Trustee shall treat the Holders of Certificates (other than the Class P, Class CE and Residual Certificates) as having entered into a notional principal contract with respect to the Holders of the Class CE Certificates. Pursuant to each such notional principal contract, all Holders of Certificates (other than the Class P, Class CE and Residual Certificates) shall be treated as having agreed to pay, on each Distribution Date, to the Holder of the Class CE Certificates an aggregate amount equal to the excess, if any, of (i) the amount payable on such Distribution Date on the REMIC 4 Regular Interest corresponding to such Class of Certificates over (ii) the amount payable on such Class of Certificates on such Distribution Date (such excess, a “Class IO Distribution Amount”). A Class IO Distribution Amount payable from interest collections shall be allocated pro rata among such Certificates based on the excess of (a) the amount of interest otherwise payable to such Certificates over (ii) the amount of interest payable to such Certificates at a per annum rate equal to the applicable Cap, and a Class IO Distribution Amount payable from principal collections shall be allocated to the most subordinate Class of Certificates with an outstanding principal balance to the extent of such balance. In addition, pursuant to such notional principal contract, the Holder of the Class CE Certificates shall be treated as having agreed to pay Cap Carryover Amounts to the Holders of the Certificates (other than the Class CE, Class P and Residual Certificates) in accordance with the terms of this Agreement. Any payments to the Certificates from amounts deemed received in respect of this notional principal contract shall not be payments with respect to a Regular Interest in a REMIC within the meaning of Code Section 860G(a)(1). However, any payment from the Certificates (other than the Class CE, Class P and Residual Certificates) of a Class IO Distribution Amount shall be treated for tax purposes as having been received by the Holders of such Certificates in respect of their interests in REMIC 4 and as having been paid by such Holders to the Trustee pursuant to the notional principal contract. Thus, each Certificate (other
than the Class P and Residual Certificates) shall be treated as representing not only ownership of Regular Interests in REMIC 4, but also ownership of an interest in, and obligations with respect to, a notional principal contract.
Section 4.10 | Tax Treatment of Swap Payments and Swap Termination Payments. |
For federal income tax purposes, each holder of a Class A or Class M Certificate is deemed to own an undivided beneficial ownership interest in a REMIC regular interest and the right to receive payments from either the Cap Carryover Reserve Account or the Swap Account in respect of the Cap Carryover Amount or the obligation to make payments to the Swap Account. For federal income tax purposes, the Trustee will account for payments to each Class A and Class M Certificate as follows: each Class A and Class M Certificate will be treated as receiving their entire payment from REMIC 3 (regardless of any Swap Termination Paymen or obligation under the Interest Rate Swap Agreement) and subsequently paying their portion of any Swap Termination Payment in respect of each such Class’ obligation under the Interest Rate Swap Agreement. In the event that any such Class is resecuritized in a REMIC, the obligation under the Interest Rate Swap Agreement to pay any such Swap Termination Payment (or any shortfall in Swap Provider Fee), will be made by one or more of the REMIC Regular Interests issued by the resecuritization REMIC subsequent to such REMIC Regular Interest receiving its full payment from any such Class A or Class M Certificate. Resecuritization of any Class A or Class M Certificate in a REMIC will be permissible only if the Trustee hereunder is the trustee in such resecuritization.
(a) The REMIC regular interest corresponding to a Class A or Class M Certificate will be entitled to receive interest and principal payments at the times and in the amounts equal to those made on the certificate to which it corresponds, except that (i) the maximum interest rate of that REMIC regular interest will equal the applicable Cap computed for this purpose by limiting the Base Calculation Amount of the Interest Rate Swap Agreement to the aggregate Principal Balance of the Mortgage Loans and (ii) any Swap Termination Payment will be treated as being payable solely from Monthly Excess Cashflow. As a result of the foregoing, the amount of distributions and taxable income on the REMIC regular interest corresponding to a Class A or Class M Certificate may exceed the actual amount of distributions on the Class A or Clas M Certificate.
Section 4.11 | Pre-Funding Accounts. |
(b) No later than the Closing Date, the Trustee shall establish and maintain two segregated trust accounts that are each Eligible Accounts, which shall be titled “Group 1 Pre-Funding Account, Wells Fargo Bank, N.A., as trustee for the registered holders of Wells Fargo Bank, N.A., as Trustee, in trust for the registered Holders of ABFC 2005-WMC1 Trust, ABFC Asset-Backed Certificates, Series 2005-WMC1” (the “Group 1 Pre-Funding Account”) and “Group 2 Pre-Funding Account, Wells Fargo Bank, N.A., as trustee for the registered Holders of ABFC 2005-WMC1 Trust, ABFC Asset-Backed Certificates, Series 2005-WMC1” (the “Group 2 Pre-Funding Account”). The Trustee shall, promptly upon receipt, deposit in the applicable Pre-Funding Account and retain therein the Original Group 1 Pre-Funded Amount and
the Original Group 2 Pre-Funded Amount, as applicable, remitted on the Closing Date to the Trustee by the Depositor. Funds deposited in the Pre-Funding Accounts shall be held in trust by the Trustee for the Certificateholders for the uses and purposes set forth herein.
(c) The Trustee will invest funds deposited in the Pre-Funding Accounts as directed by the Depositor in Eligible Investments with a maturity date (i) no later than the Business Day immediately preceding the date on which such funds are required to be withdrawn from such account pursuant to this Agreement, if a Person other than the Trustee or an Affiliate manages or advises such investment, (ii) no later than the date on which such funds are required to be withdrawn from such account pursuant to this Agreement, if the Trustee or an Affiliate manages or advises such investment or (iii) within one Business Day of the Trustee’s receipt thereof. For federal income tax purposes, the Depositor shall be the owner of the Pre-Funding Accounts and shall report all items of income, deduction, gain or loss arising therefrom. All income and gain realized from investment of funds deposited in the Group 1 Pre-Funding Account and the Group 2 Pre-Funding Account shall be transferred to the Depositor or its designee, as applicable, at the following times: (i) on the Business Day immediately preceding each Distribution Date, if a Person other than the Trustee or an Affiliate of the Trustee manages or advises such investment, or on each Distribution Date, if the Trustee or an Affiliate of the Trustee manages or advises such investment, (ii) on the Business Day immediately preceding each Subsequent Transfer Date, if a Person other than the Trustee or an Affiliate of the Trustee manages or advises such investment, or on each Subsequent Transfer Date, if the Trustee or an Affiliate of the Trustee manages or advises such investment or (iii) within one Business Day of the Trustee’s receipt thereof. The Depositor shall deposit in the Pre-Funding Accounts the amount of any net loss incurred in respect of any such Eligible Investment immediately upon realization of such loss without any right of reimbursement therefor. At no time will the Pre-Funding Accounts be assets of any REMIC created hereunder.
(d) Amounts on deposit in the Pre-Funding Accounts shall be withdrawn by the Trustee as follows:
(i) On any Subsequent Transfer Date, the Trustee shall withdraw from the Group 1 Pre-Funding Account or the Group 2 Pre-Funding Account, as applicable, an amount equal to 100% of the Stated Principal Balances of the Subsequent Group 1 Mortgage Loans or the Subsequent Group 2 Mortgage Loans, as applicable, transferred and assigned to the Trustee for deposit in the Mortgage Pool on such Subsequent Transfer Date and pay such amount to or upon the order of the Depositor upon satisfaction of the conditions set forth in Section 2.08 with respect to such transfer and assignment;
(ii) If the amount on deposit in the Pre-Funding Accounts (exclusive of investment income) has not been reduced to zero during the Funding Period, on the day immediately following the termination of the Funding Period, the Trustee shall deposit into the Distribution Account any amounts remaining in the Pre-Funding Accounts (exclusive of investment income) for distribution in accordance with the terms hereof;
(iii) To withdraw any amount not required to be deposited in the Pre-Funding Accounts or deposited therein in error; and
(iv) To clear and terminate the Pre-Funding Accounts upon the earlier to occur of (A) the Distribution Date immediately following the end of the Funding Period and (B) the termination of this Agreement, with any amounts remaining on deposit therein being paid to the Holders of the Certificates then entitled to distributions in respect of principal.
Withdrawals pursuant to clauses (i), (ii) and (iii) shall be treated as contributions of cash to REMIC 1 on the date of withdrawal.
ARTICLE V
THE CERTIFICATES
Section 5.01 | The Certificates. |
Each of the Class A-1, Class A-2A, Class A-2B, Class A-2C, Class A-2D, Class A-2MZ, Class M-1, Class M-2, Class M-3, Class M-4, Class M-5, Class M-6, Class M-7, Class M-8, Class M-9, Class M-10, Class M-11, Class M-12, Class B-1, Class B-2, Class CE, Class P, Class R and Class R-X Certificates shall be substantially in the forms annexed hereto as exhibits, and shall, on original issue, be executed by the Trustee and authenticated and delivered by the Certificate Registrar to or upon the receipt of a Written Order to Authenticate from the Depositor concurrently with the sale and assignment to the Trustee of the Trust Fund. Each Class of the Floating Rate Certificates and Class CE Certificates shall be initially evidenced by one or more Certificates representing a Percentage Interest with a minimum dollar denomination of $25,000 and integral multiples of $1 in excess thereof; provided, however provided that the Offered Certificates must be purchased in minimum total investments of $100,000 per class. The Class P Certificates are issuable only in minimum Percentage Interests of 10%. Each Residual Certificate is issuable only as a single certificate.
The Certificates shall be executed on behalf of the Trust by manual or facsimile signature on behalf of the Trustee by a Responsible Officer. Certificates bearing the manual or facsimile signatures of individuals who were, at the time when such signatures were affixed, authorized to sign on behalf of the Trustee shall bind the Trust, notwithstanding that such individuals or any of them have ceased to be so authorized prior to the authentication and delivery of such Certificates or did not hold such offices at the date of such Certificate. No Certificate shall be entitled to any benefit under this Agreement or be valid for any purpose, unless such Certificate shall have been manually authenticated by the Certificate Registrar substantially in the form provided for herein, and such authentication upon any Certificate shall be conclusive evidence, and the only evidence, that such Certificate has been duly authenticated and delivered hereunder. All Certificates shall be dated the date of their authentication. Subject to Section 5.02(c), the Floating Rate Certificates shall be Book-Entry Certificates. The Class CE, Class P and Residual Certificates shall not be Book-Entry Certificates but shall be issued in fully registered certificate form.
Section 5.02 | Registration of Transfer and Exchange of Certificates. |
(a) The Certificate Registrar shall cause to be kept at the Corporate Trust Office of the Trustee a Certificate Register in which, subject to such reasonable regulations as it may prescribe, the Certificate Registrar shall provide for the registration of Certificates and of transfers and exchanges of Certificates as herein provided. The Trustee shall initially serve as Certificate Registrar for the purpose of registering Certificates and transfers and exchanges of Certificates as herein provided. The Trustee as Certificate Registrar shall be subject to the same standards of care, limitations on liability and rights to indemnity as the Trustee, and the provisions of Sections 8.01, 8.02, 8.03, 8.04, 8.05, 8.14, 8.15 and 8.16 shall apply to the Certificate Registrar to the same extent as they apply to the Trustee. Any Certificate Registrar
appointed in accordance with this Section 5.02(a) may at any time resign by giving at least 30 days’ advance written notice of resignation to the Trustee, the Servicer and the Depositor, such resignation to become effective upon appointment of a successor Certificate Registrar.
Upon surrender for registration of transfer of any Certificate at any office or agency of the Certificate Registrar maintained for such purpose pursuant to the foregoing paragraph and, in the case of the Residual Certificates, upon satisfaction of the conditions set forth below, the Trustee on behalf of the Trust shall execute and the Certificate Registrar shall authenticate and deliver, in the name of the designated transferee or transferees, one or more new Certificates of the same aggregate Percentage Interest.
At the option of the Certificateholders, Certificates may be exchanged for other Certificates in authorized denominations and the same aggregate Percentage Interests, upon surrender of the Certificates to be exchanged at any such office or agency. Whenever any Certificates are so surrendered for exchange, the Trustee shall execute on behalf of the Trust and the Certificate Registrar shall authenticate and deliver the Certificates which the Certificateholder making the exchange is entitled to receive. Every Certificate presented or surrendered for registration of transfer or exchange shall (if so required by the Trustee or the Certificate Registrar) be duly endorsed by, or be accompanied by a written instrument of transfer satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder thereof or his attorney duly authorized in writing.
(b) Upon original issuance, the Book-Entry Certificates shall be issued in the form of one or more typewritten certificates, to be delivered to the Depository, the initial Depository, by, or on behalf of, the Depositor; or to, and deposited with the Trustee, on behalf of the Depository, if directed to do so pursuant to instructions from the Depository. Except as provided in paragraph (c) below, the Book-Entry Certificates shall at all times remain registered in the name of the Depository or its nominee and at all times: (i) registration of such Certificates may not be transferred by the Trustee except to another Depository; (ii) the Depository shall maintain book-entry records with respect to the Certificate Owners and with respect to ownership and transfers of such Certificates; (iii) ownership and transfers of registration of such Certificates on the books of the Depository shall be governed by applicable rules established by the Depository; (iv) the Depository may collect its usual and customary fees, charges and expenses from its Depository Participants; (v) the Trustee shall for all purposes deal with the Depository as representative of the Certificate Owners of the Certificates for purposes of exercising the rights of Holders under this Agreement, and requests and directions for and votes of such representative shall not be deemed to be inconsistent if they are made with respect to different Certificate Owners; (vi) the Trustee may rely and shall be fully protected in relying upon information furnished by the Depository with respect to its Depository Participants and furnished by the Depository Participants with respect to indirect participating firms and Persons shown on the books of such indirect participating firms as direct or indirect Certificate Owners; and (vii) the direct participants of the Depository shall have no rights under this Agreement under or with respect to any of the Certificates held on their behalf by the Depository, and the Depository may be treated by the Trustee and its agents, employees, officers and directors as the absolute owner of the Certificates for all purposes whatsoever.
All transfers by Certificate Owners of Book-Entry Certificates shall be made in accordance with the procedures established by the Depository Participant or brokerage firm representing such Certificate Owners. Each Depository Participant shall only transfer Book-Entry Certificates of Certificate Owners that it represents or of brokerage firms for which it acts as agent in accordance with the Depository’s normal procedures. The parties hereto are hereby authorized to execute a Letter of Representations with the Depository or take such other action as may be necessary or desirable to register a Book-Entry Certificate to the Depository. In the event of any conflict between the terms of any such Letter of Representation and this Agreement, the terms of this Agreement shall control.
(c) If the Depository advises the Trustee in writing that the Depository is no longer willing or able to discharge properly its responsibilities as Depository and the Trustee or the Depositor is unable to locate a qualified successor. Upon surrender to the Certificate Registrar of the Book-Entry Certificates by the Depository, accompanied by registration instructions from the Depository for registration, the Trustee shall, at the Trust’s expense, execute on behalf of the Trust and the Certificate Registrar shall authenticate definitive, fully registered certificates (the “Definitive Certificates”). None of the Depositor or the Trustee shall be liable for any delay in delivery of such instructions and may conclusively rely on, and shall be protected in relying on, such instructions. Upon the issuance of Definitive Certificates, the Trustee, the Certificate Registrar, the Servicer, any Paying Agent and the Depositor shall recognize the Holders of the Definitive Certificates as Certificateholders hereunder.
(d) No transfer, sale, pledge or other disposition of any Private Certificate shall be made unless such disposition is exempt from the registration requirements of the Securities Act of 1933, as amended (the “1933 Act”), and any applicable state securities laws or is made in accordance with the 1933 Act and laws. In the event of any such transfer (other than in connection with (i) the initial transfer of any such Certificate by the Depositor to an Affiliate of the Depositor or, in the case of the Class R-X Certificates, the first transfer by an Affiliate of the Depositor, (ii) the transfer of any such Class CE, Class P or Residual Certificate to the issuer under the Indenture or the indenture trustee under the Indenture or (iii) a transfer of any such Class CE, Class P or Residual Certificate from the issuer under the Indenture or the indenture trustee under the Indenture to the Depositor or an Affiliate of the Depositor) (i) unless such transfer is made in reliance upon Rule 144A (as evidenced by the investment letter delivered to the Certificate Registrar, in substantially the form attached hereto as Exhibit J-2) under the 1933 Act, the Certificate Registrar and the Depositor shall require a written Opinion of Counsel (which may be in-house counsel) acceptable to and in form and substance reasonably satisfactory to the Certificate Registrar and the Depositor that such transfer may be made pursuant to an exemption, describing the applicable exemption and the basis therefor, from the 1933 Act or is being made pursuant to the 1933 Act, which Opinion of Counsel shall not be an expense of the Certificate Registrar or the Depositor or (ii) the Certificate Registrar shall require the transferor to execute a transferor certificate (in substantially the form attached hereto as Exhibit L) and the transferee to execute an investment letter (in substantially the form attached hereto as Exhibit J-1 or J-2 (in the case of the Class P, Class CE or Residual Certificate) or in the form of Exhibit J-2 (in the case of Class B-1 and Class B-2 Certificates)) acceptable to and in form and substance reasonably satisfactory to the Depositor and the Certificate Registrar certifying to the Depositor and the Certificate Registrar the facts surrounding such transfer, which investment letter shall not
be an expense of the Certificate Registrar or the Depositor. The Holder of a Private Certificate desiring to effect such transfer shall, and does hereby agree to, indemnify the Certificate Registrar and the Depositor against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws. For purposes of clause (ii) of this Section 5.02(d) the representations required in any transferor certificate (substantially in the form of Exhibit L hereto) and any investment letter (substantially in the form of Exhibit J-2 hereto) shall be deemed to have made in connection with the transfer of any Private Certificate that is a Book-Entry Certificate.
No transfer of an ERISA-Restricted Certificate shall be made unless the Certificate Registrar shall have received either (i) a representation from the transferee of such Certificate, acceptable to and in form and substance satisfactory to the Certificate Registrar and the Depositor (such requirement is satisfied only by the Certificate Registrar’s receipt of a representation letter from the transferee substantially in the form of Exhibit I hereto, as appropriate), to the effect that such transferee is not an employee benefit plan or arrangement subject to Section 406 of ERISA, a plan subject to Section 4975 of the Code or a plan subject to any federal, state or local law (“Similar Law”) materially similar to the foregoing provisions of ERISA or the Code, nor a person acting on behalf of any such plan or arrangement nor using the assets of any such plan or arrangement to effect such transfer, (ii) (except in the case of the Residual Certificates) in the case of any such ERISA Restricted Certificate presented for registration in the name of an employee benefit plan subject to ERISA or a plan or arrangement subject to Section 4975 of the Code (or comparable provisions of any subsequent enactments), or a trustee of any such plan or any other person acting on behalf of any such plan or arrangement or using such plan’s or arrangement’s assets, an Opinion of Counsel satisfactory to the Certificate Registrar, to the effect that the purchase or holding of such ERISA Restricted Certificate will not constitute or result in a non-exempt prohibited transaction within the meaning of ERISA, Section 4975 of the Code or Similar Law and will not subject the Depositor, the Servicer, the Trustee, the NIMS Insurer or the Certificate Registrar to any obligation in addition to those expressly undertaken in this Agreement or to any liability or (iii) in the case of a Class B-1 or Class B-2 Certificate (A) it is an insurance company, (B) the source of funds used to purchase the Certificate is an “insurance company general account” (as such term is defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 (“PTE 95-60”), (C) there is no Plan with respect to which the amount of such general account’s reserves and liabilities for the contract(s) held by or on behalf of such Plan and all other Plans maintained by the same employer (or affiliate thereof as defined in Section V(a)(1) of PTE 95-60) or by the same employee organization exceeds 10% of the total of all reserves and liabilities of such general account (as such amounts are determined under Section I(a) of PTE 95-60) at the date of acquisition and (D) all Plans that have an interest in such general account are Plans to which PTE 95-60 applies. Neither a certification nor an Opinion of Counsel will be required in connection with (i) the initial transfer of any such Certificate by the Depositor to an Affiliate of the Depositor, (ii) the transfer of any such Class CE, Class P or Residual Certificate to the issuer under the Indenture or the indenture trustee under the Indenture or (iii) a transfer of any such Class CE, Class P or Residual Certificate from the issuer under the Indenture or the indenture trustee under the Indenture to the Depositor or an Affiliate of the Depositor (in which case, the Depositor or any Affiliate thereof shall have deemed to have represented that such Affiliate is not a Plan or a Person investing Plan Assets) and the Trustee shall be entitled to conclusively
rely upon a representation (which, upon the request of the Trustee, shall be a written representation) from the Depositor of the status of such transferee as an affiliate of the Depositor. For purposes of clause (i) of the preceding sentence, such representation shall be deemed to have been made to the Certificate Registrar by the acceptance by a Certificate Owner of the beneficial interest in any such Class of ERISA-Restricted Certificates, unless the Certificate Registrar shall have received from the transferee an alternative representation acceptable in form and substance to the Depositor. Notwithstanding anything else to the contrary herein, any purported transfer of an ERISA-Restricted Certificate to or on behalf of an employee benefit plan subject to ERISA, Section 4975 of the Code or Similar Law without the delivery to the Certificate Registrar of an Opinion of Counsel satisfactory to the Certificate Registrar as described above shall be void and of no effect.
For so long as the Supplemental Interest Trust is in existence, each beneficial owner of a Class A or Class M Certificate or any interest therein, shall be deemed to have represented, by virtue of its acquisition or holding of the offered certificate, or interest therein, that either (i) it is not a Plan or (ii) (A) it is an accredited investor within the meaning of the Exemption and (B) the acquisition and holding of such certificate and the separate right to receive payments from the Supplemental Interest Trust are eligible for the exemptive relief available under one Department of Labor Prohibited Transaction Class Exemption 84-14 (for transactions by independent “qualified professional asset managers”), 91-38 (for transactions by bank collective investment funds), 90-1 (for transactions by insurance company pooled separate accounts), 95-60 (for transactions by insurance company general accounts) or 96-23 (for transactions effected by “in-house asset managers”).
Following termination of the Supplemental Interest Trust, each beneficial owner of a Class M Certificate or any interest therein will be deemed to have represented, by virtue of its acquisition or holding of that certificate or interest therein, that either (i) it is not a plan investor, (ii) it has acquired and is holding such Certificates in reliance on the Exemption, and that it understands that there are certain conditions to the availability of the Exemption, including that the Certificates must be rated, at the time of purchase, not lower than “BBB-” (or its equivalent) by Moody’s, S&P or Fitch or (iii) (1) it is an insurance company, (2) the source of funds used to acquire or hold the certificate or interest therein is an “insurance company general account,” as such term is defined in PTCE 95-60, and (3) the conditions in Sections I and III of PTCE 95-60 have been satisfied.
Each Person who has or who acquires any Ownership Interest in a Residual Certificate shall be deemed by the acceptance or acquisition of such Ownership Interest to have agreed to be bound by the following provisions and to have irrevocably appointed the Depositor or its designee as its attorney-in-fact to negotiate the terms of any mandatory sale under clause (v) below and to execute all instruments of transfer and to do all other things necessary in connection with any such sale, and the rights of each Person acquiring any Ownership Interest in a Residual Certificate are expressly subject to the following provisions:
(i) Each Person holding or acquiring any Ownership Interest in a Residual Certificate shall be a Permitted Transferee and shall promptly notify the Certificate Registrar of any change or impending change in its status as a Permitted Transferee.
(ii) No Person shall acquire an Ownership Interest in a Residual Certificate unless such Ownership Interest is a pro rata undivided interest.
(iii) In connection with any proposed transfer of any Ownership Interest in a Residual Certificate, the Certificate Registrar shall as a condition to registration of the transfer, require delivery to it, in form and substance satisfactory to it, of each of the following:
A. an affidavit in the form of Exhibit K hereto from the proposed transferee to the effect that, among other things, such transferee is a Permitted Transferee and that it is not acquiring its Ownership Interest in a Residual Certificate that is the subject of the proposed transfer as a nominee, trustee or agent for any Person who is not a Permitted Transferee; and
B. a covenant of the proposed transferee to the effect that the proposed transferee agrees to be bound by and to abide by the transfer restrictions applicable to Residual Certificates.
(iv) Any attempted or purported transfer of any Ownership Interest in a Residual Certificate in violation of the provisions of this Section shall be absolutely null and void and shall vest no rights in the purported transferee. If any purported transferee shall, in violation of the provisions of this Section, become the Holder of a Residual Certificate, then the prior Holder of such Residual Certificate that is a Permitted Transferee shall, upon discovery that the registration of transfer of such Residual Certificate was not in fact permitted by this Section, be restored to all rights as Holder thereof retroactive to the date of registration of transfer of such Residual Certificate. The Certificate Registrar shall be under no liability to any Person for any registration of transfer of a Residual Certificate that is in fact not permitted by this Section or for making any distributions due on such Residual Certificate to the Holder thereof or taking any other action with respect to such Holder under the provisions of this Agreement so long as the Certificate Registrar received the documents specified in clause (iii). The Trustee shall be entitled to recover from any Holder of a Residual Certificate that was in fact not a Permitted Transferee at the time such distributions were made all distributions made on such Residual Certificate. Any such distributions so recovered by the Trustee shall be distributed and delivered by the Trustee to the prior Holder of such Residual Certificate that is a Permitted Transferee.
(v) If any Person other than a Disqualified Organization acquires any Ownership Interest in a Residual Certificate in violation of the restrictions in this Section, then the Certificate Registrar shall have the right but not the obligation, without notice to the Holder of such Residual Certificate or any other Person having an Ownership Interest therein, to notify the Depositor to arrange for the sale of such Residual Certificate. The proceeds of such sale, net of commissions (which may include commissions payable to the Depositor or its affiliates in connection with such sale), expenses and taxes due, if any, will be remitted by the Trustee to the previous Holder of such Residual Certificate that is a Permitted Transferee, except that in the event that the Trustee determines that the Holder of such Residual Certificate may be liable for any amount due under this Section or any other provisions of this Agreement, the Trustee may withhold a corresponding amount from such
remittance as security for such claim. The terms and conditions of any sale under this clause (v) shall be determined in the sole discretion of the Trustee and it shall not be liable to any Person having an Ownership Interest in such Residual Certificate as a result of its exercise of such discretion.
(vi) If any Person other than a Permitted Transferee acquires any Ownership Interest in a Residual Certificate in violation of the restrictions in this Section, then the Trustee will provide to the Internal Revenue Service, and to the persons specified in Sections 860E(e)(3) and (6) of the Code, information needed to compute the tax imposed under Section 860E(e)(5) of the Code on transfers of residual interests to disqualified organizations. The Trustee shall be entitled to reasonable compensation for providing such information from the person to whom it is provided.
The foregoing provisions of this Section shall cease to apply to transfers occurring on or after the date on which there shall have been delivered to the Certificate Registrar, in form and substance satisfactory to the Certificate Registrar, (i) written notification from each Rating Agency that the removal of the restrictions on Transfer set forth in this Section will not cause such Rating Agency to downgrade its rating of the Certificates and (ii) an Opinion of Counsel to the effect that such removal will not cause any REMIC created hereunder to fail to qualify as a REMIC.
(e) No service charge shall be made for any registration of transfer or exchange of Certificates of any Class, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
All Certificates surrendered for registration of transfer or exchange shall be cancelled by the Certificate Registrar and disposed of pursuant to its standard procedures.
Section 5.03 | Mutilated, Destroyed, Lost or Stolen Certificates. |
If (i) any mutilated Certificate is surrendered to the Certificate Registrar or the Certificate Registrar receives evidence to its satisfaction of the destruction, loss or theft of any Certificate and (ii) there is delivered to the Trustee, the Depositor, the NIMS Insurer and the Certificate Registrar such security or indemnity as may be required by them to save each of them harmless, then, in the absence of notice to the Trustee or the Certificate Registrar that such Certificate has been acquired by a bona fide purchaser, the Trustee shall execute on behalf of the Trust, and the Certificate Registrar shall authenticate and deliver, in exchange for or in lieu of any such mutilated, destroyed, lost or stolen Certificate, a new Certificate of like tenor and Percentage Interest. Upon the issuance of any new Certificate under this Section, the Trustee or the Certificate Registrar may require the payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in relation thereto and any other expenses (including the fees and expenses of the Trustee and the Certificate Registrar) in connection therewith. Any duplicate Certificate issued pursuant to this Section, shall constitute complete and indefeasible evidence of ownership in the Trust, as if originally issued, whether or not the lost, stolen or destroyed Certificate shall be found at any time.
Section 5.04 | Persons Deemed Owners. |
The Servicer, the Depositor, the NIMS Insurer, the Trustee, the Certificate Registrar, any Paying Agent and any agent of the Servicer, the Depositor, the NIMS Insurer, the Certificate Registrar, any Paying Agent or the Trustee may treat the Person, including a Depository, in whose name any Certificate is registered as the owner of such Certificate for the purpose of receiving distributions pursuant to Section 4.01 and 4.02 and for all other purposes whatsoever, and none of the Servicer, the Trust, the NIMS Insurer, the Trustee nor any agent of any of them shall be affected by notice to the contrary.
Section 5.05 | Appointment of Paying Agent. |
The Paying Agent shall make distributions to Certificateholders from the Distribution Account pursuant to Section 4.01 and 4.02 and shall report the amounts of such distributions to the Trustee. The duties of the Paying Agent may include the obligation to distribute statements and provide information to Certificateholders as required hereunder. The Paying Agent hereunder shall at all times be an entity duly incorporated and validly existing under the laws of the United States of America or any state thereof, authorized under such laws to exercise corporate trust powers and subject to supervision or examination by federal or state authorities. The Paying Agent shall initially be the Trustee. The Trustee may appoint a successor to act as Paying Agent, which appointment shall be reasonably satisfactory to the Depositor, the NIMS Insurer and the Rating Agencies. The Trustee as Paying Agent shall be subject to the same standards of care, limitations on liability and rights to indemnity as the Trustee, and the provisions of Sections 8.01, 8.02, 8.03, 8.04, 8.05, 8.14, 8.15 and 8.16 shall apply to the Paying Agent to the same extent as they apply to the Trustee. Any Paying Agent appointed in accordance with this Section 5.05 may at any time resign by giving at least 30 days’ advance written notice of resignation to the Trustee, the Servicer, the NIMS Insurer and the Depositor, such resignation to become effective upon appointment of a successor Paying Agent.
ARTICLE VI
THE SERVICER AND THE DEPOSITOR
Section 6.01 | Liability of the Servicer and the Depositor. |
The Servicer shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by the Servicer herein. The Depositor shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by the Depositor.
Section 6.02 Merger or Consolidation of, or Assumption of the Obligations of, the Servicer or the Depositor.
Any entity into which the Servicer or the Depositor may be merged or consolidated, or any entity resulting from any merger, conversion or consolidation to which the Servicer or the Depositor shall be a party, or any corporation succeeding to the business of the
Servicer or the Depositor, shall be the successor of the Servicer or the Depositor, as the case may be, hereunder, without the execution or filing of any paper or any further act on the part of any of the parties hereto, anything herein to the contrary notwithstanding; provided, however, that the successor servicer shall satisfy all the requirements of Section 7.02 with respect to the qualifications of a successor servicer.
Section 6.03 | Limitation on Liability of the Servicer and Others. |
Neither the Servicer nor any of the directors or officers or employees or agents of the Servicer shall be under any liability to the Trust or the Certificateholders for any action taken or for refraining from the taking of any action by the Servicer in good faith pursuant to this Agreement, or for errors in judgment; provided, however, that this provision shall not protect the Servicer or any such Person against any liability which would otherwise be imposed by reason of its willful misfeasance, bad faith or negligence in the performance of duties of the Servicer or by reason of its reckless disregard of its obligations and duties of the Servicer hereunder; provided, further, that this provision shall not be construed to entitle the Servicer to indemnity in the event that amounts advanced by the Servicer to retire any senior lien exceed Liquidation Proceeds (in excess of related liquidation expenses) realized with respect to the related Mortgage Loan. The Servicer and any director or officer or employee or agent of the Servicer may rely in good faith on any document of any kind prima facie properly executed and submitted by any Person respecting any matters arising hereunder. The Servicer and any director or officer or employee or agent of the Servicer shall be indemnified by the Trust and held harmless against any loss, liability or expense incurred in connection with any legal action relating to this Agreement or the Certificates, other than any loss, liability or expense incurred by reason of its willful misfeasance, bad faith or negligence in the performance of duties hereunder or by reason of its reckless disregard of obligations and duties hereunder. The Servicer shall not be under any obligation to appear in, prosecute or defend any legal action unless such action is related to its duties under this Agreement; provided however, that the Servicer may in its discretion undertake any such action which it may deem necessary or desirable in respect of this Agreement, and the rights and duties of the parties hereto and the interests of the Certificateholders hereunder. In such event, the reasonable legal expenses and costs of such action and any liability resulting therefrom shall be expenses, costs and liabilities of the Trust and the Servicer shall be entitled to pay such expenses from the proceeds of the Trust or to be reimbursed therefor pursuant to Section 3.05 upon presentation to the Trustee of documentation of such expenses, costs and liabilities. The Servicer’s right to indemnity or reimbursement pursuant to this Section shall survive any resignation or termination of the Servicer pursuant to Section 6.04 or 7.01 with respect to any losses, expenses, costs or liabilities arising prior to such resignation or termination (or arising from events that occurred prior to such resignation or termination). This paragraph shall apply to the Servicer solely in its capacity as Servicer hereunder and in no other capacities.
Section 6.04 | Servicer Not to Resign. |
Subject to the provisions of Section 7.01 and Section 6.02, the Servicer shall not resign from the obligations and duties hereby imposed on it except (i) upon determination that the performance of its obligations or duties hereunder are no longer permissible under applicable law or are in material conflict by reason of applicable law with any other activities carried on by
it or its subsidiaries or Affiliates, the other activities of the Servicer so causing such a conflict being of a type and nature carried on by the Servicer or its subsidiaries or Affiliates at the date of this Agreement or (ii) upon satisfaction of the following conditions: (a) the Servicer has proposed a successor servicer to the Trustee and the NIMS Insurer in writing and such proposed successor servicer is reasonably acceptable to the Trustee and the NIMS Insurer; and (b) each Rating Agency shall have delivered a letter to the Trustee and the NIMS Insurer prior to the appointment of the successor servicer stating that the proposed appointment of such successor servicer as Servicer hereunder will not result in the reduction or withdrawal of the then current rating of the Regular Certificates or the ratings that are in effect; provided, however, that no such resignation by the Servicer shall become effective until such successor servicer or, in the case of (i) above, the Trustee shall have assumed the Servicer’s responsibilities and obligations hereunder or the Trustee shall have designated a successor servicer in accordance with Section 7.02. Any such resignation shall not relieve the Servicer of responsibility for any of the obligations specified in Sections 7.01 and 7.02 as obligations that survive the resignation or termination of the Servicer. Any such determination permitting the resignation of the Servicer shall be evidenced by an Opinion of Counsel to such effect delivered to the Trustee and the NIMS Insurer.
Section 6.05 | Delegation of Duties. |
(a) In the ordinary course of business, the Servicer at any time may delegate any of its duties hereunder to any Person, including any of its Affiliates, who agrees to conduct such duties in accordance with standards comparable to those set forth in Section 3.01. Such delegation shall not relieve the Servicer of its liabilities and responsibilities with respect to such duties and shall not constitute a resignation within the meaning of Section 6.04. The Servicer shall provide the Trustee, the NIMS Insurer and the Rating Agencies with 60 days prior written notice prior to the delegation of any of its duties to any Person other than any of the Servicer’s Affiliates or their respective successors and assigns.
(b) The Servicer is hereby authorized, with the consent of the NIMS Insurer, such consent not to be unreasonably withheld and without consent of any other party, to enter into a financing or other facility (any such arrangement, an “Advance Facility”) under which (1) the Servicer assigns or pledges to another Person (together with such Person’s successors and assigns, an “Advancing Person”) the Servicer’s rights under this Agreement to be reimbursed for any Advances or Servicing Advances and/or (2) an Advancing Person agrees to fund some or all Advances and/or Servicing Advances required to be made by the Servicer pursuant to this Agreement. The Servicer shall notify each other party to this Agreement prior to or promptly after entering into or terminating any Advance Facility. Notwithstanding the existence of any Advance Facility under which an Advancing Person agrees to fund Advances and/or Servicing Advances on the Servicer’s behalf, the Servicer shall remain obligated pursuant to this Agreement to make Advances and Servicing Advances pursuant to and as required by this Agreement. If the Servicer enters into an Advance Facility, and for so long as an Advancing Person remains entitled to receive reimbursement for any Advances and/or Servicing Advances, as applicable, pursuant to this Agreement, then the Servicer shall not be permitted to reimburse itself for Advances and/or Servicing Advances, but instead the Servicer shall be required to remit amounts collected that would otherwise be retained by the Servicer to reimburse it for the
amount of previously unreimbursed Advances (“Advance Reimbursements”) and/or previously unreimbursed Servicing Advances (“Servicing Advance Reimbursements” and together with Advance Reimbursements, “Reimbursements”) (in each case to the extent such type of Reimbursements are included in the Advance Facility) in accordance with the documentation establishing the Advance Facility to such Advancing Person or to a trustee, agent or custodian (an “Advance Facility Trustee”) designated by such Advancing Person. Notwithstanding anything to the contrary herein, in no event shall Advance Reimbursements or Servicing Advance Reimbursements be included in the “Available Funds” or distributed to Certificateholders. If the terms of a facility proposed to be entered into with an Advancing Person by the Servicer would not materially and adversely affect the interests of any Certificateholder, then the NIMS Insurer shall not withhold its consent to the Servicer’s entering such facility.
Reimbursements shall consist solely of amounts in respect of Advances and/or Servicing Advances made with respect to the Mortgage Loans for which the Servicer would be permitted to reimburse itself in accordance with this Agreement, assuming the Servicer had made the related Advance(s) and/or Servicing Advance(s). Notwithstanding the foregoing, no Person shall be entitled to reimbursement from funds held in the Collection Account for future distribution to Certificateholders pursuant to this Agreement. None of the Depositor or the Trustee shall have any duty or liability with respect to the calculation or payment of any Reimbursements, nor shall the Depositor or the Trustee have any responsibility to track or monitor the administration of the Advance Facility or the payment of Reimbursements to the related Advancing Person or Advance Facility Trustee. The Servicer shall maintain and provide to any successor servicer and (upon request) the Trustee a detailed accounting on a loan by loan basis as to amounts advanced by, pledged or assigned to, and reimbursed to any Advancing Person. The successor servicer shall be entitled to rely on any such information provided by the predecessor servicer, and the successor servicer shall not be liable for any errors in such information.
An Advancing Person who receives an assignment or pledge of the rights to be reimbursed for Advances and/or Servicing Advances, and/or whose obligations hereunder are limited to the funding of Advances and/or Servicing Advances shall not be required to meet the criteria for qualification of a subservicer set forth in this Agreement.
The documentation establishing any Advance Facility shall require that reimbursements distributed with respect to each Mortgage Loan be allocated to outstanding unreimbursed Advances or Servicing Advances (as the case may be) made with respect to that Mortgage Loan on a “first in, first out” (FIFO) basis. Such documentation establishing any Advance Facility shall also require the Servicer to provide to the related Advancing Person or Advance Facility Trustee loan by loan information with respect to each Reimbursement distributed to such Advancing Person or Advance Facility Trustee on each Distribution Date to enable the Advancing Person or Advance Facility Trustee to make this FIFO allocation of each Reimbursement with respect to each Mortgage Loan. The Servicer shall remain entitled to be reimbursed by the Advancing Person or Advance Facility Trustee for all Advances and Servicing Advances funded by the Servicer to the extent the related rights to be reimbursed therefor have not been assigned or pledged to an Advancing Person.
The Servicer shall indemnify the Depositor, the Trustee, the NIMS Insurer, any successor servicer and the Trust Fund resulting from any claim by the related Advancing Person, except to the extent that such claim, loss, liability or damage resulted from or arose out of negligence, recklessness or willful misconduct on the part of the Depositor, the Trustee or any successor servicer.
Any amendment to this Section 6.05(b) or to any other provision of this Agreement that may be necessary or appropriate to effect the terms of an Advance Facility as described generally in this Section 6.05(b), including amendments to add provisions relating to a successor servicer, may be entered into by the Trustee, the Depositor and the Servicer without the consent of any Certificateholder but with the consent of the NIMS Insurer, provided such amendment complies with Section 11.01 hereof. All reasonable costs and expenses (including attorneys’ fees) of each party hereto of any such amendment shall be borne solely by the Servicer. Prior to entering into an Advance Facility, the Servicer shall notify the lender under such facility in writing that: (a) the Advances and/or Servicing Advances financed by and/or pledged to the lender are obligations owed to the Servicer on a non-recourse basis payable only from the cash flows and proceeds received under this Agreement for reimbursement of Advances and/or Servicing Advances only to the extent provided herein, and the Trustee and the Trust are not otherwise obligated or liable to repay any Advances and/or Servicing Advances financed by the lender; (b) the Servicer will be responsible for remitting to the lender the applicable amounts collected by it as reimbursement for Advances and/or Servicing Advances funded by the lender, subject to the restrictions and priorities created in this Agreement; and (c) the Trustee shall not have any responsibility to track or monitor the administration of the financing arrangement between the Servicer and the lender.
ARTICLE VII
DEFAULT
Section 7.01 | Servicer Events of Termination. |
(a) If any one of the following events (“Servicer Events of Termination”) shall occur and be continuing:
(i) (A) The failure by the Servicer to make any Advance or to pay Compensating Interest; or (B) any other failure by the Servicer to deposit in the Collection Account or remit to the Trustee for deposit in the Distribution Account any payment required to be made under the terms of this Agreement, which failure continues unremedied for a period of one Business Day after the first date on which (x) the Servicer has knowledge of such failure or (y) written notice of such failure is given to the Servicer; or
(ii) The failure by the Servicer to make any required Servicing Advance which failure continues unremedied for a period of 30 days, or the failure by the Servicer duly to observe or perform, in any material respect, any other covenants, obligations or agreements of the Servicer as set forth in this Agreement, which failure continues unremedied for a period of 30 days, after the date (A) on which written notice of such failure, requiring the same to be remedied, shall have been given to the Servicer by the Trustee or the NIMS Insurer or by any Holder of a Regular Certificate evidencing at least 25% of the Voting Rights or (B) actual knowledge of such failure by a Servicing Officer of the Servicer; or
(iii) The entry against the Servicer of a decree or order by a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a trustee, conservator, receiver or liquidator in any insolvency, conservatorship, receivership, readjustment of debt, marshalling of assets and liabilities or similar proceedings, or for the winding up or liquidation of its affairs, and the continuance of any such decree or order unstayed and in effect for a period of 60 days; or
(iv) The Servicer shall voluntarily go into liquidation, consent to the appointment of a conservator or receiver or liquidator or similar person in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings of or relating to the Servicer or of or relating to all or substantially all of its property; or a decree or order of a court or agency or supervisory authority having jurisdiction in the premises for the appointment of a conservator, receiver, liquidator or similar person in any insolvency, readjustment of debt, marshalling of assets and liabilities or similar proceedings, or for the winding-up or liquidation of its affairs, shall have been entered against the Servicer and such decree or order shall have remained in force undischarged, unbonded or unstayed for a period of 60 days; or the Servicer shall admit in writing its inability to pay its debts generally as they become due, file a petition to take advantage of any applicable insolvency or reorganization statute, make an assignment for the benefit of its creditors or voluntarily suspend payment of its obligations.
(b) Then, and in each and every such case, so long as a Servicer Event of Termination shall not have been remedied within the applicable grace period, (x) with respect solely to clause (i)(A) above, if such Advance is not made by 2:00 P.M., New York time, on the Business Day immediately following the Servicer Remittance Date, the Trustee may terminate all of the rights and obligations of the Servicer under this Agreement and the Trustee, or a successor servicer appointed in accordance with Section 7.02, shall immediately make such Advance and assume, pursuant to Section 7.02, the duties of a successor servicer and (y) in the case of (i)(B), (ii), (iii) and (iv) above, the Trustee shall, at the direction of the NIMS Insurer or Holders of each Class of Regular Certificates evidencing Percentage Interests aggregating not less than 51%, by notice then given in writing to the Servicer (and to the Trustee if given by Holders of Certificates), terminate all of the rights and obligations of the Servicer as servicer under this Agreement. Any such notice to the Servicer shall also be given to each Rating Agency, the NIMS Insurer and the Depositor. On or after the receipt by the Servicer (and by the Trustee if such notice is given by the Holders) of such written notice, all authority and power of the Servicer under this Agreement, whether with respect to the Certificates or the Mortgage Loans or otherwise, shall pass to and be vested in the Trustee pursuant to and under this Section or successor servicer appointed in connection with Section 7.02; and, without limitation, the Trustee or successor servicer is hereby authorized and empowered to execute and deliver, on behalf of the Servicer, as attorney-in-fact or otherwise, any and all documents and other instruments, and to do or accomplish all other acts or things necessary or appropriate to effect the purposes of such notice of termination, whether to complete the transfer and endorsement of each Mortgage Loan and Related Documents or otherwise. The Servicer agrees to cooperate with the Trustee (or the applicable successor servicer) in effecting the termination of the responsibilities and rights of the Servicer hereunder, including, without limitation, the delivery to the Trustee (or the applicable successor servicer) of all documents and records requested by it to enable it to assume the Servicer’s functions under this Agreement within ten Business Days subsequent to such notice, the transfer within one Business Day subsequent to such notice to the Trustee (or the applicable successor servicer) for the administration by it of all cash amounts that shall at the time be held by the Servicer and to be deposited by it in the Collection Account, the Distribution Account or any Escrow Account or that have been deposited by the Servicer in such accounts or thereafter received by the Servicer with respect to the Mortgage Loans or any REO Property received by the Servicer. All reasonable out-of-pocket costs and expenses (including attorneys’ fees) incurred in connection with transferring the servicing to the successor servicer and amending this Agreement to reflect such succession as Servicer pursuant to this Section shall be paid by the predecessor servicer (or if the predecessor servicer is the Trustee, the initial servicer) upon presentation of reasonable documentation of such costs and expenses, and if such predecessor Servicer defaults in its obligation to pay such costs, such costs shall be paid by the successor Servicer or the Trustee (in which case the successor Servicer or the Trustee shall be entitled to reimbursement therefor from the assets of the Trust).
Notwithstanding any termination of the activities of a Servicer hereunder, the Servicer shall be entitled to receive payment of all accrued and unpaid Servicing Fees and reimbursement for all outstanding Advances and Servicing Advances properly made prior to the date of termination.
Section 7.02 | Trustee to Act; Appointment of Successor. |
(a) Within 90 days of the time the Servicer (and the Trustee, if notice is sent by the Holders) receives a notice of termination pursuant to Section 7.01 or 6.04, the Trustee (or such other successor servicer as is approved in accordance with this Agreement) shall be the successor in all respects to the Servicer in its capacity as servicer under this Agreement and the transactions set forth or provided for herein and shall be subject to all the responsibilities, duties and liabilities relating thereto placed on the Servicer by the terms and provisions hereof arising on and after its succession. As compensation therefor, the Trustee (or such other successor servicer) shall be entitled to such compensation as the Servicer would have been entitled to hereunder if no such notice of termination had been given. Notwithstanding the above, (i) if the Trustee is unwilling to act as successor servicer or (ii) if the Trustee is legally unable so to act, the Trustee shall appoint or petition a court of competent jurisdiction to appoint, any established housing and home finance institution, bank or other mortgage loan or home equity loan servicer having a net worth of not less than $50,000,000 as the successor to the Servicer hereunder in the assumption of all or any part of the responsibilities, duties or liabilities of the Servicer hereunder; provided, that the appointment of any such successor servicer will not result in the qualification, reduction or withdrawal of the ratings assigned to the Certificates or the ratings that are in effect by the Rating Agencies as evidenced by a letter to such effect from the Rating Agencies and that, in the case of a successor servicer appointed by the Trustee, such successor servicer is reasonably acceptable to the NIMS Insurer. Pending appointment of a successor to the Servicer hereunder, unless the Trustee is prohibited by law from so acting, the Trustee shall act in such capacity as hereinabove provided. In connection with such appointment and assumption, the successor shall be entitled to receive compensation out of payments on Mortgage Loans in an amount equal to the compensation which the Servicer would otherwise have received pursuant to Section 3.18 (or such other compensation as the Trustee and such successor shall agree, not to exceed the Servicing Fee). The successor servicer shall be entitled to withdraw from the Collection Account all costs and expenses associated with the transfer of the servicing to the successor servicer, including costs and expenses of the Trustee. The appointment of a successor servicer shall not affect any liability of the predecessor servicer which may have arisen under this Agreement prior to its termination as Servicer to pay any deductible under an insurance policy pursuant to Section 3.11 or to indemnify the parties indicated in Section 3.26 pursuant to the terms thereof, nor shall any successor servicer be liable for any acts or omissions of the predecessor servicer or for any breach by such servicer of any of its representations or warranties contained herein or in any related document or agreement. The Trustee and such successor shall take such action, consistent with this Agreement, as shall be necessary to effectuate any such succession.
(b) Any successor, including the Trustee, to the Servicer as servicer shall during the term of its service as servicer continue to service and administer the Mortgage Loans for the benefit of Certificateholders, and maintain in force a policy or policies of insurance covering errors and omissions in the performance of its obligations as Servicer hereunder and a Fidelity Bond in respect of its officers, employees and agents to the same extent as the Servicer is so required pursuant to Section 3.12.
Section 7.03 | Waiver of Defaults. |
The Holders of Certificates entitled to at least 66 2/3% of the Voting Rights allocated to the Classes of Certificates affected by a Servicer Event of Termination may, on behalf of all Certificateholders, and with the consent of the NIMS Insurer, waive any events permitting removal of the Servicer as servicer pursuant to this Article VII, provided, however, that such Holders may not waive a default in making a required distribution on a Certificate without the consent of the Holder of such Certificate and the NIMS Insurer. Upon any waiver of a past default, such default shall cease to exist and any Servicer Event of Termination arising therefrom shall be deemed to have been remedied for every purpose of this Agreement. No such waiver shall extend to any subsequent or other default or impair any right consequent thereto except to the extent expressly so waived. Notice of any such waiver shall be given by the Trustee to the Rating Agencies.
Section 7.04 | Notification to Certificateholders. |
(a) On any termination or appointment of a successor to the Servicer pursuant to this Article VII or Section 6.04, the Trustee shall give prompt written notice thereof to the Certificateholders at their respective addresses appearing in the Certificate Register, the NIMS Insurer and each Rating Agency.
(b) No later than 60 days after the occurrence of any event which constitutes or which, with notice or a lapse of time or both, would constitute a Servicer Event of Termination for five Business Days after a Responsible Officer of the Trustee becomes aware of the occurrence of such an event, the Trustee shall transmit by mail to the NIMS Insurer and all Certificateholders notice of such occurrence unless such default or Servicer Event of Termination shall have been waived or cured. Such notice shall be given to the Rating Agencies promptly after any such occurrence.
Section 7.05 | Survivability of Servicer Liabilities. |
Notwithstanding anything herein to the contrary, upon termination of the Servicer hereunder, any liabilities of the Servicer which accrued prior to such termination shall survive such termination.
ARTICLE VIII
THE TRUSTEE
Section 8.01 | Duties of Trustee. |
The Trustee, prior to the occurrence of a Servicer Event of Termination of which a Responsible Officer of the Trustee shall have actual knowledge and after the curing of all Servicer Events of Termination which may have occurred, undertakes to perform such duties and only such duties as are specifically set forth in this Agreement. If a Servicer Event of Termination has occurred (which has not been cured) of which a Responsible Officer has actual knowledge, the Trustee shall exercise such of the rights and powers vested in it by this Agreement, and use the same degree of care and skill in their exercise, as a prudent person would exercise or use under the circumstances in the conduct of such person’s own affairs.
The Trustee, upon receipt of all resolutions, certificates, statements, opinions, reports, documents, orders or other instruments furnished to the Trustee which are specifically required to be furnished pursuant to any provision of this Agreement, shall examine them to determine whether they conform to the requirements of this Agreement; provided, however, that that the Trustee shall not be responsible for the accuracy or content of any resolution, certificate, statement, opinion, report, document, order or other instrument furnished by the Servicer, the Seller, the NIMS Insurer or the Depositor hereunder. If any such instrument is found not to conform in any material respect to the requirements of this Agreement, the Trustee shall notify the Certificateholders of such instrument in the event that the Trustee, after so requesting, does not receive a satisfactorily corrected instrument.
No provision of this Agreement shall be construed to relieve the Trustee from liability for its own negligent action, its own negligent failure to act or its own misconduct; provided, however, that:
(i) prior to the occurrence of a Servicer Event of Termination of which a Responsible Officer of the Trustee shall have actual knowledge, and after the curing of all such Servicer Events of Termination which may have occurred, the duties and obligations of the Trustee shall be determined solely by the express provisions of this Agreement, the Trustee shall not be liable except for the performance of such duties and obligations as are specifically set forth in this Agreement, no implied covenants or obligations shall be read into this Agreement against the Trustee and, in the absence of bad faith on the part of the Trustee, the Trustee may conclusively rely, as to the truth of the statements and the correctness of the opinions expressed therein, upon any certificates or opinions furnished to the Trustee and conforming to the requirements of this Agreement;
(ii) the Trustee shall not be personally liable for an error of judgment made in good faith by a Responsible Officer of the Trustee, unless it shall be proved that the Trustee was negligent in ascertaining or investigating the facts related thereto;
(iii) the Trustee shall not be personally liable with respect to any action taken, suffered or omitted to be taken by it in good faith in accordance with the direction of the NIMS Insurer or the Majority Certificateholders relating to the time, method and place of conducting any proceeding for any remedy available to the Trustee or exercising or omitting to exercise any trust or power conferred upon the Trustee under this Agreement; and
(iv) the Trustee shall not be charged with knowledge of any failure by the Servicer to comply with the obligations of the Servicer referred to in clauses (i) and (ii) of Section 7.01(a) or any Servicer Event of Termination unless a Responsible Officer of the Trustee at the Corporate Trust Office obtains actual knowledge of such failure or the Trustee receives written notice of such failure from the Servicer, the NIMS Insurer or the Majority Certificateholders. In the absence of such receipt of such notice, the Trustee may conclusively assume that there is no Servicer Event of Termination.
The Trustee shall not be required to expend or risk its own funds or otherwise incur financial liability in the performance of any of its duties hereunder, or in the exercise of any of its rights or powers, if there is reasonable ground for believing that the repayment of such funds or adequate indemnity against such risk or liability is not reasonably assured to it, and none of the provisions contained in this Agreement shall in any event require the Trustee to perform, or be responsible for the manner of performance of, any of the obligations of the Servicer under this Agreement, except during such time, if any, as the Trustee shall be the successor to, and be vested with the rights, duties, powers and privileges of, the Servicer in accordance with the terms of this Agreement.
The Trustee shall not have any duty (A) to see to any recording, filing, or depositing of this Agreement or any agreement referred to herein or any financing statement or continuation statement evidencing a security interest, or to see to the maintenance of any such recording or filing or depositing or to any rerecording, refiling or redepositing of any thereof, (B) to see to any insurance or (C) to see to the payment or discharge of any tax, assessment, or other governmental charge or any lien or encumbrance of any kind owing with respect to, assessed or levied against, any part of the Trust Fund other than from funds available in the Distribution Account.
Section 8.02 | Certain Matters Affecting the Trustee. | ||
(a) | Except as otherwise provided in Section 8.01: |
| |
(i) the Trustee may request and rely upon, and shall be protected in acting or refraining from acting upon, any resolution, Officer’s Certificate, certificate of auditors or any other certificate, statement, instrument, opinion, report, notice, request, consent, order, appraisal, bond or other paper or document reasonably believed by it to be genuine and to have been signed or presented by the proper party or parties;
(ii) the Trustee may consult with counsel and any advice or Opinion of Counsel shall be full and complete authorization and protection in respect of any action taken or suffered or omitted by it hereunder in good faith and in accordance with such advice or Opinion of Counsel;
(iii) the Trustee shall not be under any obligation to exercise any of the rights or powers vested in it by this Agreement, or to institute, conduct or defend any litigation hereunder or in relation hereto, at the request, order or direction of the Certificateholders or the NIMS Insurer pursuant to the provisions of this Agreement, unless such Certificateholders or the NIMS Insurer shall have offered to the Trustee reasonable security or indemnity against the costs, expenses and liabilities which may be incurred therein or thereby; the right of the Trustee to perform any discretionary act enumerated in this Agreement shall not be construed as a duty, and the Trustee shall not be answerable for other than its negligence or willful misconduct in the performance of any such act;
(iv) the Trustee shall not be personally liable for any action taken, suffered or omitted by it in good faith and believed by it to be authorized or within the discretion or rights or powers conferred upon it by this Agreement;
(v) prior to the occurrence of a Servicer Event of Termination and after the curing of all Servicer Events of Termination which may have occurred, the Trustee shall not be bound to make any investigation into the facts or matters stated in any resolution, certificate, statement, instrument, opinion, report, notice, request, consent, order, approval, bond or other paper or documents, unless requested in writing to do so by the Majority Certificateholders or the NIMS Insurer; provided, however, that if the payment within a reasonable time to the Trustee of the costs, expenses or liabilities likely to be incurred by it in the making of such investigation is, in the opinion of the Trustee, not reasonably assured to the Trustee by the security afforded to it by the terms of this Agreement, the Trustee may require reasonable indemnity against such cost, expense or liability as a condition to such proceeding. The reasonable expense of every such examination shall be paid by the Servicer or, if paid by the Trustee, shall be reimbursed by the Servicer upon demand. Nothing in this clause (v) shall derogate from the obligation of the Servicer to observe any applicable law prohibiting disclosure of information regarding the Mortgagors;
(vi) the Trustee shall not be accountable, have any liability or make any representation as to any acts or omissions hereunder of the Servicer until such time as the Trustee may be required to act as Servicer pursuant to Section 7.02;
(vii) the Trustee may execute any of the trusts or powers hereunder or perform any duties hereunder either directly or by or through agents or attorneys or a custodian and the Trustee shall not be responsible for any misconduct or negligence on the part of any such agent, attorney or custodian appointed by it with due care; and
(viii) the right of the Trustee to perform any discretionary act enumerated in this Agreement shall not be construed as a duty, and the Trustee shall not be answerable for other than its negligence or willful misconduct in the performance of such act.
Section 8.03 | Trustee Not Liable for Certificates or Mortgage Loans. |
The recitals contained herein and in the Certificates (other than the authentication of the Trustee on the Certificates) shall be taken as the statements of the Depositor, and the Trustee assumes no responsibility for the correctness of the same. The Trustee makes no
representations as to the validity or sufficiency of this Agreement or of the Certificates (other than the signature and authentication of the Trustee on the Certificates) or of any Mortgage Loan or Related Document. The Trustee shall not be accountable for the use or application by the Servicer, or for the use or application of any funds paid to the Servicer in respect of the Mortgage Loans or deposited in or withdrawn from the Collection Account by the Servicer. The Trustee shall not at any time have any responsibility or liability for or with respect to the legality, validity and enforceability of any Mortgage or any Mortgage Loan, or the perfection and priority of any Mortgage or the maintenance of any such perfection and priority, or for or with respect to the sufficiency of the Trust or its ability to generate the payments to be distributed to Certificateholders under this Agreement, including, without limitation: the existence, condition and ownership of any Mortgaged Property; the existence and enforceability of any hazard insurance thereon (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02); the validity of the assignment of any Mortgage Loan to the Trustee or of any intervening assignment; the completeness of any Mortgage Loan; the performance or enforcement of any Mortgage Loan (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02); the compliance by the Depositor or the Servicer with any warranty or representation made under this Agreement or in any related document or the accuracy of any such warranty or representation prior to the Trustee’s receipt of notice or other discovery of any non-compliance therewith or any breach thereof; any investment of monies by or at the direction of the Servicer or any loss resulting therefrom, it being understood that the Trustee shall remain responsible for any Trust property that it may hold in its individual capacity; the acts or omissions of any of the Servicer (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02), or any Mortgagor; any action of the Servicer (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02), taken in the name of the Trustee; the failure of the Servicer to act or perform any duties required of it as agent of the Trustee hereunder; or any action by the Trustee taken at the instruction of the Servicer (other than if the Trustee shall assume the duties of the Servicer pursuant to Section 7.02); provided, however, that the foregoing shall not relieve the Trustee of its obligation to perform its duties under this Agreement. The Trustee shall not have any responsibility for filing any financing or continuation statement in any public office at any time or to otherwise perfect or maintain the perfection of any security interest or lien granted to it hereunder.
Section 8.04 | Trustee May Own Certificates. |
The Trustee in its individual or any other capacity may become the owner or pledgee of Certificates with the same rights as it would have if it were not Trustee and may transact any banking and trust business with the Servicer, the Depositor or their Affiliates.
Section 8.05 | Trustee Expenses. |
The Trust shall reimburse the Trustee for all reasonable expenses, disbursements and advances incurred or made by the Trustee in accordance with any of the provisions of this Agreement (including the reasonable compensation and the expenses and disbursements of its counsel and of all persons not regularly in its employ) except any such expense, disbursement or advance as may arise from its negligence or bad faith or which is the responsibility of Certificateholders or the Trustee hereunder. In addition, the Trustee and its officers, directors,
employees and agents shall be indemnified by the Trust from, and held harmless against, any and all losses, liabilities, damages, claims or expenses incurred in connection with any legal action relating to this Agreement or the Certificates, other than any loss, liability or expense incurred by reason of willful misfeasance, bad faith or negligence of the Trustee in the performance of its duties hereunder or by reason of the Trustee’s reckless disregard of obligations and duties hereunder. This Section shall survive termination of this Agreement or the resignation or removal of any Trustee hereunder.
Section 8.06 | Eligibility Requirements for Trustee. |
The Trustee hereunder shall at all times be an entity duly organized and validly existing under the laws of the United States of America or any state thereof, authorized under such laws to exercise corporate trust powers, having a combined capital and surplus of at least $50,000,000 and a minimum long-term debt rating of BBB by Fitch and S&P and a long term debt rating of at least “Baa1” or better by Moody’s and subject to supervision or examination by federal or state authority. If such entity publishes reports of condition at least annually, pursuant to law or to the requirements of the aforesaid supervising or examining authority, then for the purposes of this Section 8.06, the combined capital and surplus of such entity shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published. The principal office of the Trustee (other than the initial Trustee) shall be in a state with respect to which an Opinion of Counsel has been delivered to such Trustee at the time such Trustee is appointed Trustee to the effect that the Trust will not be a taxable entity under the laws of such state. In case at any time the Trustee shall cease to be eligible in accordance with the provisions of this Section 8.06, the Trustee shall resign immediately in the manner and with the effect specified in Section 8.07.
Section 8.07 | Resignation or Removal of Trustee. |
The Trustee may at any time resign and be discharged from the trusts hereby created by giving written notice thereof to the Depositor, the Servicer, the NIMS Insurer and each Rating Agency. Upon receiving such notice of resignation, the Depositor shall promptly appoint a successor Trustee reasonably acceptable to the NIMS Insurer by written instrument, in duplicate, one copy of which instrument shall be delivered to the resigning Trustee and one copy to the successor Trustee. If no successor Trustee shall have been so appointed and having accepted appointment within 30 days after the giving of such notice of resignation, the resigning Trustee may petition any court of competent jurisdiction for the appointment of a successor Trustee.
If at any time the Trustee shall cease to be eligible in accordance with the provisions of Section 8.06 and shall fail to resign after written request therefor by the Depositor or the NIMS Insurer, or if at any time the Trustee shall be legally unable to act, or shall be adjudged a bankrupt or insolvent, or a receiver of the Trustee or of their property shall be appointed, or any public officer shall take charge or control of the Trustee or of their property or affairs for the purpose of rehabilitation, conservation or liquidation, then the Depositor or the NIMS Insurer may remove the Trustee. If the Depositor or the NIMS Insurer removes the Trustee under the authority of the immediately preceding sentence, the Depositor or the NIMS
Insurer, as the case may be, shall promptly appoint a successor Trustee (reasonably acceptable to the NIMS Insurer if appointed by the Depositor) by written instrument, in duplicate, one copy of which instrument shall be delivered to the Trustee so removed and one copy to the successor Trustee.
The Majority Certificateholders or the NIMS Insurer may at any time remove the Trustee by written instrument or instruments delivered to the Servicer, the Depositor, the NIMS Insurer and the Trustee; the Depositor shall thereupon use its best efforts to appoint a successor Trustee reasonably acceptable to the NIMS Insurer in accordance with this Section.
Any resignation or removal of the Trustee and appointment of a successor Trustee pursuant to any of the provisions of this Section 8.07 shall not become effective until acceptance of appointment by the successor Trustee as provided in Section 8.08.
Section 8.08 | Successor Trustee. |
Any successor Trustee appointed as provided in Section 8.07 shall execute, acknowledge and deliver to the Depositor, the NIMS Insurer, the Rating Agencies, the Servicer and to its predecessor Trustee an instrument accepting such appointment hereunder, and thereupon the resignation or removal of the predecessor Trustee shall become effective, and such successor Trustee, without any further act, deed or conveyance, shall become fully vested with all the rights, powers, duties and obligations of its predecessor hereunder, with like effect as if originally named as Trustee. The Depositor, the Servicer and the predecessor Trustee shall execute and deliver such instruments and do such other things as may reasonably be required for fully and certainly vesting and confirming in the successor Trustee all such rights, powers, duties and obligations.
No successor Trustee shall accept appointment as provided in this Section 8.08 unless at the time of such acceptance such successor Trustee shall be eligible under the provisions of Section 8.06 and the appointment of such successor Trustee shall not result in a downgrading of the Regular Certificates by either Rating Agency, as evidenced by a letter from each Rating Agency.
Upon acceptance of appointment by a successor Trustee as provided in this Section 8.08, the successor Trustee shall mail notice of the appointment of a successor Trustee hereunder to all Holders of Certificates at their addresses as shown in the Certificate Register and to each Rating Agency.
Section 8.09 | Merger or Consolidation of Trustee. |
Any entity into which the Trustee may be merged or converted or with which it may be consolidated, or any entity resulting from any merger, conversion or consolidation to which the Trustee shall be a party, or any entity succeeding to the business of the Trustee, shall be the successor of the hereunder, provided such entity shall be eligible under the provisions of Section 8.06 and 8.08, without the execution or filing of any paper or any further act on the part of any of the parties hereto, anything herein to the contrary notwithstanding.
Section 8.10 | Appointment of Co-Trustee or Separate Trustee. |
Notwithstanding any other provisions of this Agreement, at any time, for the purpose of meeting any legal requirements of any jurisdiction in which any part of the Trust or any Mortgaged Property may at the time be located, the Depositor and the Trustee acting jointly shall have the power and shall execute and deliver all instruments to appoint one or more Persons approved by the Trustee and the NIMS Insurer to act as co-trustee or co-trustees, jointly with the Trustee, or separate trustee or separate trustees, of all or any part of the Trust, and to vest in such Person or Persons, in such capacity and for the benefit of the Certificateholders, such title to the Trust, or any part thereof, and, subject to the other provisions of this Section 8.10, such powers, duties, obligations, rights and trusts as the Servicer and the Trustee may consider necessary or desirable. Any such co-trustee or separate trustee shall be subject to the written approval of the Servicer and the NIMS Insurer. If the Servicer and the NIMS Insurer shall not have joined in such appointment within 15 days after the receipt by it of a request so to do, or in the case a Servicer Event of Termination shall have occurred and be continuing, the Trustee alone shall have the power to make such appointment. No co-trustee or separate trustee hereunder shall be required to meet the terms of eligibility as a successor Trustee under Section 8.06, and no notice to Certificateholders of the appointment of any co-trustee or separate trustee shall be required under Section 8.08.
Every separate trustee and co-trustee shall, to the extent permitted by law, be appointed and act subject to the following provisions and conditions:
(i) all rights, powers, duties and obligations conferred or imposed upon the Trustee shall be conferred or imposed upon and exercised or performed by the Trustee and such separate trustee or co-trustee jointly (it being understood that such separate trustee or co-trustee is not authorized to act separately without the Trustee joining in such act), except to the extent that under any law of any jurisdiction in which any particular act or acts are to be performed (whether as Trustee hereunder or as successor to the Servicer hereunder), the Trustee shall be incompetent or unqualified to perform such act or acts, in which event such rights, powers, duties and obligations (including the holding of title to the Trust or any portion thereof in any such jurisdiction) shall be exercised and performed singly by such separate trustee or co-trustee, but solely at the direction of the Trustee;
(ii) no trustee hereunder shall be held personally liable by reason of any act or omission of any other trustee hereunder; and
(iii) the Servicer and the Trustee, acting jointly may at any time accept the resignation of or remove any separate trustee or co-trustee except that following the occurrence of a Servicer Event of Termination, the Trustee acting alone may accept the resignation or remove any separate trustee or co-trustee.
Any notice, request or other writing given to the Trustee shall be deemed to have been given to each of the then separate trustees and co-trustees, as effectively as if given to each of them. Every instrument appointing any separate trustee or co-trustee shall refer to this Agreement and the conditions of this Article VIII. Each separate trustee and co-trustee, upon its
acceptance of the trusts conferred, shall be vested with the estates or property specified in its instrument of appointment, either jointly with the Trustee or separately, as may be provided therein, subject to all the provisions of this Agreement, specifically including every provision of this Agreement relating to the conduct of, affecting the liability of, or affording protection to, the Trustee. Every such instrument shall be filed with the Trustee and a copy thereof given to the Depositor, the NIMS Insurer, the Rating Agencies and the Servicer.
Any separate trustee or co-trustee may, at any time, constitute the Trustee, its agent or attorney-in-fact, with full power and authority, to the extent not prohibited by law, to do any lawful act under or in respect of this Agreement on its behalf and in its name. If any separate trustee or co-trustee shall die, become incapable of acting, resign or be removed, all of its estates, properties, rights, remedies and trusts shall vest in and be exercised by the Trustee, to the extent permitted by law, without the appointment of a new or successor Trustee.
Section 8.11 | Limitation of Liability. |
The Certificates are executed by the Trustee, not in its individual capacity but solely as Trustee of the Trust, in the exercise of the powers and authority conferred and vested in it by this Agreement. Each of the undertakings and agreements made on the part of the Trustee in the Certificates is made and intended not as a personal undertaking or agreement by the Trustee but is made and intended for the purpose of binding only the Trust.
Section 8.12 Trustee May Enforce Claims Without Possession of Certificates.
(a) All rights of action and claims under this Agreement or the Certificates may be prosecuted and enforced by the Trustee without the possession of any of the Certificates or the production thereof in any proceeding relating thereto, and such proceeding instituted by the Trustee shall be brought in its own name or in its capacity as Trustee for the benefit of all Holders of such Certificates, subject to the provisions of this Agreement. Any recovery of judgment shall, after provision for the payment of the reasonable compensation, expenses, disbursement and advances of the Trustee, its agents and counsel, be for the ratable benefit of the Certificateholders in respect of which such judgment has been recovered.
(b) The Trustee shall afford the Depositor, the Servicer, the NIMS Insurer and each Certificateholder upon reasonable notice during normal business hours, access to all records maintained by the Trustee in respect of its duties hereunder and access to officers of the Trustee responsible for performing such duties. The Trustee shall cooperate fully with the Servicer, the NIMS Insurer, the Depositor and such Certificateholder and shall make available to the Servicer, the NIMS Insurer, the Depositor and such Certificateholder for review and copying at the expense of the party requesting such copies, such books, documents or records as may be requested with respect to the Trustee’s duties hereunder. The Depositor, the Servicer, the NIMS Insurer and the Certificateholders shall not have any responsibility or liability for any action or failure to act by the Trustee and are not obligated to supervise the performance of the Trustee under this Agreement or otherwise.
Section 8.13 | Suits for Enforcement. |
In case a Servicer Event of Termination or other default by the Servicer hereunder shall occur and be continuing, the Trustee may proceed to protect and enforce its rights and the rights of the Certificateholders under this Agreement by a suit, action or proceeding in equity or at law or otherwise, whether for the specific performance of any covenant or agreement contained in this Agreement or in aid of the execution of any power granted in this Agreement or for the enforcement of any other legal, equitable or other remedy, as the Trustee, being advised by counsel, and subject to the foregoing, shall deem most effectual to protect and enforce any of the rights of the Trustee and the Certificateholders.
Section 8.14 | Waiver of Bond Requirement. |
The Trustee shall be relieved of, and each Certificateholder hereby waives, any requirement of any jurisdiction in which the Trust, or any part thereof, may be located that the Trustee post a bond or other surety with any court, agency or body whatsoever.
Section 8.15 | Waiver of Inventory, Accounting and Appraisal Requirement. |
The Trustee shall be relieved of, and each Certificateholder hereby waives, any requirement of any jurisdiction in which the Trust, or any part thereof, may be located that the Trustee file any inventory, accounting or appraisal of the Trust with any court, agency or body at any time or in any manner whatsoever.
ARTICLE IX
REMIC ADMINISTRATION
Section 9.01 | REMIC Administration. |
(a) The Trustee shall (i) make or cause to be made REMIC elections for each of REMIC 1, REMIC 2, REMIC 3, REMIC 4, REMIC 5, REMIC 6 and REMIC 7 as set forth in the Preliminary Statement on Forms 1066 or other appropriate federal tax or information return for the taxable year ending on the last day of the calendar year in which the Certificates are issued, and (ii) file Form 8811, or other applicable form, within 30 days of the Closing Date (or such other period as may be allowed by applicable law), indicating the name, title, address and telephone number of the Person who will serve as the representative of each. The regular interests and residual interest in each REMIC shall be as designated in the Preliminary Statement.
(b) The Closing Date is hereby designated as the “Startup Day” of each REMIC within the meaning of section 860G(a)(9) of the Code.
(c) The Trustee shall pay any and all tax related expenses (not including taxes) of each REMIC, including but not limited to any professional fees or expenses related to audits or any administrative or judicial proceedings with respect to such REMIC that involve the Internal Revenue Service or state tax authorities, but only to the extent that (i) such expenses are ordinary or routine expenses, including expenses of a routine audit but not expenses of litigation (except as described in (ii)); or (ii) such expenses or liabilities (including taxes and penalties) are attributable to the negligence or willful misconduct of the Trustee in fulfilling its duties hereunder. The Trustee shall be entitled to reimbursement of expenses other than those expenses described in clause (i) or (ii) above from the Trust.
(d) The Trustee shall prepare or cause to be prepared, sign and file or cause to be filed, each REMIC’s federal and state tax and information returns as such REMIC’s direct representative. The expenses of preparing and filing such returns shall be borne by the Trustee.
(e) The Holder of a Residual Certificate shall be the “tax matters person” as defined in the REMIC Provisions (the “Tax Matters Person”) with respect to each REMIC, and the Trustee is irrevocably designated as and shall act as attorney-in-fact and agent for such Tax Matters Person for each REMIC. The Trustee, as agent for the Tax Matters Person, shall perform, on behalf of each REMIC, all reporting and other tax compliance duties that are the responsibility of such REMIC under the Code, the REMIC Provisions, or other compliance guidance issued by the Internal Revenue Service or any state or local taxing authority. Among its other duties, if required by the Code, the REMIC Provisions, or other such guidance, the Trustee, as agent for the Tax Matters Person, shall provide (i) to the Treasury or other governmental authority such information as is necessary for the application of any tax relating to the transfer of
a Residual Certificate to any disqualified person or organization and (ii) to the Certificateholders such information or reports as are required by the Code or REMIC Provisions.
(f) The Trustee, the Servicer, and the Holders of Certificates shall take any action or cause any REMIC formed under this Agreement to take any action necessary to create or maintain the status of such REMIC as a REMIC under the REMIC Provisions and shall assist each other as necessary to create or maintain such status. None of the Trustee, the Servicer or the Holder of a Residual Certificate shall take any action or cause any REMIC formed under this Agreement to take any action or fail to take (or fail to cause to be taken) any action that, under the REMIC Provisions, if taken or not taken, as the case may be, could (i) endanger the status of such REMIC as a REMIC or (ii) result in the imposition of a tax upon such REMIC (including but not limited to the tax on prohibited transactions as defined in Code Section 860F(a)(2) and the tax on prohibited contributions set forth on Section 860G(d) of the Code) (either such event, an “Adverse REMIC Event”) unless the Trustee, the NIMS Insurer and the Servicer have received an Opinion of Counsel (at the expense of the party seeking to take such action) to the effect that the contemplated action will not endanger such status or result in the imposition of such a tax. In addition, prior to taking any action with respect to any REMIC formed under this Agreement or the assets therein, or causing such REMIC to take any action, which is not expressly permitted under the terms of this Agreement, any Holder of a Residual Certificate will consult with the Trustee, the NIMS Insurer and the Servicer, or their respective designees, in writing, with respect to whether such action could cause an Adverse REMIC Event to occur with respect to such REMIC, and no such Person shall take any such action or cause such REMIC to take any such action as to which the Trustee, the NIMS Insurer or the Servicer has advised it in writing that an Adverse REMIC Event could occur.
(g) The Holder of a Residual Certificate shall pay when due any and all taxes imposed on any REMIC formed under this Agreement by federal or state governmental authorities, but only from amounts, if any, distributable thereon. To the extent that such REMIC taxes are not paid by a Residual Certificateholder, the Trustee shall pay any remaining REMIC taxes out of future amounts otherwise distributable to the Holder of such Residual Certificate or, if no such amounts are available, out of other amounts held in the Distribution Account, and shall reduce amounts otherwise payable to Holders of the REMIC Regular Interests or the Certificates, as the case may be.
(h) The Trustee, shall, for federal income tax purposes, maintain or cause to be maintained books and records with respect to each REMIC formed under this Agreement on a calendar year and on an accrual basis.
(i) No additional contributions of assets shall be made to any REMIC, except as expressly provided in this Agreement with respect to Eligible Substitute Mortgage Loans.
(j) Neither the Trustee nor the Servicer shall enter into any arrangement by which any REMIC will receive a fee or other compensation for services.
(k) On or before April 15 of each calendar year, beginning in 2006, the Trustee shall deliver to each Rating Agency and the NIMS Insurer an Officer’s Certificate stating the Trustee’s compliance with the provisions of this Section 9.01.
Section 9.02 | Prohibited Transactions and Activities. |
None of the Depositor, the Servicer or the Trustee shall sell, dispose of, or substitute for any of the Mortgage Loans, except in a disposition pursuant to (i) the foreclosure of a Mortgage Loan, (ii) the bankruptcy of the Trust Fund, (iii) the termination of any REMIC pursuant to Article X of this Agreement, (iv) a substitution pursuant to Article II of this Agreement, (v) a repurchase of Mortgage Loans pursuant to Article II of this Agreement or (vi) an optional purchase by the Servicer pursuant to Section 3.16 of this Agreement, nor acquire any assets for any REMIC constituting part of the Trust Fund, nor sell or dispose of any investments in the Distribution Account for gain, nor accept any contributions to any REMIC constituting part of the Trust Fund after the Closing Date, unless such party and the NIMS Insurer has received an Opinion of Counsel (at the expense of the party causing such sale, disposition, or substitution) that such disposition, acquisition, substitution, or acceptance will not (a) affect adversely the status of such REMIC as a REMIC or of the interests therein other than a Residual Certificate as the regular interests therein, (b) affect the distribution of interest or principal on the Certificates, (c) result in the encumbrance of the assets transferred or assigned to the Trust Fund (except pursuant to the provisions of this Agreement) or (d) cause such REMIC to be subject to a tax on prohibited transactions or prohibited contributions pursuant to the REMIC Provisions.
Section 9.03 Indemnification with Respect to Certain Taxes and Loss of REMIC Status.
In the event that any REMIC formed hereunder fails to qualify as a REMIC, loses its status as a REMIC, or incurs federal, state or local taxes as a result of a prohibited transaction or prohibited contribution under the REMIC Provisions due to the negligent performance by the Servicer of its duties and obligations set forth herein, the Servicer shall indemnify the Holder of a Residual Certificate against any and all losses, claims, damages, liabilities or expenses (“Losses”) resulting from such negligence; provided, however, that the Servicer shall not be liable for any such Losses attributable to the action or inaction of the Trustee, the Depositor or the Holder of a Residual Certificate, as applicable, nor for any such Losses resulting from misinformation provided by the Holder of a Residual Certificate on which the Servicer has relied. The foregoing shall not be deemed to limit or restrict the rights and remedies of the Holder of a Residual Certificate now or hereafter existing at law or in equity. Notwithstanding the foregoing, however, in no event shall the Servicer have any liability (1) for any action or omission that is taken in accordance with and in compliance with the express terms of, or which is expressly permitted by the terms of, this Agreement, (2) for any Losses other than arising out of a negligent performance by the Servicer of its duties and obligations set forth herein, and (3) for any special or consequential damages to Certificateholders (in addition to payment of principal and interest on the Certificates).
Section 9.04 | REO Property. |
(a) Subject to compliance with applicable laws and regulations as shall at any time be in force, and notwithstanding any other provision of this Agreement, the Servicer, acting on behalf of the Trust hereunder, shall not rent, lease, or otherwise earn income on behalf of any REMIC with respect to any REO Property which might cause such REO Property to fail to qualify as “foreclosure” property within the meaning of section 860G(a)(8) of the Code or result in the receipt by any REMIC of any “income from non-permitted assets” within the meaning of section 860F(a)(2) of the Code or any “net income from foreclosure property” which is subject to tax under the REMIC Provisions unless the Servicer has advised, or has caused the applicable Servicer to advise, the Trustee in writing to the effect that, under the REMIC Provisions, such action would not adversely affect the status of any REMIC as a REMIC and any income generated for such REMIC by the REO Property would not result in the imposition of a tax upon such REMIC.
(b) The Servicer shall make reasonable efforts to sell any REO Property for its fair market value. In any event, however, the Servicer shall dispose of any REO Property before the close of the third calendar year beginning after the year of its acquisition by the Trust Fund unless the Servicer has received a grant of extension from the Internal Revenue Service to the effect that, under the REMIC Provisions and any relevant proposed legislation and under applicable state law, any REMIC constituting part of the Trust Fund may hold REO Property for a longer period without adversely affecting its REMIC status or causing the imposition of a Federal or state tax upon any REMIC constituting part of the Trust Fund. If the Servicer has received such an extension, then the Servicer shall continue to attempt to sell the REO Property for its fair market value as determined in good faith by the Servicer for such longer period as such extension permits (the “Extended Period”). If the Servicer has not received such an extension and the Servicer is unable to sell the REO Property within 33 months after its acquisition by the Trust Fund or if the Servicer has received such an extension, and the Servicer is unable to sell the REO Property within the period ending three months before the close of the Extended Period, the Servicer shall, before the end of the applicable period, (i) purchase such REO Property at a price equal to the REO Property’s fair market value as determined in good faith by the Servicer or (ii) auction the REO Property to the highest bidder (which may be the Servicer) in an auction reasonably designed to produce a fair price prior to the expiration of the applicable period.
ARTICLE X
TERMINATION
Section 10.01 | Termination. |
(a) The respective obligations and responsibilities of the Servicer, the Depositor, the Trustee and the Certificate Registrar created hereby (other than the obligation of the Trustee to make certain payments to Certificateholders after the final Distribution Date and the obligation of the Servicer to send certain notices as hereinafter set forth) shall terminate upon notice to the Trustee upon the earliest of (i) the Distribution Date on which the Certificate Principal Balance of each Class of Certificates has been reduced to zero, (ii) the final payment or other liquidation of the last Mortgage Loan in the Trust, and (iii) the optional purchase by the NIMS Insurer, if there is a NIMS Insurer, or if there is no NIMS Insurer, the Majority Class CE Certificateholders (or if such holder is the Seller, or an affiliate of the Seller, the Servicer of the Mortgage Loans) as described below. Notwithstanding the foregoing, in no event shall the trust created hereby continue beyond the expiration of 21 years from the death of the last survivor of the descendants of Joseph P. Kennedy, the late ambassador of the United States to the Court of St. James, living on the date hereof.
The NIMS Insurer, if there is a NIMS Insurer, or if there is no NIMS Insurer, the Majority Class CE Certificateholders (and, if such holder is the Seller or an affiliate of the Seller, the Servicer of the Mortgage Loans) may, at its option, terminate the Trust Fund and retire the Certificates on the next succeeding Distribution Date upon which the aggregate current Pool Balance is less than 10% of the sum of the aggregate Pool Balance of the Initial Mortgage Loans as of the Cut-off Date and the Original Pre-Funded Amounts, by purchasing, on the next succeeding Distribution Date, all of the outstanding Mortgage Loans and REO Properties at a price equal to the fair market value of the Mortgage Loans and REO Properties (as determined by the NIMS Insurer, if it is the Terminator, the Majority Class CE Certificateholders, if it is the Terminator or the Servicer, if it is the Terminator and, to the extent that the Class A Certificates or a Class of Class M Certificates will not receive all amounts owed to it as a result of the termination, the Trustee, as of the close of business on the third Business Day next preceding the date upon which notice of any such termination is furnished to the related Certificateholders pursuant to Section 10.01(c)), plus accrued and unpaid interest thereon at the weighted average of the Mortgage Rates through the end of the Due Period preceding the final Distribution Date plus unreimbursed Servicing Advances, Advances, any unpaid Servicing Fees allocable to such Mortgage Loans and REO Properties, any accrued and unpaid Cap Carryover Amount, any previously unpaid Allocated Realized Loss Amounts and any Swap Termination Payment owed to the Swap Provider not due to a Swap Provider Trigger Event pursuant to the Interest Rate Swap Agreement (the “Termination Price”). However, this option may be exercised only if (i) the fair market value of the Mortgage Loans and REO Properties is at least equal to the aggregate principal balance of the Mortgage Loans and the appraised value of the REO Properties and (ii) the termination price is sufficient to pay all interest accrued on, as well as amounts necessary to retire the principal balance of, the notes guaranteed by the NIMS Insurer and any amounts owed
to the NIMS Insurer at the time the option is exercised. In addition, no option may be exercised until any due and unpaid Reimbursement Amounts have been paid to the Trust. Proceeds from such repurchase will be included in Available Funds and will be distributed to the holders of the Certificates in accordance with this Agreement. Notwithstanding the foregoing, no party may exercise this optional purchase right unless any Reimbursement Amount owed to the Trust pursuant to Section 2.03 hereof has been paid.
In connection with any such purchase pursuant to the preceding paragraph, the Servicer shall deliver to the Trustee for deposit in the Distribution Account all amounts then on deposit in the Collection Account (less amounts permitted to be withdrawn by the Servicer pursuant to Section 3.07), which deposit shall be deemed to have occurred immediately following such purchase.
Any such purchase shall be accomplished by delivery on the Determination Date before such Distribution Date of the Termination Price to the Trustee for deposit into the Distribution Account as part of Available Funds.
(b) Notice of any termination, specifying the Distribution Date (which shall be a date that would otherwise be a Distribution Date) upon which the Certificateholders may surrender their Certificates to the Trustee for payment of the final distribution and cancellation, shall be given promptly by the Trustee upon the Trustee receiving notice of such date from the NIMS Insurer, the Majority Class CE Certificateholders or the Servicer, as applicable, by letter to the Certificateholders mailed not earlier than the 15th day of the month preceding the month of such final distribution and not later than the 15th day of the month of such final distribution specifying (1) the Distribution Date upon which final distribution of the Certificates will be made upon presentation and surrender of such Certificates at the office or agency of the Trustee therein designated, (2) the amount of any such final distribution and (3) that the Record Date otherwise applicable to such Distribution Date is not applicable, distributions being made only upon presentation and surrender of the Certificates at the office or agency of the Trustee therein specified. Not less than five (5) Business Days prior to such Determination Date relating to such Distribution Date, the Trustee shall notify the Originator and the Seller of the amount of any unpaid Reimbursement Amount owed to the Trust.
(c) Upon presentation and surrender of the Certificates, the Trustee shall cause to be distributed to the Holders of the Certificates on the Distribution Date for such final distribution, in proportion to the Percentage Interests of their respective Class and to the extent that funds are available for such purpose, an amount equal to the amount required to be distributed to such Holders in accordance with the provisions of Sections 4.01 and 4.02 for such Distribution Date.
(d) In the event that all Certificateholders shall not surrender their Certificates for final payment and cancellation on or before such final Distribution Date, the Trustee shall promptly following such date cause all funds in the Distribution Account not distributed in final distribution to Certificateholders to be withdrawn therefrom and credited to the remaining Certificateholders by depositing such funds in a separate escrow account for the benefit of such Certificateholders, and the Servicer shall give a second written notice to the remaining
Certificateholders, to surrender their Certificates for cancellation and receive the final distribution with respect thereto. If within nine months after the second notice all the Certificates shall not have been surrendered for cancellation, the Class R Certificateholder shall be entitled to all unclaimed funds and other assets which remain subject hereto (except with respect to the Class CE and Class P Certificates) and the Trustee upon transfer of such funds shall be discharged of any responsibility for such funds, and all other Certificateholders shall look to the Class R Certificateholder for payment.
Section 10.02 | Additional Termination Requirements. |
(a) In the event that the NIMS Insurer, the Majority Class CE Certificateholders or the Servicer, as applicable, exercises its purchase option as provided in Section 10.01, the Trust shall be terminated in accordance with the following additional requirements, unless the Trustee shall have been furnished with an Opinion of Counsel to the effect that the failure of the Trust to comply with the requirements of this Section will not (i) result in the imposition of taxes on “prohibited transactions” of the Trust as defined in Section 860F of the Code or (ii) cause any REMIC constituting part of the Trust Fund to fail to qualify as a REMIC at any time that any Certificates (other than the Class P Certificates) are outstanding:
(i) The Trustee shall designate a date within 90 days prior to the final Distribution Date as the date of adoption of plans of complete liquidation of each of REMIC 1, REMIC 2, REMIC 3, REMIC 4, REMIC 5, REMIC 6 and REMIC 7 and shall specify such date in the final federal income tax return of each REMIC;
(ii) After the date of adoption of such plans of complete liquidation and at or prior to the final Distribution Date, the Trustee shall sell all of the assets of the Trust to the Majority Class CE Certificateholders or the Servicer, as applicable, for cash; and
(iii) At the time of the making of the final payment on the Certificates, the Trustee shall distribute or credit, or cause to be distributed or credited in the order of priority set forth in Section 4.02 and then to the Class R Certificateholder, all cash on hand in respect of the REMICs after such payment (other than cash retained to meet claims) and the Trust shall terminate at such time.
(b) By their acceptance of Certificates, the Holders thereof hereby agree to appoint the Trustee as their attorney in fact to: (i) designate such date of adoption of plans of complete liquidation and (ii) to take such other action in connection therewith as may be reasonably required to carry out such plans of complete liquidation all in accordance with the terms hereof.
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01 | Amendment. |
This Agreement may be amended from time to time by the Depositor, the Servicer and the Trustee; with the consent of the NIMS Insurer and without the consent of the Certificateholders, (i) to cure any ambiguity or mistake, (ii) to correct, modify or supplement any provision herein which may be inconsistent with any other provision herein or the Prospectus Supplement, (iii) to make any other provisions with respect to matters or questions arising under this Agreement, which shall not be inconsistent with the provisions of this Agreement, (iv) to comply with any requirements imposed by the Code or (v) to provide for the rights of the NIMS Insurer; provided, however, that any such action listed in clause (iii) above shall not adversely affect in any respect the interests of any Certificateholder, as evidenced by (i) notice in writing to the Depositor, the Servicer and the Trustee from the Rating Agencies that such action will not result in the reduction or withdrawal of the rating of any outstanding Class of Certificates with respect to which it is a Rating Agency, or (ii) an Opinion of Counsel delivered to the Servicer and the Trustee.
In addition, this Agreement may be amended from time to time by the Depositor, the Servicer and the Trustee, with the consent of the NIMS Insurer and the Majority Certificateholders for the purpose of adding any provisions to or changing in any manner or eliminating any of the provisions of this Agreement or of modifying in any manner the rights of the Swap Provider or the Holders of Certificates; provided, however, that no such amendment or waiver shall (x) reduce in any manner the amount of, or delay the timing of, payments on the Certificates which are required to be made on any Certificate without the consent of the Holder of such Certificate, (y) adversely affect in any material respect the interests of the Swap Provider or Holders of any Class of Certificates in a manner other than as described in clause (x) above, without the consent of the Holders of Certificates of such Class evidencing at least 66 2/3% of the Voting Rights evidenced by such Class, or (z) reduce the percentage of Voting Rights required by clause (y) above without the consent of the Holders of all Certificates of such Class then outstanding. Upon approval of an amendment, a copy of such amendment shall be sent to the Rating Agencies. Prior to the execution of any amendment to this Agreement, the Trustee shall be entitled to receive and rely upon an Opinion of Counsel (at the expense of the Person seeking such amendment) stating that the execution of such amendment is authorized or permitted by this Agreement. The Trustee may, but shall not be obligated to, enter into any such amendment which affects the Trustee’s own rights, duties or immunities under this Agreement.
Notwithstanding any provision of this Agreement to the contrary, neither the Trustee nor the NIMS Insurer shall consent to any amendment to this Agreement unless it shall have first received an Opinion of Counsel, delivered by (and at the expense of) the Person seeking such Amendment, to the effect that such amendment will not result in the imposition of a tax on any REMIC constituting part of the Trust Fund pursuant to the REMIC Provisions or cause any REMIC constituting part of the Trust Fund to fail to qualify as a REMIC at any time
that any Certificates (other than the Class P Certificates) are outstanding and that the amendment is being made in accordance with the terms hereof.
Notwithstanding any of the other provisions of this Section 11.01, none of the Depositor, the Servicer or the Trustee shall enter into any amendment to Section 4.09 of this Agreement without the prior written consent of the Swap Provider.
Promptly after the execution of any such amendment the Trustee shall furnish, at the expense of the Person that requested the amendment if such Person is the Servicer (but in no event at the expense of the Trustee), otherwise at the expense of the Trust, a copy of such amendment and the Opinion of Counsel referred to in the immediately preceding paragraph to the Servicer and each Rating Agency.
It shall not be necessary for the consent of Certificateholders under this Section 11.01 to approve the particular form of any proposed amendment; instead it shall be sufficient if such consent shall approve the substance thereof. The manner of obtaining such consents and of evidencing the authorization of the execution thereof by Certificateholders shall be subject to such reasonable regulations as the Trustee may prescribe.
Section 11.02 | Recordation of Agreement; Counterparts. |
To the extent permitted by applicable law, this Agreement is subject to recordation in all appropriate public offices for real property records in all the counties or other comparable jurisdictions in which any or all of the properties subject to the Mortgages are situated, and in any other appropriate public recording office or elsewhere, such recordation to be effected by the Servicer at the expense of the Trust, but only upon direction of Certificateholders, accompanied by an Opinion of Counsel to the effect that such recordation materially and beneficially affects the interests of the Certificateholders.
For the purpose of facilitating the recordation of this Agreement as herein provided and for other purposes, this Agreement may be executed simultaneously in any number of counterparts, each of which counterparts shall be deemed to be an original, and such counterparts shall together constitute but one and the same instrument.
Section 11.03 | Limitation on Rights of Certificateholders. |
The death or incapacity of any Certificateholder shall not (i) operate to terminate this Agreement or the Trust, (ii) entitle such Certificateholder’s legal representatives or heirs to claim an accounting or to take any action or proceeding in any court for a partition or winding up of the Trust, or (iii) otherwise affect the rights, obligations and liabilities of the parties hereto or any of them.
Except as expressly provided for herein, no Certificateholder shall have any right to vote or in any manner otherwise control the operation and management of the Trust, or the obligations of the parties hereto, nor shall anything herein set forth or contained in the terms of the Certificates be construed so as to constitute the Certificateholders from time to time as partners or members of an association; nor shall any Certificateholder be under any liability to
any third person by reason of any action taken by the parties to this Agreement pursuant to any provision hereof.
No Certificateholder shall have any right by virtue of any provision of this Agreement to institute any suit, action or proceeding in equity or at law upon or under or with respect to this Agreement, unless such Holder previously shall have given to the Trustee a written notice of default and of the continuance thereof, as herein provided, and unless also the Holders of Certificates entitled to at least 25% of the Voting Rights shall have made written request upon the Trustee to institute such action, suit or proceeding in its own name as Trustee hereunder and shall have offered to the Trustee such reasonable indemnity as it may require against the costs, expenses and liabilities to be incurred therein or thereby, and the Trustee for 60 days after its receipt of such notice, request and offer of indemnity, shall have neglected or refused to institute any such action, suit or proceeding. It is understood and intended, and expressly covenanted by each Certificateholder with every other Certificateholder and the Trustee, that no one or more Holders of Certificates shall have any right in any manner whatever by virtue of any provision of this Agreement to affect, disturb or prejudice the rights of the Holders of any other of such Certificates, or to obtain or seek to obtain priority over or preference to any other such Holder, which priority or preference is not otherwise provided for herein, or to enforce any right under this Agreement, except in the manner herein provided and for the equal, ratable and common benefit of all Certificateholders. For the protection and enforcement of the provisions of this Section 11.03 each and every Certificateholder and the Trustee shall be entitled to such relief as can be given either at law or in equity.
Section 11.04 | Governing Law; Jurisdiction. |
This Agreement shall be construed in accordance with the laws of the State of New York, and the obligations, rights and remedies of the parties hereunder shall be determined in accordance with such laws. With respect to any claim arising out of this Agreement, each party irrevocably submits to the exclusive jurisdiction of the courts of the State of New York and the United States District Court located in the Borough of Manhattan in The City of New York, and each party irrevocably waives any objection which it may have at any time to the laying of venue of any suit, action or proceeding arising out of or relating hereto brought in any such courts, irrevocably waives any claim that any such suit, action or proceeding brought in any such court has been brought in any inconvenient forum and further irrevocably waives the right to object, with respect to such claim, suit, action or proceeding brought in any such court, that such court does not have jurisdiction over such party, provided that service of process has been made by any lawful means.
Section 11.05 | Notices. |
All directions, demands and notices hereunder shall be in writing and shall be deemed to have been duly given if personally delivered at or mailed by first class mail, postage prepaid, or by express delivery service, to (a) in the case of the Trustee, Wells Fargo Bank, N.A., P.O. Box 98, Columbia, Maryland 21046, Attention: Corporate Trust Services - ABFC 2005-WMC1 with a copy to: (i) Wells Fargo Bank, N.A., 9062 Old Annapolis Road, Columbia, Maryland 21045, Attention: Corporate Trust Services - ABFC 2005-WMC1 and (ii) Wells Fargo
Bank, N.A., Sixth Street and Marquette Avenue, Minneapolis, Minnesota 55479, Attention: Corporate Trust Services – ABFC 2005-WMC1, or such other address as may hereafter be furnished to the Depositor, the NIMS Insurer and the Servicer in writing by the Trustee, (b) in the case of the Depositor, Asset Backed Funding Corporation, 214 North Tryon Street, 21st Floor, Charlotte, North Carolina 28255, Attention: ABFC Asset-Backed Certificates, Series 2005-WMC1, or such other address as may be furnished to the Servicer, the NIMS Insurer and the Trustee in writing by the Depositor, (c) in the case of the Servicer, HomEq Servicing Corporation, 4837 Watt Avenue, North Highlands, California 95660-5101, Attention: Portfolio Management, Facsimile No. (916) 339-6995 with a copy to HomEq Servicing Corporation, 1620 East Roseville Parkway, Suite 210, 2nd Floor, Roseville, California 95661, Attention: Legal Department, Facsimile No. (916) 339-6995, or such other address or telecopy number as may hereafter be furnished to the Trustee, the NIMS Insurer and the Depositor in writing by the Servicer and (d) in the case of the NIMS Insurer, such address furnished to the Depositor, the Servicer and the Trustee in writing by the NIMS Insurer. Any notice required or permitted to be mailed to a Certificateholder shall be given by first class mail, postage prepaid, at the address of such Holder as shown in the Certificate Register. Notice of any Servicer Event of Termination shall be given by telecopy and by certified mail. Any notice so mailed within the time prescribed in this Agreement shall be conclusively presumed to have duly been given when mailed, whether or not the Certificateholder receives such notice. A copy of any notice required to be telecopied hereunder shall also be mailed to the appropriate party in the manner set forth above.
Section 11.06 | Severability of Provisions. |
If any one or more of the covenants, agreements, provisions or terms of this Agreement shall for any reason whatsoever be held invalid, then such covenants, agreements, provisions or terms shall be deemed severable from the remaining covenants, agreements, provisions or terms of this Agreement and shall in no way affect the validity or enforceability of the other provisions of this Agreement or of the Certificates or the rights of the Holders thereof.
Section 11.07 | Article and Section References. |
All article and section references used in this Agreement, unless otherwise provided, are to articles and sections in this Agreement.
Section 11.08 | Notice to the Rating Agencies and the NIMS Insurer. |
(a) Each of the Trustee and the Servicer shall be obligated to use its best reasonable efforts promptly to provide notice to the Rating Agencies and the NIMS Insurer with respect to each of the following of which a Responsible Officer of the Trustee or the Servicer, as the case may be, has actual knowledge:
(i) | any material change or amendment to this Agreement; |
(ii) the occurrence of any Servicer Event of Termination that has not been cured or waived;
(iii) | the resignation or termination of the Servicer or the Trustee; |
(iv) | the final payment to Holders of the Certificates of any Class; | |
(v) | any change in the location of any Account; and |
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(vi) if the Trustee is acting as successor servicer pursuant to Section 7.02 hereof, any event that would result in the inability of the Trustee to make Advances.
(vii) In addition, the Servicer shall promptly furnish to each Rating Agency copies of the following:
(A) each annual statement as to compliance described in Section 3.19 hereof;
(B) each annual independent public accountants’ servicing report described in Section 3.20 hereof; and
(C) each notice delivered pursuant to Section 7.01(a) hereof which relates to the fact that the Servicer has not made an Advance.
Any such notice pursuant to this Section 11.08 shall be in writing and shall be deemed to have been duly given if personally delivered or mailed by first class mail, postage prepaid, or by express delivery service to: Moody’s Investors Service, Inc., 99 Church Street, New York, New York 10007, Attention: Managing Director, Residential Mortgage-Backed Securities; Fitch Ratings, One State Street Plaza, New York, New York 10004, Attention: Managing Director, Residential Mortgage-Backed Securities; and Standard & Poor’s, a division of The McGraw-Hill Companies, Inc., 55 Water Street, 41st Floor, New York, New York 10041, Attention: Mortgage Surveillance Group.
Section 11.09 | Further Assurances. |
Notwithstanding any other provision of this Agreement, neither the Regular Certificateholders nor the Trustee shall have any obligation to consent to any amendment or modification of this Agreement unless they have been provided reasonable security or indemnity against their out-of-pocket expenses (including reasonable attorneys’ fees) to be incurred in connection therewith.
Section 11.10 | Third Party Beneficiary. |
Nothing in this Agreement or in the Certificates, expressed or implied, shall give to any Person, other than the Certificateholders, the parties hereto and the NIMS Insurer and their successors hereunder, any benefit or any legal or equitable right, remedy or claim under this Agreement.
The NIMS Insurer shall be deemed a third-party beneficiary of this Agreement to the same extent as if it were a party hereto, and shall have the right to enforce the provisions of this Agreement directly against the parties to this Agreement.
Section 11.11 | Acts of Certificateholders. |
(a) Any request, demand, authorization, direction, notice, consent, waiver or other action provided by this Agreement to be given or taken by the Certificateholders may be embodied in and evidenced by one or more instruments of substantially similar tenor signed by such Certificateholders in person or by agent duly appointed in writing; and such action shall become effective when such instrument or instruments are delivered to the Trustee and the Servicer. Such instrument or instruments (and the action embodied therein and evidenced thereby) are herein sometimes referred to as the “act” of the Certificateholders signing such instrument or instruments. Proof of execution of any such instrument or of a writing appointing any such agent shall be sufficient for any purpose of this Agreement and conclusive in favor of the Trustee and the Trust, if made in the manner provided in this Section 11.11.
(b) The fact and date of the execution by any Person of any such instrument or writing may be proved by the affidavit of a witness of such execution or by the certificate of a notary public or other officer authorized by law to take acknowledgments of deeds, certifying that the individual signing such instrument or writing acknowledged to him the execution thereof. Whenever such execution is by a signer acting in a capacity other than his or her individual capacity, such certificate or affidavit shall also constitute sufficient proof of his authority.
(c) Any request, demand, authorization, direction, notice, consent, waiver or other action by any Certificateholder shall bind every future Holder of such Certificate and the Holder of every Certificate issued upon the registration of transfer thereof or in exchange therefor or in lieu thereof, in respect of anything done, omitted or suffered to be done by the Trustee or the Trust in reliance thereon, whether or not notation of such action is made upon such Certificate.
IN WITNESS WHEREOF, the Depositor, the Servicer and the Trustee have caused their names to be signed hereto by their respective officers thereunto duly authorized, all as of the day and year first above written.
ASSET BACKED FUNDING CORPORATION, as Depositor | |
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By: | /s/ Kirk B. Meyers |
Name: | Kirk B. Meyers |
Title: | Vice President |
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HOMEQ SERVICING CORPORATION, as Servicer | |
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By: | /s/ Arthur Lyon |
Name: | Arthur Lyon |
Title: | President |
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WELLS FARGO BANK, N.A., as Trustee | |
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By: | /s/ Peter Gobell |
Name: | Peter Gobell |
Title: | Vice President |
STATE OF | ) |
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COUNTY OF___________ | ) |
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On the 30th day of September, 2005 before me, a notary public in and for said State, personally appeared ____________, known to me to be a Vice President of Asset Backed Funding Corporation, a Delaware corporation that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.
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STATE OF MARYLAND | ) |
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COUNTY OF___________ | ) |
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On the 30th day of September, 2005 before me, a notary public in and for said State, personally appeared ________________, known to me to be a ________________ of Wells Fargo Bank, N.A., a national banking association that executed the within instrument, and also known to me to be the person who executed it on behalf of said association, and acknowledged to me that such association executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.
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STATE OF TEXAS | ) |
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COUNTY OF___________ | ) |
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On the 30th day of September, 2005 before me, a notary public in and for said State, personally appeared ______________________, known to me to be a ____________________ of HomEq Servicing Corporation, a New Jersey corporation, that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.
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EXHIBIT A-1
[FORM OF THE CLASS A-1 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS A-1
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class A-1 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B NX 6 ISIN: US04542BBNX63 | Original Class Certificate Principal Balance of the Class A-1 Certificates as of the Closing Date: $235,900,000 Initial Certificate Principal Balance: $235,900,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class A-1 Certificates) in that certain beneficial ownership interest evidenced by all the Class A-1 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class A-1 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class A-1 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class A-1 Certificates,
or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class A-1 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class A-1 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class A-1 Certificates.
The Class A-1 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
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EXHIBIT A-2
[FORM OF THE CLASS A-2A CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS A-2A
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class A-2A Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B NY 4 ISIN: US04542BNY47 | Original Class Certificate Principal Balance of the Class A-2A Certificates as of the Closing Date: $216,231,000 Initial Certificate Principal Balance: $216,231,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class A-2A Certificates) in that certain beneficial ownership interest evidenced by all the Class A-2A Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the
amount required to be distributed to the Holders of Class A-2A Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class A-2A Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class A-2A Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class A-2A Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class A-2A Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class A-2A Certificates.
The Class A-2A Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
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EXHIBIT A-3
[FORM OF THE CLASS A-2B CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS A-2B
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class A-2B Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B NZ 1 ISIN: US04542BNZ12 | Original Class Certificate Principal Balance of the Class A-2B Certificates as of the Closing Date: $86,365,000 Initial Certificate Principal Balance: $86,365,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class A-2B Certificates) in that certain beneficial ownership interest evidenced by all the Class A-2B Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the
amount required to be distributed to the Holders of Class A-2B Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class A-2B Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class A-2B Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class A-2B Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class A-2B Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class A-2B Certificates.
The Class A-2B Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT A-4
[FORM OF THE CLASS A-2C CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS A-2C
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class A-2C Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PA 4 ISIN: US04542BPA43 | Original Class Certificate Principal Balance of the Class A-2C Certificates as of the Closing Date: $141,576,000 Initial Certificate Principal Balance: $141,576,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class A-2C Certificates) in that certain beneficial ownership interest evidenced by all the Class A-2C Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the
amount required to be distributed to the Holders of Class A-2C Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class A-2C Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class A-2C Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class A-2C Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class A-2C Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class A-2C Certificates.
The Class A-2C Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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| Signature Guaranteed |
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT A-5
[FORM OF THE CLASS A-2D CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS A-2D
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class A-2D Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PB 2 ISIN: US04542BPB26 | Original Class Certificate Principal Balance of the Class A-2D Certificates as of the Closing Date: $45,876,000 Initial Certificate Principal Balance: $45,876,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class A-2D Certificates) in that certain beneficial ownership interest evidenced by all the Class A-2D Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the
amount required to be distributed to the Holders of Class A-2D Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class A-2D Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class A-2D Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class A-2D Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class A-2D Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class A-2D Certificates.
The Class A-2D Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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| Signature Guaranteed |
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT A-6
[FORM OF THE CLASS A-2MZ CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS A-2MZ
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class A-2MZ Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PC 0 ISIN: US04542BPC09 | Original Class Certificate Principal Balance of the Class A-2MZ Certificates as of the Closing Date: $54,450,000 Initial Certificate Principal Balance: $54,450,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class A-2MZ Certificates) in that certain beneficial ownership interest evidenced by all the Class A-2MZ Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the
amount required to be distributed to the Holders of Class A-2MZ Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class A-2MZ Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class A-2MZ Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class A-2MZ Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class A-2MZ Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class A-2MZ Certificates.
The Class A-2MZ Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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By: |
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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By: |
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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| Signature Guaranteed |
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT B-1
[FORM OF CLASS M-1 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-1
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-1 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PD 8 ISIN: US04542BPD81 | Original Class Certificate Principal Balance of the Class M-1 Certificates as of the Closing Date: $37,257,000 Initial Certificate Principal Balance: $37,257,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-1 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-1 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-1 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-1 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-1 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-1 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-1 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-1 Certificates.
The Class M-1 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as
provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
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EXHIBIT B-2
[FORM OF CLASS M-2 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A AND CLASS M-1 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-2
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-2 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PE 6 ISIN: US04542BPE64 | Original Class Certificate Principal Balance of the Class M-2 Certificates as of the Closing Date: $33,734,000 Initial Certificate Principal Balance: $33,734,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-2 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-2 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-2 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-2 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-2 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-2 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-2 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-2 Certificates.
The Class M-2 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates and Class M-1 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as
provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT B-3
[FORM OF CLASS M-3 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1 AND CLASS M-2 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-3
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-3 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PF 3 ISIN: US04542BPF30 | Original Class Certificate Principal Balance of the Class M-3 Certificates as of the Closing Date: $23,160,000 Initial Certificate Principal Balance: $23,160,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-3 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-3 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-3 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-3 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-3 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-3 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-3 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-3 Certificates.
The Class M-3 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates and Class M-2 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement
at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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By: |
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| Authorized Signatory |
Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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| Signature by or on behalf of assignor |
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| Signature Guaranteed |
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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EXHIBIT B-4
[FORM OF CLASS M-4 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2 AND CLASS M-3 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-4
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-4 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PG 1 ISIN: US04542BPG13 | Original Class Certificate Principal Balance of the Class M-4 Certificates as of the Closing Date: $16,111,000 Initial Certificate Principal Balance: $16,111,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-4 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-4 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-4 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-4 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-4 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-4 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-4 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-4 Certificates.
The Class M-4 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates and Class M-3 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement
at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
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EXHIBIT B-5
[FORM OF CLASS M-5 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3 AND CLASS M-4 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-5
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-5 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PH 9 ISIN: US04542BPH95 | Original Class Certificate Principal Balance of the Class M-5 Certificates as of the Closing Date: $16,615,000 Initial Certificate Principal Balance: $16,615,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-5 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-5 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-5 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-5 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-5 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-5 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-5 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-5 Certificates.
The Class M-5 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates and Class M-4 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement
at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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EXHIBIT B-6
[FORM OF CLASS M-6 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4 AND CLASS M-5 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-6
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-6 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PJ 5 ISIN: US04542BPJ51 | Original Class Certificate Principal Balance of the Class M-6 Certificates as of the Closing Date: $14,098,000 Initial Certificate Principal Balance: $14,098,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-6 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-6 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-6 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-6 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-6 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-6 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-6 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-6 Certificates.
The Class M-6 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates
and Class M-5 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans
and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
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EXHIBIT B-7
[FORM OF CLASS M-7 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4, CLASS M-5 AND CLASS M-6 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-7
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-7 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PK 2 ISIN: US04542BPK25 | Original Class Certificate Principal Balance of the Class M-7 Certificates as of the Closing Date: $15,104,000 Initial Certificate Principal Balance: $15,104,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-7 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-7 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-7 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-7 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-7 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-7 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-7 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-7 Certificates.
The Class M-7 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates,
Class M-5 Certificates and Class M-6 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans
and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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assignee named above, or |
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EXHIBIT B-8
[FORM OF CLASS M-8 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4, CLASS M-5, CLASS M-6 AND CLASS M-7 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-8
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-8 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PL 0 ISIN: US04542BPL08 | Original Class Certificate Principal Balance of the Class M-8 Certificates as of the Closing Date: $11,580,000 Initial Certificate Principal Balance: $11,580,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-8 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-8 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-8 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-8 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-8 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-8 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-8 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-8 Certificates.
The Class M-8 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates,
Class M-5 Certificates, Class M-6 Certificates and Class M-7 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans
and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
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EXHIBIT B-9
[FORM OF CLASS M-9 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4, CLASS M-5, CLASS M-6, CLASS M-7 AND CLASS M-8 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-9
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-9 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PM 8 ISIN: US04542BPM80 | Original Class Certificate Principal Balance of the Class M-9 Certificates as of the Closing Date: $10,070,000 Initial Certificate Principal Balance: $10,070,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-9 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-9 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-9 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-9 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-9 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-9 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-9 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-9 Certificates.
The Class M-9 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates,
Class M-5 Certificates, Class M-6 Certificates, Class M-7 Certificates and Class M-8 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans
and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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| Signature Guaranteed |
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT B-10
[FORM OF CLASS M-10 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4, CLASS M-5, CLASS M-6, CLASS M-7, CLASS M-8 AND CLASS M-9 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-10
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-10 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PN 6 ISIN: US04542BPN63 | Original Class Certificate Principal Balance of the Class M-10 Certificates as of the Closing Date: $15,104,000 Initial Certificate Principal Balance: $15,104,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-10 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-10 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the
Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-10 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-10 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-10 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-10 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-10 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-10 Certificates.
The Class M-10 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates,
Class M-5 Certificates, Class M-6 Certificates, Class M-7 Certificates, Class M-8 Certificates and Class M-9 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement
at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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By: |
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| Authorized Officer |
CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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By: |
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| Authorized Signatory |
Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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| Signature by or on behalf of assignor |
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| Signature Guaranteed |
DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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for the account of |
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account number |
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Applicable statements should be mailed to |
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This information is provided by |
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assignee named above, or |
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its agent. |
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EXHIBIT B-11
[FORM OF CLASS M-11 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4, CLASS M-5, CLASS M-6, CLASS M-7, CLASS M-8, CLASS M-9 AND CLASS M-10 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-11
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-11 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PP 1 ISIN: US04542BPP12 | Original Class Certificate Principal Balance of the Class M-11 Certificates as of the Closing Date: $6,042,000 Initial Certificate Principal Balance: $6,042,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-11 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-11 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the
Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-11 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-11 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-11 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-11 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-11 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-11 Certificates.
The Class M-11 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates,
Class M-5 Certificates, Class M-6 Certificates, Class M-7 Certificates, Class M-8 Certificates, Class M-9 Certificates and Class M-10 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement
at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
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EXHIBIT B-12
[FORM OF CLASS M-12 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M-1, CLASS M-2, CLASS M-3, CLASS M-4, CLASS M-5, CLASS M-6, CLASS M-7, CLASS M-8, CLASS M-9, CLASS M-10 AND CLASS M-11 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
ANY PURCHASER SHALL BE DEEMED TO MAKE THE REPRESENTATIONS SET FORTH IN SECTION 5.02(D) OF THE POOLING AND SERVICING AGREEMENT.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS M-12
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class M-12 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PQ 9 ISIN: US04542BPQ94 | Original Class Certificate Principal Balance of the Class M-12 Certificates as of the Closing Date: $9,063,000 Initial Certificate Principal Balance: $9,063,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class M-12 Certificates) in that certain beneficial ownership interest evidenced by all the Class M-12 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the
Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class M-12 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class M-12 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class M-12 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement. Any purchaser shall be deemed to make the representations set forth in section 5.02(d) of the Pooling and Servicing Agreement.
The Certificate Interest Rate for the Class M-12 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class M-12 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class M-12 Certificates.
The Class M-12 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M-1 Certificates, Class M-2 Certificates, Class M-3 Certificates, Class M-4 Certificates,
Class M-5 Certificates, Class M-6 Certificates, Class M-7 Certificates, Class M-8 Certificates, Class M-9 Certificates, Class M-10 Certificates and Class M-11 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement
at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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EXHIBIT B-13
[FORM OF CLASS B-1 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A AND CLASS M CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE 1933 ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE 1933 ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN.
UNDER CURRENT LAW THE PURCHASE AND HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF ANY EMPLOYEE BENEFIT PLAN OR ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), THE CODE OR ANY FEDERAL, STATE OR LOCAL LAW (“SIMILAR LAW”) WHICH IS SIMILAR TO ERISA OR THE CODE (COLLECTIVELY, A “PLAN”), MAY RESULT IN “PROHIBITED TRANSACTIONS” WITHIN THE MEANING OF ERISA, THE CODE OR SIMILAR LAW. TRANSFER OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE TRUSTEE EITHER (I) A REPRESENTATION LETTER, IN FORM AND SUBSTANCE SATISFACTORY
TO THE TRUSTEE, STATING THAT (A) IT IS NOT, AND IS NOT ACTING ON BEHALF OF, ANY SUCH PLAN OR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH PURCHASE OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE THIS CERTIFICATE IS AN “INSURANCE COMPANY GENERAL ACCOUNT” (AS SUCH TERM IS DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 (“PTE 95-60”), 60 FED. REG. 35925 (JULY 12, 1995)), THERE IS NO PLAN WITH RESPECT TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT’S RESERVES AND LIABILITIES FOR THE CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE 95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES, OR (II) AN OPINION OF COUNSEL, IN FORM AND SUBSTANCE SATISFACTORY TO THE TRUSTEE, TO THE EFFECT THAT THE PURCHASE OR HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975 OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE DEPOSITOR, THE SERVICER OR THE TRUSTEE TO ANY OBLIGATION IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT. EACH PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN SHALL BE DEEMED TO HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON SHALL HAVE PROVIDED SUCH REPRESENTATION LETTER OR THE OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE TRUSTEE. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS B-1
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class B-1 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PR 7 ISIN: US04542BPR77 | Original Class Certificate Principal Balance of the Class B-1 Certificates as of the Closing Date: $10,573,000 Initial Certificate Principal Balance: $10,573,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class B-1 Certificates) in that certain beneficial ownership interest evidenced by all the Class B-1 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class B-1 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class B-1 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class B-1 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement.
The Certificate Interest Rate for the Class B-1 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class B-1 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class B-1 Certificates.
The Class B-1 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates and Class M Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No transfer of this Certificate shall be made unless that transfer is made pursuant to an effective registration statement under the 1933 Act and effective registration or qualification under applicable state securities laws, or is made in a transaction that does not require such registration or qualification. In the event that a transfer is to be made without registration or qualification, the Certificate Registrar shall require, in order to assure compliance with such laws, that the Certificateholder desiring to effect the transfer and such Certificateholder’s prospective transferee each execute a representation letter in the form described by the Agreement certifying to the Certificate Registrar the facts surrounding the transfer. None of the Depositor, the Certificate Registrar or the Trustee is obligated to register or qualify the Class of Certificates specified on the face hereof under the 1933 Act or any other securities law or to take any action not otherwise required under the Agreement to permit the transfer of such Certificates without registration or qualification. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor, the Certificate Registrar and the Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
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EXHIBIT B-14
[FORM OF CLASS B-2 CERTIFICATE]
UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY, A NEW YORK CORPORATION (“DTC”), TO THE TRUSTEE OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, OR PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE & CO. OR IN SUCH OTHER NAME AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT IS MADE TO CEDE & CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL INASMUCH AS THE REGISTERED OWNER HEREOF, CEDE & CO., HAS AN INTEREST HEREIN.
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE CLASS A, CLASS M AND CLASS B-1 CERTIFICATES AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS BENEFICIAL OWNERSHIP OF A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE 1933 ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE 1933 ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE POOLING AND SERVICING AGREEMENT REFERENCED HEREIN.
UNDER CURRENT LAW THE PURCHASE AND HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF ANY EMPLOYEE BENEFIT PLAN OR ARRANGEMENT, INCLUDING AN INDIVIDUAL RETIREMENT ACCOUNT, SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), THE CODE OR ANY FEDERAL, STATE OR LOCAL LAW (“SIMILAR LAW”) WHICH IS SIMILAR TO ERISA OR THE CODE (COLLECTIVELY, A “PLAN”), MAY RESULT IN “PROHIBITED TRANSACTIONS” WITHIN THE MEANING OF ERISA, THE CODE OR SIMILAR LAW. TRANSFER OF THIS CERTIFICATE WILL NOT BE MADE UNLESS THE TRANSFEREE DELIVERS TO THE TRUSTEE EITHER (I) A REPRESENTATION LETTER, IN FORM AND SUBSTANCE SATISFACTORY
TO THE TRUSTEE, STATING THAT (A) IT IS NOT, AND IS NOT ACTING ON BEHALF OF, ANY SUCH PLAN OR USING THE ASSETS OF ANY SUCH PLAN TO EFFECT SUCH PURCHASE OR (B) IF IT IS AN INSURANCE COMPANY, THAT THE SOURCE OF FUNDS USED TO PURCHASE THIS CERTIFICATE IS AN “INSURANCE COMPANY GENERAL ACCOUNT” (AS SUCH TERM IS DEFINED IN SECTION V(E) OF PROHIBITED TRANSACTION CLASS EXEMPTION 95-60 (“PTE 95-60”), 60 FED. REG. 35925 (JULY 12, 1995)), THERE IS NO PLAN WITH RESPECT TO WHICH THE AMOUNT OF SUCH GENERAL ACCOUNT’S RESERVES AND LIABILITIES FOR THE CONTRACT(S) HELD BY OR ON BEHALF OF SUCH PLAN AND ALL OTHER PLANS MAINTAINED BY THE SAME EMPLOYER (OR AFFILIATE THEREOF AS DEFINED IN SECTION V(A)(1) OF PTE 95-60) OR BY THE SAME EMPLOYEE ORGANIZATION EXCEEDS 10% OF THE TOTAL OF ALL RESERVES AND LIABILITIES OF SUCH GENERAL ACCOUNT (AS SUCH AMOUNTS ARE DETERMINED UNDER SECTION I(A) OF PTE 95-60) AT THE DATE OF ACQUISITION AND ALL PLANS THAT HAVE AN INTEREST IN SUCH GENERAL ACCOUNT ARE PLANS TO WHICH PTE 95-60 APPLIES, OR (II) AN OPINION OF COUNSEL, IN FORM AND SUBSTANCE SATISFACTORY TO THE TRUSTEE, TO THE EFFECT THAT THE PURCHASE OR HOLDING OF THIS CERTIFICATE BY OR ON BEHALF OF SUCH PLAN WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION WITHIN THE MEANING OF ERISA, SECTION 4975 OF THE CODE OR SIMILAR LAW AND WILL NOT SUBJECT THE DEPOSITOR, THE SERVICER OR THE TRUSTEE TO ANY OBLIGATION IN ADDITION TO THOSE UNDERTAKEN IN THE POOLING AND SERVICING AGREEMENT. EACH PERSON WHO ACQUIRES THIS CERTIFICATE OR ANY INTEREST THEREIN SHALL BE DEEMED TO HAVE MADE THE REPRESENTATIONS REQUIRED BY THE REPRESENTATION LETTER REFERRED TO IN THE PRECEDING SENTENCE, UNLESS SUCH PERSON SHALL HAVE PROVIDED SUCH REPRESENTATION LETTER OR THE OPINION OF COUNSEL REFERRED TO IN THE PRECEDING SENTENCE TO THE TRUSTEE. THE POOLING AND SERVICING AGREEMENT PROVIDES THAT ANY ATTEMPTED OR PURPORTED TRANSFER IN VIOLATION OF THESE TRANSFER RESTRICTIONS WILL BE NULL AND VOID AND WILL VEST NO RIGHTS IN ANY PURPORTED TRANSFEREE.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS B-2
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class B-2 Certificate Interest Rate: Floating Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 CUSIP: 04542B PS 5 ISIN: 04542BPS50 | Original Class Certificate Principal Balance of the Class B-2 Certificates as of the Closing Date: $3,021,000 Initial Certificate Principal Balance: $3,021,000 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005
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DISTRIBUTIONS IN REDUCTION OF THE CERTIFICATE PRINCIPAL BALANCE OF THIS CERTIFICATE MAY BE MADE MONTHLY AS SET FORTH HEREIN. ACCORDINGLY, THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Cede & Co. is the registered owner of a Percentage Interest (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the Original Class Certificate Principal Balance of the Class B-2 Certificates) in that certain beneficial ownership interest evidenced by all the Class B-2 Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which
Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class B-2 Certificates on such Distribution Date pursuant to the Agreement; provided, however, that if any Class B-2 Certificate becomes a Definitive Certificate, the Record Date for such Certificate will be the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class B-2 Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement.
The Certificate Interest Rate for the Class B-2 Certificates for each Distribution Date will be the least of (i) One-Month LIBOR as of the related LIBOR Determination Date plus the applicable Certificate Margin, (ii) the applicable Maximum Rate Cap and (iii) the applicable Cap. Interest will accrue on the Class B-2 Certificates during each Interest Accrual Period at the Certificate Interest Rate.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing a Percentage Interest in the Class B-2 Certificates.
The Class B-2 Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
This certificate is subordinated in right of payment to the Class A Certificates, Class M Certificates and Class B-1 Certificates as described in the Pooling and Servicing Agreement referred to herein.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No transfer of this Certificate shall be made unless that transfer is made pursuant to an effective registration statement under the 1933 Act and effective registration or qualification under applicable state securities laws, or is made in a transaction that does not require such registration or qualification. In the event that a transfer is to be made without registration or qualification, the Certificate Registrar shall require, in order to assure compliance with such laws, that the Certificateholder desiring to effect the transfer and such Certificateholder’s prospective transferee each execute a representation letter in the form described by the Agreement certifying to the Certificate Registrar the facts surrounding the transfer. None of the Depositor, the Certificate Registrar or the Trustee is obligated to register or qualify the Class of Certificates specified on the face hereof under the 1933 Act or any other securities law or to take any action not otherwise required under the Agreement to permit the transfer of such Certificates without registration or qualification. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor, the Certificate Registrar and the Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance and amounts deposited in the Pre-Funding Accounts.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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Date of authentication:
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto ________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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Dated: |
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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Applicable statements should be mailed to |
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EXHIBIT C-1
[FORM OF CLASS CE CERTIFICATES]
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS A DIRECT OR INDIRECT BENEFICIAL INTEREST IN A “REGULAR INTEREST” IN A “REAL ESTATE MORTGAGE INVESTMENT CONDUIT,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”) AND CERTAIN OTHER PROPERTY.
THIS CLASS CE CERTIFICATE IS SUBORDINATE TO THE OFFERED CERTIFICATES AND CLASS B CERTIFICATES OF THIS SERIES TO THE EXTENT DESCRIBED HEREIN AND IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CLASS CE CERTIFICATE WILL NOT BE ENTITLED TO PAYMENTS UNTIL SUCH TIME AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CLASS CE CERTIFICATE HAS NOT BEEN REGISTERED OR QUALIFIED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”), OR THE SECURITIES LAWS OF ANY STATE. ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE WITHOUT SUCH REGISTRATION OR QUALIFICATION MAY BE MADE ONLY IN A TRANSACTION THAT DOES NOT REQUIRE SUCH REGISTRATION OR QUALIFICATION AND IN ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT SUBJECT TO TITLE I OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED, SECTION 4975 OF THE CODE OR ANY MATERIALLY SIMILAR PROVISIONS OF APPLICABLE FEDERAL, STATE OR LOCAL LAW WILL BE REGISTERED.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS CE
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class CE Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 Percentage Interest: 100% | Initial Certificate Principal Balance of this Certificate (“Denomination”): $5,035,323.40 Initial Notional Amount of this Certificate: $996,773,690.74 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Hare & Co. is the registered owner of a Percentage Interest set forth above in that certain beneficial ownership interest evidenced by all the Class CE Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs (the “Record Date”), from funds in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class CE Certificates on such Distribution Date pursuant to the Agreement.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class CE Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Mortgage Loan Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing the Percentage Interest specified on the face hereof.
The Class CE Certificates are limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As
provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No transfer of this Certificate shall be made unless that transfer is made pursuant to an effective registration statement under the 1933 Act and effective registration or qualification under applicable state securities laws, or is made in a transaction that does not require such registration or qualification. In the event that a transfer is to be made without registration or qualification, the Certificate Registrar shall require, in order to assure compliance with such laws, either (i) that the Certificateholder desiring to effect the transfer and such Certificateholder’s prospective transferee each execute a representation letter in the form described by the Agreement certifying to the Certificate Registrar the facts surrounding the transfer, or (ii) unless such transfer is made in reliance upon Rule 144A under the 1933 Act, that the Depositor and the Certificate Registrar receive an Opinion of Counsel satisfactory to them that such transfer may be made without such registration or qualification, which Opinion of Counsel shall not be an expense of the Depositor, the Trustee or the Certificate Registrar, in their respective capacities as such. None of the Depositor, the Certificate Registrar or the Trustee is obligated to register or qualify the Class of Certificates specified on the face hereof under the 1933 Act or any other securities law or to take any action not otherwise required under the Agreement to permit the transfer of such Certificates without registration or qualification. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor, the Certificate Registrar and the Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.
No transfer of a Certificate or any interest therein may be made to employee benefit plans and certain other retirement plans and arrangements, including individual retirement accounts and annuities, Keogh plans and collective investment funds and separate accounts in which such plans, accounts or arrangements are invested that are subject to the fiduciary responsibility provisions of ERISA, Section 4975 of the Code or any materially similar provisions of applicable federal, state or local law (collectively, “Plans”) or any person who is directly or indirectly purchasing the Certificate or interest therein on behalf of, as named fiduciary of, as trustee of, or with assets of a Plan.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the
Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
Dated:
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
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EXHIBIT C-2
[FORM OF CLASS P CERTIFICATE]
THIS CLASS P CERTIFICATE HAS NOT BEEN REGISTERED OR QUALIFIED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”), OR THE SECURITIES LAWS OF ANY STATE. ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE WITHOUT SUCH REGISTRATION OR QUALIFICATION MAY BE MADE ONLY IN A TRANSACTION THAT DOES NOT REQUIRE SUCH REGISTRATION OR QUALIFICATION AND IN ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT SUBJECT TO TITLE I OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED, SECTION 4975 OF THE CODE OR ANY MATERIALLY SIMILAR PROVISIONS OF APPLICABLE FEDERAL, STATE OR LOCAL LAW WILL BE REGISTERED.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS P
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class P Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 Percentage Interest: 100% | Original Class Certificate Principal Balance of this Class: $100.00 Initial Certificate Principal Balance: $100.00 Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Hare & Co. is the registered owner of a Percentage Interest set forth above in that certain beneficial ownership interest evidenced by all the Class P Certificates in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs (the “Record Date”), from Prepayment Charges, Originator Prepayment Charge Payment Amounts and Servicer Prepayment Charge Payment Amounts in the Distribution Account in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount required to be distributed to the Holders of Class P Certificates on such Distribution Date pursuant to the Agreement.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class P Certificates, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing the Percentage Interest specified on the face hereof.
The Class P Certificates are limited in right of payment to Prepayment Charges received on the Mortgage Loans, Originator Prepayment Charge Payment Amounts and Servicer Prepayment Charge Payment Amounts, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As
provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No transfer of this Certificate shall be made unless that transfer is made pursuant to an effective registration statement under the 1933 Act and effective registration or qualification under applicable state securities laws, or is made in a transaction that does not require such registration or qualification. In the event that a transfer is to be made without registration or qualification, the Certificate Registrar shall require, in order to assure compliance with such laws, either (i) that the Certificateholder desiring to effect the transfer and such Certificateholder’s prospective transferee each execute a representation letter in the form described by the Agreement certifying to the Certificate Registrar the facts surrounding the transfer, or (ii) unless such transfer is made in reliance upon Rule 144A under the 1933 Act, that the Depositor and the Certificate Registrar receive an Opinion of Counsel satisfactory to them that such transfer may be made without such registration or qualification, which Opinion of Counsel shall not be an expense of the Depositor, the Trustee or the Certificate Registrar, in their respective capacities as such. None of the Depositor, the Certificate Registrar or the Trustee is obligated to register or qualify the Class of Certificates specified on the face hereof under the 1933 Act or any other securities law or to take any action not otherwise required under the Agreement to permit the transfer of such Certificates without registration or qualification. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor, the Certificate Registrar and the Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.
No transfer of a Certificate or any interest therein may be made to employee benefit plans and certain other retirement plans and arrangements, including individual retirement accounts and annuities, Keogh plans and collective investment funds and separate accounts in which such plans, accounts or arrangements are invested that are subject to the fiduciary responsibility provisions of ERISA, Section 4975 of the Code or any materially similar provisions of applicable federal, state or local law (collectively, “Plans”) or any person who is directly or indirectly purchasing the Certificate or interest therein on behalf of, as named fiduciary of, as trustee of, or with assets of a Plan.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar or any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the
Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is one of the Certificates referred to in the within-mentioned Agreement.
Dated:
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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account number |
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assignee named above, or |
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EXHIBIT C-3
[FORM OF CLASS R CERTIFICATE]
THIS CERTIFICATE MAY NOT BE TRANSFERRED TO A NON-UNITED STATES PERSON.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS THE “RESIDUAL INTEREST” IN TWO SEPARATE “REAL ESTATE MORTGAGE INVESTMENT CONDUITS,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).
THIS CLASS R CERTIFICATE IS SUBORDINATE TO THE OFFERED CERTIFICATES, CLASS B CERTIFICATES AND CLASS CE CERTIFICATES OF THIS SERIES TO THE EXTENT DESCRIBED HEREIN AND IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CLASS R CERTIFICATE WILL NOT BE ENTITLED TO PAYMENTS UNTIL SUCH TIME AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CLASS R CERTIFICATE HAS NOT BEEN REGISTERED OR QUALIFIED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”), OR THE SECURITIES LAWS OF ANY STATE. ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE WITHOUT SUCH REGISTRATION OR QUALIFICATION MAY BE MADE ONLY IN A TRANSACTION THAT DOES NOT REQUIRE SUCH REGISTRATION OR QUALIFICATION AND IN ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT SUBJECT TO TITLE I OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED, SECTION 4975 OF THE CODE OR ANY MATERIALLY SIMILAR PROVISIONS OF APPLICABLE FEDERAL, STATE OR LOCAL LAW WILL BE REGISTERED.
ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CLASS R CERTIFICATE MAY BE MADE ONLY IF THE PROPOSED TRANSFEREE PROVIDES (1) AN AFFIDAVIT TO THE CERTIFICATE REGISTRAR THAT SUCH TRANSFEREE IS NOT (A) THE UNITED STATES, ANY STATE OR POLITICAL SUBDIVISION THEREOF, ANY FOREIGN GOVERNMENT, ANY INTERNATIONAL ORGANIZATION, OR ANY AGENCY OR INSTRUMENTALITY OF ANY OF THE FOREGOING, (B) ANY ORGANIZATION (OTHER THAN A COOPERATIVE DESCRIBED IN SECTION 521 OF THE CODE) WHICH IS EXEMPT FROM THE TAX
IMPOSED BY CHAPTER 1 OF THE CODE UNLESS SUCH ORGANIZATION IS SUBJECT TO THE TAX IMPOSED BY SECTION 511 OF THE CODE, (C) ANY ORGANIZATION DESCRIBED IN SECTION 1381(a)(2)(C) OF THE CODE (ANY SUCH PERSON DESCRIBED IN THE FOREGOING CLAUSES (A), (B) OR (C) BEING HEREINAFTER REFERRED TO AS A “DISQUALIFIED ORGANIZATION”), OR (D) AN AGENT OF A DISQUALIFIED ORGANIZATION AND (2) NO PURPOSE OF SUCH TRANSFER IS TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX, AND (3) SUCH TRANSFEREE SATISFIES CERTAIN ADDITIONAL CONDITIONS RELATING TO THE FINANCIAL CONDITION OF THE PROPOSED TRANSFEREE. NOTWITHSTANDING THE REGISTRATION IN THE CERTIFICATE REGISTER OR ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS CLASS R CERTIFICATE TO A DISQUALIFIED ORGANIZATION OR AN AGENT OF A DISQUALIFIED ORGANIZATION, SUCH REGISTRATION SHALL BE DEEMED TO BE OF NO LEGAL FORCE OR EFFECT WHATSOEVER AND SUCH PERSON SHALL NOT BE DEEMED TO BE A CERTIFICATEHOLDER FOR ANY PURPOSE HEREUNDER, INCLUDING, BUT NOT LIMITED TO, THE RECEIPT OF DISTRIBUTIONS ON THIS CERTIFICATE. EACH HOLDER OF THE CLASS R CERTIFICATE BY ACCEPTANCE OF THIS CERTIFICATE SHALL BE DEEMED TO HAVE CONSENTED TO THE PROVISIONS OF THIS PARAGRAPH AND THE PROVISIONS OF SECTION 5.02(d) OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN. ANY PERSON THAT IS A DISQUALIFIED ORGANIZATION IS PROHIBITED FROM ACQUIRING BENEFICIAL OWNERSHIP OF THIS CLASS R CERTIFICATE.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS R
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class R Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 Percentage Interest: 100% | Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Hare & Co. is the registered owner of 100% Percentage Interest in that certain beneficial ownership interest evidenced by the Class R Certificate in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs (the “Record Date”), from funds in the Distribution Account in the amount required to be distributed to the Holder of Class R Certificate on such Distribution Date pursuant to the Agreement.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately
available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class R Certificate, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing the Percentage Interest specified on the face hereof.
The Class R Certificate is limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No transfer of this Certificate shall be made unless that transfer is made pursuant to an effective registration statement under the 1933 Act and effective registration or qualification under applicable state securities laws, or is made in a transaction that does not require such registration or qualification. In the event that a transfer is to be made without registration or qualification, the Certificate Registrar shall require, in order to assure compliance with such laws, either (i) that the Certificateholder desiring to effect the transfer and such Certificateholder’s prospective transferee each execute a representation letter in the form described by the Agreement certifying to the Certificate Registrar the facts surrounding the transfer, or (ii) unless such transfer is made in reliance upon Rule 144A under the 1933 Act, that the Depositor and the Certificate Registrar receive an Opinion of Counsel satisfactory to them that such transfer may be made without such registration or qualification, which Opinion of Counsel shall not be an expense of the Depositor, the Trustee or the Certificate Registrar, in their respective capacities as such. None of the Depositor, the Certificate Registrar or the Trustee is obligated to register or qualify the Class of Certificates specified on the face hereof under the 1933 Act or any other securities law or to take any action not otherwise required under the Agreement to permit the transfer of such Certificates without registration or qualification. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor, the Certificate Registrar and the Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.
No transfer of this Certificate or any interest therein may be made to employee benefit plans and certain other retirement plans and arrangements, including individual retirement accounts and annuities, Keogh plans and collective investment funds and separate accounts in which such plans, accounts or arrangements are invested that are subject to the fiduciary responsibility provisions of ERISA, Section 4975 of the Code or any materially similar provisions of applicable federal, state or local law (collectively, “Plans”) or any person who is directly or indirectly purchasing the Certificate or interest therein on behalf of, as named fiduciary of, as trustee of, or with assets of a Plan.
The Holder of this Certificate, by its acceptance hereof, shall be deemed for all purposes to have consented to the provisions of Section 5.02 of the Agreement and to any amendment of the Agreement deemed necessary by counsel of the Depositor to ensure that the transfer of this Certificate to any Person other than a Permitted Transferee or any other Person will not cause the Trust to cease to qualify as two separate REMICs or cause the imposition of a tax upon the Trust.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is the one of the Certificates referred to in the within-mentioned Agreement.
Dated:
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)_____________________________________________________________
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
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EXHIBIT C-4
[FORM OF CLASS R-X CERTIFICATE]
THIS CERTIFICATE MAY NOT BE TRANSFERRED TO A NON-UNITED STATES PERSON.
FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS THE “RESIDUAL INTEREST” IN TWO SEPARATE “REAL ESTATE MORTGAGE INVESTMENT CONDUITS,” AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE “CODE”).
THIS CLASS R-X CERTIFICATE IS SUBORDINATE TO THE OFFERED CERTIFICATES, CLASS B CERTIFICATES AND CLASS CE CERTIFICATES OF THIS SERIES TO THE EXTENT DESCRIBED HEREIN AND IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CLASS R-X CERTIFICATE WILL NOT BE ENTITLED TO PAYMENTS UNTIL SUCH TIME AS DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
THIS CLASS R-X CERTIFICATE HAS NOT BEEN REGISTERED OR QUALIFIED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “1933 ACT”), OR THE SECURITIES LAWS OF ANY STATE. ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE WITHOUT SUCH REGISTRATION OR QUALIFICATION MAY BE MADE ONLY IN A TRANSACTION THAT DOES NOT REQUIRE SUCH REGISTRATION OR QUALIFICATION AND IN ACCORDANCE WITH THE PROVISIONS OF SECTION 5.02 OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT SUBJECT TO TITLE I OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED, SECTION 4975 OF THE CODE OR ANY MATERIALLY SIMILAR PROVISIONS OF APPLICABLE FEDERAL, STATE OR LOCAL LAW WILL BE REGISTERED.
ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CLASS R-X CERTIFICATE MAY BE MADE ONLY IF THE PROPOSED TRANSFEREE PROVIDES (1) AN AFFIDAVIT TO THE CERTIFICATE REGISTRAR THAT SUCH TRANSFEREE IS NOT (A) THE UNITED STATES, ANY STATE OR POLITICAL SUBDIVISION THEREOF, ANY FOREIGN GOVERNMENT, ANY INTERNATIONAL ORGANIZATION, OR ANY AGENCY OR INSTRUMENTALITY OF ANY OF THE FOREGOING, (B) ANY ORGANIZATION (OTHER THAN A COOPERATIVE DESCRIBED IN SECTION 521 OF THE CODE) WHICH IS EXEMPT FROM THE TAX
IMPOSED BY CHAPTER 1 OF THE CODE UNLESS SUCH ORGANIZATION IS SUBJECT TO THE TAX IMPOSED BY SECTION 511 OF THE CODE, (C) ANY ORGANIZATION DESCRIBED IN SECTION 1381(a)(2)(C) OF THE CODE (ANY SUCH PERSON DESCRIBED IN THE FOREGOING CLAUSES (A), (B) OR (C) BEING HEREINAFTER REFERRED TO AS A “DISQUALIFIED ORGANIZATION”), OR (D) AN AGENT OF A DISQUALIFIED ORGANIZATION AND (2) NO PURPOSE OF SUCH TRANSFER IS TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX, AND (3) SUCH TRANSFEREE SATISFIES CERTAIN ADDITIONAL CONDITIONS RELATING TO THE FINANCIAL CONDITION OF THE PROPOSED TRANSFEREE. NOTWITHSTANDING THE REGISTRATION IN THE CERTIFICATE REGISTER OR ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS CLASS R-X CERTIFICATE TO A DISQUALIFIED ORGANIZATION OR AN AGENT OF A DISQUALIFIED ORGANIZATION, SUCH REGISTRATION SHALL BE DEEMED TO BE OF NO LEGAL FORCE OR EFFECT WHATSOEVER AND SUCH PERSON SHALL NOT BE DEEMED TO BE A CERTIFICATEHOLDER FOR ANY PURPOSE HEREUNDER, INCLUDING, BUT NOT LIMITED TO, THE RECEIPT OF DISTRIBUTIONS ON THIS CERTIFICATE. EACH HOLDER OF THE CLASS R-X CERTIFICATE BY ACCEPTANCE OF THIS CERTIFICATE SHALL BE DEEMED TO HAVE CONSENTED TO THE PROVISIONS OF THIS PARAGRAPH AND THE PROVISIONS OF SECTION 5.02(d) OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN. ANY PERSON THAT IS A DISQUALIFIED ORGANIZATION IS PROHIBITED FROM ACQUIRING BENEFICIAL OWNERSHIP OF THIS CLASS R-X CERTIFICATE.
ABFC ASSET-BACKED CERTIFICATES
SERIES 2005-WMC1, CLASS R-X
evidencing a beneficial ownership interest in a Trust Fund consisting primarily of a pool of conventional fixed-rate and adjustable-rate one- to four-family first and second lien mortgage loans formed and sold by
ASSET BACKED FUNDING CORPORATION
Series 2005-WMC1, Class R-X Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2005 First Distribution Date: October 25, 2005 No. 1 Percentage Interest: 100% | Servicer: HomEq Servicing Corporation Trustee: Wells Fargo Bank, N.A. Closing Date: September 30, 2005 |
THIS CERTIFICATE DOES NOT REPRESENT AN OBLIGATION OF OR INTEREST IN ASSET BACKED FUNDING CORPORATION, THE SERVICER, THE TRUSTEE OR ANY OF THEIR AFFILIATES. THIS CERTIFICATE IS NOT GUARANTEED BY ANY AGENCY OR INSTRUMENTALITY OF THE UNITED STATES OR ANY OTHER ENTITY.
This certifies that Hare & Co. is the registered owner of 100% Percentage Interest in that certain beneficial ownership interest evidenced by the Class R-X Certificate in the Trust Fund created pursuant to a Pooling and Servicing Agreement, dated as specified above (the “Agreement”), among Asset Backed Funding Corporation (hereinafter called the “Depositor,” which term includes any successor entity under the Agreement), the Servicer and the Trustee, a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, distributions will be made on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (a “Distribution Date”), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered on the last Business Day of the month immediately preceding the month in which the related Distribution Date occurs (the “Record Date”), from funds in the Distribution Account in the amount required to be distributed to the Holder of Class R-X Certificate on such Distribution Date pursuant to the Agreement.
All distributions to the Holder of this Certificate under the Agreement will be made or caused to be made by or on behalf of the Trustee by wire transfer in immediately
available funds to the account of the Person entitled thereto if such Person shall have so notified the Certificate Registrar in writing at least five Business Days prior to the Record Date immediately prior to such Distribution Date and is the registered owner of Class R-X Certificate, or by check mailed by first class mail to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register, provided that the Certificate Registrar may deduct a reasonable wire transfer fee from any payment made by wire transfer. Notwithstanding the above, the final distribution on this Certificate will be made after due notice by the Trustee of the pendency of such distribution and only upon presentation and surrender of this Certificate at the office or agency appointed by the Trustee for that purpose as provided in the Agreement.
This Certificate is one of a duly authorized issue of Certificates designated as ABFC Asset-Backed Certificates of the Series specified on the face hereof (herein called the “Certificates”) and representing the Percentage Interest specified on the face hereof.
The Class R-X Certificate is limited in right of payment to certain collections and recoveries respecting the Mortgage Loans, all as more specifically set forth herein and in the Agreement. As provided in the Agreement, withdrawals from the Collection Account and the Distribution Account may be made from time to time for purposes other than distributions to Certificateholders, such purposes including reimbursement of advances made, or certain expenses incurred, with respect to the Mortgage Loans.
The Agreement permits, with certain exceptions therein provided, the amendment thereof and the modification of the rights and obligations of the Depositor, the Servicer, the Trustee and the rights of the Certificateholders under the Agreement at any time by the Depositor, the Servicer and the Trustee with the consent of the Holders of Certificates entitled to the Voting Rights identified in the agreement. Any such consent by the Holder of this Certificate shall be conclusive and binding on such Holder and upon all future Holders of this Certificate and of any Certificate issued upon the transfer hereof or in exchange herefor or in lieu hereof whether or not notation of such consent is made upon this Certificate. The Agreement also permits the amendment thereof, in certain limited circumstances, without the consent of the Holders of any of the Certificates.
As provided in the Agreement and subject to certain limitations therein set forth, the transfer of this Certificate is registrable in the Certificate Register upon surrender of this Certificate for registration of transfer at the offices or agencies appointed by the Trustee as provided in the Agreement, duly endorsed by, or accompanied by an assignment in the form below or other written instrument of transfer in form satisfactory to the Trustee and the Certificate Registrar duly executed by, the Holder hereof or such Holder’s attorney duly authorized in writing, and thereupon one or more new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable in fully registered form only without coupons in Classes and denominations representing Percentage Interests specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of the same Class in authorized denominations evidencing the same aggregate Percentage Interest, as requested by the Holder surrendering the same.
No transfer of this Certificate shall be made unless that transfer is made pursuant to an effective registration statement under the 1933 Act and effective registration or qualification under applicable state securities laws, or is made in a transaction that does not require such registration or qualification. In the event that a transfer is to be made without registration or qualification, the Certificate Registrar shall require, in order to assure compliance with such laws, either (i) that the Certificateholder desiring to effect the transfer and such Certificateholder’s prospective transferee each execute a representation letter in the form described by the Agreement certifying to the Certificate Registrar the facts surrounding the transfer, or (ii) unless such transfer is made in reliance upon Rule 144A under the 1933 Act, that the Depositor and the Certificate Registrar receive an Opinion of Counsel satisfactory to them that such transfer may be made without such registration or qualification, which Opinion of Counsel shall not be an expense of the Depositor, the Trustee or the Certificate Registrar, in their respective capacities as such. None of the Depositor, the Certificate Registrar or the Trustee is obligated to register or qualify the Class of Certificates specified on the face hereof under the 1933 Act or any other securities law or to take any action not otherwise required under the Agreement to permit the transfer of such Certificates without registration or qualification. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor, the Certificate Registrar and the Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such federal and state laws.
No transfer of this Certificate or any interest therein may be made to employee benefit plans and certain other retirement plans and arrangements, including individual retirement accounts and annuities, Keogh plans and collective investment funds and separate accounts in which such plans, accounts or arrangements are invested that are subject to the fiduciary responsibility provisions of ERISA, Section 4975 of the Code or any materially similar provisions of applicable federal, state or local law (collectively, “Plans”) or any person who is directly or indirectly purchasing the Certificate or interest therein on behalf of, as named fiduciary of, as trustee of, or with assets of a Plan.
The Holder of this Certificate, by its acceptance hereof, shall be deemed for all purposes to have consented to the provisions of Section 5.02 of the Agreement and to any amendment of the Agreement deemed necessary by counsel of the Depositor to ensure that the transfer of this Certificate to any Person other than a Permitted Transferee or any other Person will not cause the Trust to cease to qualify as two separate REMICs or cause the imposition of a tax upon the Trust.
No service charge will be made for any such registration of transfer or exchange of Certificates, but the Certificate Registrar may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates.
The Depositor, the Servicer, the Trustee and the Certificate Registrar and any agent of the Depositor, the Servicer, the Trustee or the Certificate Registrar may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and none of the Depositor, the Servicer, the Trustee, the Certificate Registrar nor any such agent shall be affected by notice to the contrary.
The obligations created by the Agreement and the Trust Fund created thereby shall terminate upon payment to the Certificateholders of all amounts held by or on behalf of the Trustee and required to be paid to them pursuant to the Agreement following the earlier of (i) the final payment or other liquidation (or any advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund, and (ii) the purchase by the party designated in the Agreement at a price determined as provided in the Agreement from the Trust Fund of all Mortgage Loans and all property acquired in respect of such Mortgage Loans. The Agreement permits, but does not require, the party designated in the Agreement to purchase from the Trust Fund all Mortgage Loans and all property acquired in respect of any Mortgage Loan at a price determined as provided in the Agreement. The exercise of such right will effect early retirement of the Certificates; however, such right to purchase is subject to the aggregate Principal Balance of the Mortgage Loans at the time of purchase being less than 10% of the Cut-off Date Aggregate Principal Balance.
The recitals contained herein shall be taken as statements of the Depositor and the Trustee assumes no responsibility for their correctness.
Unless the certificate of authentication hereon has been executed by the Certificate Registrar, by manual signature, this Certificate shall not be entitled to any benefit under the Agreement or be valid for any purpose.
IN WITNESS WHEREOF, the Trustee has caused this Certificate to be duly executed.
Dated:
WELLS FARGO BANK, N.A., as Trustee
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CERTIFICATE OF AUTHENTICATION
This is the one of the Certificates referred to in the within-mentioned Agreement.
Dated:
WELLS FARGO BANK, N.A., as Certificate Registrar | ||||||
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ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this instrument, shall be construed as though they were written out in full according to applicable laws or regulations:
TEN COM - as tenants in common TEN ENT - as tenants by the entireties JT TEN - as joint tenants with right of survivorship and not as tenants in common | UNIF GIFT MIN ACT - Custodian (Cust) (Minor) under Uniform Gifts to Minors Act ________________ (State) |
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _________________________________________________________________
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(Please print or typewrite name, address including postal zip code, and Taxpayer Identification Number of assignee)
a Percentage Interest equal to ____% evidenced by the within asset-backed Certificate and hereby authorize(s) the registration of transfer of such interest to assignee on the Certificate Register of the Trust Fund.
I (we) further direct the Certificate Registrar to issue a new Certificate of a like Percentage Interest and Class to the above named assignee and deliver such Certificate to the following address:
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DISTRIBUTION INSTRUCTIONS
The assignee should include the following for purposes of distribution:
Distributions shall be made, by wire transfer or otherwise, in immediately available | |||||||
funds to |
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EXHIBIT D
MORTGAGE LOAN SCHEDULE
Loanid Homeq Loanid Group Split - --------------------------------------------------------------------------------------- 11169592 323840322 1 11204530 323860247 2 11210834 323868448 1 11224524 323886135 1 11216679 323876854 1 11221148 323882480 2 11204200 323859819 2 11222367 323884007 2 11188976 323846550 2 11188236 323846253 2 11169081 323840223 1 11218752 323879502 2 11211274 323869172 1 11227400 323888206 1 11202069 323857243 2 11214149 323873273 2 11207767 323864108 2 11205586 323861427 2 11190148 323847129 2 11198856 323854034 2 11231706 323890525 2 11230373 323889865 2 11215369 323874891 2 11203652 323859181 2 11210622 323868067 2 11168652 323840108 2 11213185 323872051 2 11197395 323852509 2 11178194 323842302 2 11198203 323853226 2 11198583 323853671 2 11194055 323849687 2 11197985 323852954 2 11202684 323857938 2 11227525 323888289 1 11205496 323861369 1 11210976 323868695 2 11188238 323846261 1 11202470 323857714 2 11206820 323863019 1 11212665 323871350 2 11190748 323847475 1 11229976 323889683 1 11181528 323843490 2 11212745 323871475 1 11226417 323887554 1 11206475 323862581 2 11204139 323859736 2 11200964 323856112 2 11200997 323856146 1 11187324 323845818 2 11226229 323887430 1 11230400 323889899 1 11196182 323851428 1 11225549 323886986 2 11216937 323877209 2 11210440 323867721 2 11222184 323883710 1 11219993 323880880 2 11223735 323885517 1 11226384 323887513 2 11185470 323845115 2 11228465 323888917 2 11214041 323873117 1 11228811 323889063 2 11190878 323847541 2 11210070 323867093 2 11226006 323887307 1 11213994 323873018 2 11200733 323855965 2 11224915 323886408 2 11204287 323859967 2 11210136 323867192 2 11214648 323873968 2 11217630 323878066 2 11201105 323856278 2 11205939 323861963 1 11231196 323890277 2 11221503 323882894 1 11209790 323866624 1 11214762 323874149 1 11230208 323889774 2 11197282 323852400 2 11220104 323881078 2 11206554 323862672 2 11222843 323884577 1 11176575 323841833 1 11196148 323851360 1 11222031 323883520 1 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------------------------------------------------------------------------------------------------------- 11169592 Marketing 432,436.41 435,000.00 5.15 11204530 Marketing 226,465.54 227,000.00 7.25 11210834 Marketing 124,000.00 124,000.00 6.99 11224524 Marketing 148,331.69 148,800.00 5.75 11216679 Marketing 275,659.82 276,000.00 6.75 11221148 Marketing 49,876.34 50,000.00 7 11204200 Marketing 203,487.93 204,000.00 6.925 11222367 Marketing 222,939.78 223,200.00 6.95 11188976 Marketing 647,525.55 650,000.00 6.275 11188236 Marketing 98,465.81 99,000.00 6.475 11169081 Marketing 186,000.00 186,000.00 6.75 11218752 Marketing 510,463.24 512,000.00 6 11211274 Marketing 151,997.50 152,000.00 6.325 11227400 Marketing 193,966.69 195,000.00 5.375 11202069 Marketing 527,074.00 528,000.00 6.525 11214149 Marketing 44,915.06 45,000.00 8.35 11207767 Marketing 50,251.96 50,400.00 7.6 11205586 Marketing 410,000.00 410,000.00 6.825 11190148 Marketing 114,191.73 114,400.00 9.925 11198856 Marketing 294,520.77 295,095.00 8.2 11231706 Marketing 195,592.66 196,000.00 7.875 11230373 Additional 59,269.59 59,600.00 9.075 11215369 Marketing 170,533.71 171,000.00 6.5 11203652 Marketing 346,803.08 348,000.00 6.8 11210622 Marketing 235,583.28 236,000.00 8.675 11168652 Marketing 304,000.00 304,000.00 7.99 11213185 Marketing 175,767.55 176,000.00 6.5 11197395 Marketing 257,233.41 257,600.00 7.275 11178194 Marketing 259,807.41 261,000.00 6.5 11198203 Marketing 203,524.44 204,000.00 7.3 11198583 Marketing 363,534.66 364,445.00 6.95 11194055 Marketing 286,989.98 288,000.00 6.7 11197985 Marketing 141,939.78 142,400.00 7.125 11202684 Marketing 113,698.02 114,000.00 6.65 11227525 Marketing 105,937.32 106,200.00 7 11205496 Marketing 219,186.95 220,000.00 6.9 11210976 Marketing 66,257.06 66,400.00 7.7 11188238 Marketing 172,034.15 172,500.00 6.55 11202470 Marketing 106,000.00 106,000.00 6.25 11206820 Marketing 356,475.37 356,800.00 7.825 11212665 Marketing 325,126.71 325,600.00 6.15 11190748 Marketing 127,598.93 128,000.00 7.275 11229976 Marketing 280,000.00 280,000.00 5.75 11181528 Marketing 390,651.27 392,000.00 6.8 11212745 Marketing 159,104.70 159,500.00 6.99 11226417 Marketing 111,713.32 112,000.00 6.825 11206475 Marketing 151,785.01 152,000.00 6.25 11204139 Marketing 221,389.21 221,680.00 6.525 11200964 Additional 168,619.10 168,800.00 7.25 11200997 Marketing 220,109.64 221,000.00 5.99 11187324 Additional 359,935.57 360,400.00 7.625 11226229 Additional 209,044.85 209,600.00 6.65 11230400 Marketing 95,775.08 96,000.00 7.275 11196182 Marketing 152,436.82 153,000.00 6.45 11225549 Additional 161,579.21 162,000.00 6.75 11216937 Marketing 195,388.93 196,000.00 5.8 11210440 Marketing 133,261.34 133,600.00 6.875 11222184 Marketing 199,305.82 200,000.00 6.875 11219993 Marketing 636,500.00 636,500.00 6.75 11223735 Marketing 295,542.39 295,920.00 6.625 11226384 Marketing 83,802.22 84,000.00 7.25 11185470 Marketing 217,396.05 217,704.00 6.25 11228465 Marketing 89,018.86 89,200.00 7.99 11214041 Marketing 79,532.61 79,743.00 6.67 11228811 Marketing 359,152.41 360,000.00 7.25 11190878 Marketing 714,691.50 716,000.00 6.375 11210070 Marketing 353,557.27 354,400.00 7.2 11226006 Marketing 224,767.25 225,000.00 7.375 11213994 Marketing 72,611.80 72,800.00 7.175 11200733 Marketing 68,274.80 68,400.00 8.5 11224915 Marketing 584,000.00 584,000.00 5.325 11204287 Marketing 99,591.11 100,000.00 5.9 11210136 Marketing 320,000.00 320,000.00 6.399 11214648 Marketing 343,998.66 344,000.00 6.05 11217630 Marketing 300,324.58 300,640.00 7.325 11201105 Marketing 492,278.69 493,000.00 6.126 11205939 Marketing 203,627.21 204,000.00 6.375 11231196 Marketing 274,334.78 275,120.00 6.475 11221503 Marketing 271,261.90 272,000.00 6.525 11209790 Marketing 165,900.08 166,400.00 7.99 11214762 Marketing 229,429.99 230,000.00 6.99 11230208 Marketing 314,500.00 314,500.00 6.5 11197282 Marketing 534,442.95 535,200.00 6.25 11220104 Marketing 130,609.64 130,900.00 7.55 11206554 Marketing 240,000.00 240,000.00 5.45 11222843 Marketing 108,504.76 108,800.00 6.525 11176575 Marketing 111,571.59 112,000.00 6.25 11196148 Marketing 119,991.67 120,800.00 5.95 11222031 Marketing 219,507.12 220,000.00 7.5 11155550 Marketing 143,647.28 144,000.00 8.5 11210668 Marketing 325,552.19 326,400.00 6.75 11201777 Marketing 251,256.08 252,000.00 7.575 11179216 Marketing 652,500.00 652,500.00 6.875 11212949 Marketing 163,459.02 164,000.00 5.5 11203410 Marketing 391,028.51 392,000.00 6.99 11211767 Marketing 154,786.71 155,200.00 6.625 11206631 Marketing 111,595.64 112,000.00 6.55 11216258 Marketing 145,582.76 146,000.00 7.75 11220387 Marketing 143,236.04 143,500.00 6.425 11201930 Marketing 101,151.57 101,250.00 8.6 11226403 Marketing 287,667.98 288,000.00 6.99 11206772 Marketing 53,015.11 53,100.00 10.55 11211025 Marketing 246,591.36 247,000.00 8.99 11212101 Marketing 170,376.59 171,000.00 6.5 11183875 Additional 154,567.02 155,000.00 6.375 11204783 Marketing 343,370.48 344,000.00 6.37 11220110 Marketing 351,000.00 351,000.00 6.99 11187427 Marketing 98,597.07 98,880.00 6.25 11174291 Marketing 295,000.00 295,000.00 6.99 11225660 Marketing 237,366.15 237,600.00 7.55 11215786 Marketing 127,583.67 128,000.00 5.575 11202714 Marketing 126,057.01 126,400.00 6.525 11214437 Marketing 157,524.52 157,900.00 7.2 11223302 Marketing 458,231.45 459,000.00 5.625 11224551 Marketing 255,920.00 255,920.00 6.7 11198804 Marketing 155,655.69 156,000.00 7.575 11215594 Additional 168,311.67 168,750.00 6.75 11214300 Marketing 279,664.32 280,000.00 6.85 11225419 Marketing 400,000.00 400,000.00 7 11225609 Marketing 419,503.62 420,000.00 6.901 11168291 Marketing 101,762.70 102,000.00 8.75 11225989 Marketing 106,931.16 107,160.00 7.74 11183045 Marketing 136,163.98 136,500.00 8.475 11182753 Marketing 271,359.58 272,000.00 7.25 11200006 Marketing 318,644.18 319,200.00 6.551 11185286 Marketing 165,163.47 165,300.00 8.175 11191480 Marketing 384,000.00 384,000.00 5.99 11226162 Marketing 246,911.81 247,200.00 6.95 11165452 Marketing 436,661.00 436,661.00 5.25 11206701 Marketing 134,174.97 134,400.00 5.625 11210296 Additional 220,000.00 220,000.00 6.5 11209767 Marketing 319,208.50 320,000.00 7 11203281 Marketing 229,431.30 230,000.00 7.25 11218559 Marketing 275,432.18 276,000.00 7.925 11192200 Marketing 175,270.56 175,750.00 7.99 11207307 Marketing 39,878.77 40,000.00 5.95 11202140 Marketing 150,982.50 151,300.00 8.175 11183348 Marketing 232,000.00 232,000.00 5.625 11203114 Marketing 335,422.78 336,000.00 6.6 11207740 Marketing 151,572.81 151,920.00 7.4 11176980 Marketing 335,139.92 336,000.00 6.825 11208038 Marketing 284,407.72 285,000.00 7.875 11201939 Marketing 135,354.00 136,000.00 5.7 11214505 Marketing 576,036.14 577,500.00 6.875 11226731 Marketing 372,017.44 372,800.00 7.825 11200652 Marketing 300,000.00 300,000.00 7.25 11221675 Marketing 472,000.00 472,000.00 5.875 11229200 Marketing 198,000.00 198,000.00 6.74 11225425 Marketing 340,000.00 340,000.00 6.99 11222128 Marketing 140,415.31 140,800.00 6.49 11194208 Marketing 525,447.68 527,200.00 6.975 11188929 Marketing 955,258.40 959,200.00 5.875 11184551 Marketing 206,438.85 207,000.00 8 11213060 Marketing 66,227.50 66,640.00 8.99 11132447 Marketing 178,869.75 180,000.00 6.625 11205798 Marketing 194,820.23 195,300.00 8.485 11191380 Marketing 360,000.00 360,000.00 6.675 11193096 Marketing 72,679.55 72,800.00 8.99 11181870 Marketing 260,396.03 260,400.00 6.825 11219214 Additional 223,432.20 224,000.00 6.875 11214788 Marketing 99,757.48 100,000.00 7.1 11217572 Marketing 295,192.88 296,000.00 6.5 11223984 Marketing 239,268.97 239,920.00 6.525 11205886 Marketing 86,284.63 86,400.00 6.46 11201573 Marketing 127,302.74 127,500.00 5.92 11219238 Marketing 337,162.34 338,000.00 6.99 11190850 Marketing 164,000.00 164,000.00 6.99 11225734 Marketing 397,029.18 400,000.00 7.153 11200302 Marketing 71,468.69 71,600.00 8.49 11147229 Additional 252,511.90 253,600.00 6.825 11183152 Marketing 711,791.15 713,600.00 6.875 11226181 Marketing 226,936.17 227,500.00 6.99 11196149 Marketing 364,487.81 365,655.00 5.675 11196994 Marketing 135,736.36 136,000.00 5.375 11134605 Additional 65,772.82 66,000.00 9.615 11213597 Marketing 229,277.44 229,600.00 6.275 11201579 Marketing 475,202.99 476,000.00 5.625 11171964 Marketing 240,380.70 241,180.00 6.99 11219754 Marketing 339,544.71 340,000.00 6.45 11206536 Marketing 252,287.03 252,800.00 5.99 11215790 Marketing 56,898.32 57,000.00 8.625 11174290 Marketing 153,597.20 154,400.00 7.075 11206254 Additional 182,000.00 182,000.00 5.675 11197750 Marketing 53,865.03 54,000.00 8.4 11221876 Marketing 337,500.00 337,500.00 5.625 11216552 Marketing 139,000.00 139,000.00 6.625 11200606 Marketing 304,999.92 305,000.00 5.5 11196755 Additional 342,000.00 342,000.00 6.49 11202099 Marketing 215,872.44 216,800.00 6.05 11186091 Marketing 293,491.17 294,400.00 7.35 11216188 Marketing 55,176.85 55,250.00 10.05 11224170 Marketing 558,237.55 560,000.00 5.75 11210921 Marketing 207,680.89 208,000.00 5.951 11217482 Marketing 62,620.04 63,200.00 7.425 11215973 Marketing 296,000.00 296,000.00 6.99 11207494 Marketing 294,066.83 295,000.00 7.84 11230131 Marketing 40,439.76 40,500.00 9.5 11230932 Additional 110,400.00 110,400.00 6.75 11212482 Marketing 304,000.00 304,000.00 6.375 11229166 Marketing 182,200.45 182,750.00 5.99 11206486 Marketing 101,295.48 101,600.00 6.6 11231991 Marketing 128,751.27 129,200.00 6.75 11187955 Marketing 111,884.93 112,200.00 7.825 11219179 Marketing 163,552.81 164,000.00 6.5 11202498 Marketing 283,187.36 284,000.00 6.25 11222387 Marketing 173,721.56 174,000.00 6.225 11202732 Marketing 107,588.13 107,940.00 5.99 11148687 Marketing 292,000.00 292,000.00 6.25 11218368 Marketing 448,294.77 448,800.00 7.075 11217112 Marketing 83,452.41 83,840.00 7.125 11208159 Marketing 230,726.77 231,300.00 6.99 11187776 Marketing 150,093.40 150,100.00 6.85 11217822 Marketing 419,000.00 419,400.00 6 11224131 Marketing 232,400.00 232,400.00 6.5 11199288 Marketing 174,278.00 174,278.00 6.7 11217406 Marketing 240,432.59 241,000.00 7.25 11198496 Marketing 79,807.33 80,000.00 7.25 11203944 Marketing 114,273.27 115,000.00 7.15 11189520 Additional 264,948.24 265,500.00 7.875 11212880 Additional 199,459.91 200,000.00 6.55 11232688 Marketing 203,750.00 203,750.00 6.35 11192531 Marketing 108,709.23 108,800.00 8.125 11199366 Marketing 132,000.00 132,000.00 6.25 11217750 Marketing 423,829.87 425,000.00 6.45 11170117 Marketing 59,818.40 60,000.00 7.45 11199255 Marketing 103,547.94 104,000.00 5.575 11199301 Marketing 122,083.61 122,400.00 6.775 11215725 Marketing 191,470.36 191,920.00 7.275 11226610 Marketing 195,480.88 196,000.00 6.65 11204140 Marketing 61,819.15 62,400.00 7.8 11192810 Additional 61,586.28 61,750.00 8.125 11175942 Marketing 490,530.29 492,000.00 6.025 11227511 Marketing 439,200.00 439,200.00 5.375 11186635 Marketing 153,520.00 153,520.00 5.75 11224048 Marketing 121,563.18 121,912.00 6.25 11225785 Marketing 89,841.90 90,000.00 8.7 11203486 Marketing 360,000.00 360,000.00 7.25 11214191 Marketing 249,380.41 250,000.00 6.99 11196749 Marketing 356,000.00 356,000.00 5.99 11157876 Marketing 208,250.00 208,250.00 6.375 11205605 Marketing 206,842.77 207,400.00 6.99 11229960 Marketing 102,794.25 103,085.00 6.325 11223341 Marketing 117,361.20 117,600.00 7.99 11201032 Marketing 90,169.06 90,250.00 7.875 11192823 Marketing 273,056.11 273,760.00 6.825 11220061 Marketing 95,901.04 96,050.00 9.3 11221344 Marketing 272,000.00 272,000.00 5.374 11171831 Marketing 218,943.32 220,000.00 7.88 11189580 Marketing 198,494.33 199,000.00 8.575 11207034 Marketing 252,292.95 252,800.00 6.375 11216268 Additional 301,152.41 301,500.00 6.99 11220096 Marketing 471,756.68 472,938.00 6.95 11200119 Additional 165,190.93 165,750.00 6.9 11187089 Marketing 82,710.85 83,000.00 7.4 11225117 Marketing 423,922.69 425,000.00 6.875 11212791 Marketing 131,007.78 131,200.00 6.99 11230236 Marketing 274,958.30 275,300.00 6.725 11204552 Additional 96,439.39 96,800.00 6.39 11216319 Marketing 155,839.77 156,000.00 7.4 11196972 Marketing 251,313.48 251,811.00 8.125 11199619 Marketing 612,500.00 612,500.00 6.99 11226915 Marketing 686,026.41 687,995.00 6.25 11193448 Marketing 62,956.03 63,120.00 6.75 11180582 Marketing 142,062.21 142,500.00 8.5 11199610 Marketing 766,400.00 766,400.00 5.925 11182483 Marketing 217,413.67 217,600.00 6.875 11200125 Marketing 163,576.08 164,000.00 6.775 11227241 Marketing 99,200.00 99,200.00 6.41 11192128 Marketing 124,667.94 125,000.00 8.1 11218386 Additional 584,032.18 585,000.00 8.99 11224518 Marketing 136,000.00 136,000.00 6.075 11221952 Marketing 188,233.33 188,800.00 6 11237207 Marketing 62,256.58 62,400.00 8.075 11130824 Marketing 231,011.38 233,600.00 6.65 11224487 Marketing 204,910.00 205,000.00 6.5 11179556 Marketing 280,000.00 280,000.00 6.425 11211255 Additional 275,625.29 276,000.00 6.4 11223320 Marketing 87,702.11 87,920.00 6.99 11160535 Marketing 151,426.88 152,000.00 6.325 11230434 Additional 156,000.00 156,000.00 6.925 11212002 Marketing 655,444.73 656,250.00 6.25 11180173 Marketing 115,935.47 115,960.00 6.99 11215682 Marketing 283,624.87 284,000.00 6.5 11225763 Marketing 215,427.92 216,000.00 6.65 11212465 Marketing 130,742.24 132,000.00 6.99 11178536 Marketing 88,964.64 89,250.00 9.25 11215649 Marketing 267,602.41 268,000.00 6.075 11207332 Additional 239,391.63 240,000.00 6.875 11230507 Marketing 25,828.55 26,000.00 10.75 11189668 Additional 370,960.85 372,000.00 6.375 11215363 Marketing 110,113.25 110,400.00 6.75 11161984 Marketing 166,106.58 166,500.00 8.675 11219541 Marketing 331,604.75 332,000.00 6.875 11211386 Additional 110,901.16 111,200.00 6.575 11222634 Marketing 90,960.29 91,200.00 6.7 11218596 Additional 220,655.93 220,800.00 8.99 11207835 Marketing 222,856.36 224,000.00 6.525 11225817 Marketing 183,447.73 184,000.00 6 11215307 Marketing 224,429.66 225,000.00 6.875 11210380 Marketing 104,756.44 105,000.00 7.325 11232988 Marketing 455,389.35 456,000.00 6.45 11214097 Marketing 111,437.01 112,000.00 6.175 11208055 Marketing 215,561.40 216,000.00 7.99 11215136 Marketing 274,616.44 276,000.00 6.525 11212041 Marketing 274,439.21 275,000.00 4.875 11200232 Marketing 420,828.00 420,828.00 6.25 11189726 Marketing 232,000.00 232,000.00 6.4 11211500 Marketing 121,129.77 121,410.00 7.35 11214699 Marketing 92,573.83 92,800.00 7.075 11218669 Marketing 299,470.80 300,150.00 7.45 11216733 Marketing 191,506.11 192,000.00 6.8 11200156 Marketing 59,832.49 60,000.00 7.875 11197014 Marketing 352,800.00 352,800.00 6.8 11213110 Marketing 209,600.00 209,600.00 6.25 11209127 Marketing 299,544.59 300,000.00 5.99 11226307 Marketing 114,542.80 114,800.00 7.5 11211457 Marketing 438,884.67 440,000.00 6.875 11230024 Marketing 49,869.00 50,000.00 7.175 11198225 Marketing 300,000.00 300,000.00 5.9 11200334 Marketing 149,717.44 150,000.00 8.375 11203463 Marketing 174,658.79 175,000.00 8.19 11219702 Marketing 236,292.51 236,800.00 5.625 11193936 Marketing 387,363.21 388,000.00 5.7 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116,000.00 6.3 11217046 Marketing 52,912.49 53,000.00 9 11174332 Marketing 96,857.98 97,600.00 6.825 11229474 Additional 155,055.69 155,125.00 10.225 11202034 Marketing 200,000.00 200,000.00 5.7 11151810 Additional 306,751.40 307,800.00 7.99 11086757 Marketing 116,517.39 117,200.00 6.225 11201635 Marketing 99,726.79 100,000.00 6.49 11222425 Marketing 303,623.69 304,000.00 6.75 11165898 Marketing 136,000.00 136,000.00 5.95 11171780 Marketing 199,229.23 200,000.00 6.99 11227195 Marketing 302,811.41 303,600.00 6.75 11175721 Marketing 94,902.85 95,200.00 7.3 11211636 Marketing 191,554.61 192,000.00 7.325 11219811 Marketing 206,875.55 207,200.00 5.875 11193201 Marketing 329,269.59 329,600.00 6 11191042 Marketing 386,942.04 388,000.00 6.5 11169117 Marketing 185,068.40 185,500.00 8.75 11210042 Marketing 329,887.93 331,000.00 6.425 11189533 Marketing 166,400.00 166,400.00 6.5 11198260 Marketing 194,635.16 195,200.00 7.675 11195001 Marketing 302,885.68 304,000.00 6.5 11229905 Marketing 296,762.69 297,500.00 6.99 11184817 Additional 364,683.66 365,000.00 8.99 11198433 Marketing 265,607.91 266,000.00 7.15 11175735 Marketing 159,579.63 159,960.00 7.2 11214630 Marketing 679,999.34 680,000.00 6.49 11224133 Additional 448,864.90 450,000.00 6.9 11218964 Additional 147,995.98 148,000.00 6.8 11174043 Marketing 63,787.92 64,000.00 6.99 11217931 Marketing 107,842.57 108,000.00 6.15 11187668 Marketing 93,328.52 93,500.00 8.49 11198999 Marketing 152,000.00 152,000.00 6.675 11206020 Marketing 171,443.27 172,000.00 5.85 11209745 Marketing 122,778.68 123,030.00 7.96 11201153 Marketing 127,821.41 128,000.00 6.3 11208688 Marketing 124,650.31 124,960.00 6.99 11204561 Marketing 149,695.43 150,000.00 7.99 11211322 Marketing 291,647.52 292,000.00 6.825 11218089 Marketing 478,691.15 480,000.00 6.5 11203871 Marketing 370,240.49 371,200.00 6.775 11172903 Marketing 236,682.62 237,000.00 7.49 11213630 Marketing 140,000.00 140,000.00 6.8 11203997 Marketing 97,530.51 97,787.00 6.7 11197049 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6.8 11206072 Marketing 408,000.00 408,000.00 5.99 11197634 Additional 328,960.91 330,000.00 7.25 11222806 Marketing 148,010.77 148,400.00 6.7 11198176 Marketing 171,000.00 171,000.00 7.4 11219078 Additional 229,022.10 229,500.00 7.865 11191167 Marketing 140,181.72 140,720.00 6.25 11212975 Marketing 107,687.46 108,000.00 6.2 11229637 Marketing 475,254.64 476,000.00 5.875 11221463 Marketing 300,277.93 300,800.00 5.49 11215226 Marketing 188,755.55 189,000.00 6.576 11208807 Additional 197,509.29 198,000.00 6.99 11219148 Marketing 279,513.19 280,000.00 8.75 11205119 Marketing 305,622.83 306,000.00 6.75 11234533 Marketing 588,952.04 589,500.00 7.75 11211489 Marketing 85,335.32 85,500.00 8.25 11192902 Marketing 126,775.13 127,200.00 6.95 11232449 Marketing 76,968.35 74,330.00 7.25 11192136 Marketing 485,779.48 486,750.00 6.15 11213814 Marketing 299,684.77 300,000.00 7.325 11202643 Marketing 175,729.44 176,000.00 7 11217284 Marketing 207,552.27 208,000.00 7.7 11184345 Marketing 95,553.06 96,000.00 6.99 11198848 Marketing 83,788.13 84,000.00 6.9 11204235 Marketing 259,301.27 260,000.00 6.575 11215483 Additional 322,201.07 323,000.00 7 11210358 Marketing 90,154.68 90,400.00 6.525 11220043 Marketing 148,881.35 150,300.00 8.25 11222630 Marketing 311,573.51 312,000.00 6.375 11186544 Marketing 352,543.72 353,600.00 6.025 11229196 Marketing 175,553.88 176,000.00 6.875 11196677 Marketing 294,783.97 296,000.00 5.875 11220180 Marketing 126,793.22 127,064.00 7.75 11176698 Marketing 165,479.52 166,000.00 8.4 11213443 Marketing 85,733.72 86,000.00 6.4 11208607 Additional 303,070.06 304,000.00 5.9 11200692 Marketing 116,774.18 117,000.00 8.24 11219985 Marketing 111,321.26 111,600.00 6.95 11220215 Additional 360,999.82 361,000.00 6.99 11200825 Marketing 231,959.98 231,960.00 6.35 11215933 Additional 366,000.00 366,000.00 6.5 11210514 Marketing 613,941.38 615,200.00 5.125 11209939 Additional 71,649.27 72,000.00 6.175 11227238 Marketing 179,509.19 180,000.00 6.5 11220275 Marketing 151,793.63 152,000.00 6.4 11228225 Marketing 359,433.99 360,000.00 5.86 11230309 Marketing 165,501.18 166,400.00 5.89 11219908 Additional 378,000.00 378,000.00 7.45 11204153 Marketing 273,320.96 273,600.00 7.425 11216500 Marketing 204,528.49 204,800.00 6.5 11151319 Marketing 75,759.29 76,000.00 8.35 11207258 Marketing 408,800.00 408,800.00 6.2 11206960 Marketing 203,707.64 204,000.00 7.25 11197360 Marketing 100,000.00 100,000.00 7.2 11182901 Marketing 83,473.50 85,500.00 5.75 11201457 Marketing 85,188.31 85,500.00 6.5 11223424 Marketing 118,051.15 118,320.00 7.475 11205569 Additional 263,653.45 264,392.00 6.375 11192862 Marketing 710,762.09 712,000.00 8.75 11208767 Marketing 303,538.51 304,000.00 5.99 11198861 Marketing 111,561.24 112,000.00 6.125 11195802 Marketing 188,653.36 189,000.00 8.49 11196275 Marketing 119,645.44 120,000.00 5.825 11232921 Marketing 274,749.50 275,200.00 7.625 11204204 Marketing 68,801.26 68,900.00 7.25 11187205 Marketing 539,464.73 540,000.00 7.525 11192988 Additional 220,453.37 221,000.00 7 11188181 Additional 95,660.02 96,000.00 6.65 11218463 Marketing 85,514.54 85,600.00 7.5 11200357 Marketing 370,613.20 371,200.00 6.9 11206086 Marketing 90,696.34 90,900.00 7.5 11173173 Marketing 169,423.79 170,000.00 6.875 11165762 Marketing 129,359.05 130,000.00 7.5 11203024 Marketing 144,569.81 145,000.00 7.55 11202113 Additional 442,614.63 443,200.00 6.5 11220155 Marketing 182,200.45 182,750.00 5.99 11226481 Marketing 310,250.00 310,250.00 7.15 11185519 Marketing 550,581.14 552,500.00 6.75 11215796 Marketing 227,473.65 228,000.00 7.35 11177499 Marketing 127,642.46 128,000.00 6.375 11197924 Marketing 144,334.92 144,800.00 7.55 11208066 Marketing 47,305.17 47,700.00 8.6 11231744 Marketing 631,750.00 631,750.00 6.2 11182157 Marketing 211,362.49 212,000.00 5.99 11195130 Marketing 280,000.00 280,000.00 6.55 11214047 Marketing 510,858.85 512,000.00 7.526 11203424 Marketing 118,748.93 119,000.00 7.8 11195248 Marketing 277,321.53 277,728.00 6.125 11153303 Marketing 350,606.03 351,500.00 10.3 11182260 Marketing 135,200.00 135,200.00 5.65 11187301 Marketing 121,298.64 121,600.00 6.99 11203701 Marketing 228,296.14 229,000.00 5.875 11196777 Marketing 240,000.00 240,000.00 6.81 11200724 Marketing 300,760.00 300,800.00 5.875 11221653 Marketing 233,209.86 234,000.00 5.375 11213179 Marketing 99,781.50 100,000.00 7.625 11222800 Marketing 256,000.00 256,000.00 5.99 11193912 Marketing 480,000.00 480,000.00 6.5 11192045 Marketing 164,000.00 164,000.00 6.825 11210691 Marketing 541,263.45 542,000.00 6.4 11188035 Marketing 269,680.61 270,164.00 5.375 11233123 Marketing 103,582.75 104,000.00 6 11209651 Marketing 208,600.28 208,800.00 7.65 11213528 Marketing 363,142.99 364,000.00 7.25 11176837 Marketing 270,546.84 272,000.00 5.25 11203898 Marketing 143,736.42 144,000.00 8.5 11194075 Marketing 528,000.00 528,000.00 7.45 11205361 Marketing 109,717.04 110,000.00 6.8 11221997 Marketing 303,043.26 304,000.00 5.75 11216410 Marketing 367,605.65 368,000.00 7.25 11173282 Marketing 203,854.28 204,750.00 6.725 11176041 Marketing 265,600.00 265,600.00 5.375 11223587 Marketing 423,969.45 424,500.00 6.7 11206387 Marketing 179,634.51 180,000.00 7.99 11237130 Marketing 126,778.06 127,000.00 8.725 11222165 Marketing 175,575.26 176,000.00 7.125 11173335 Additional 656,000.00 656,000.00 5.675 11189296 Marketing 98,737.44 99,200.00 5.5 11212083 Marketing 239,722.70 240,000.00 6.99 11196447 Marketing 232,800.00 232,800.00 5.7 11203765 Marketing 252,568.80 252,800.00 6.125 11209779 Marketing 44,121.94 44,200.00 8.675 11190237 Additional 118,851.61 119,200.00 7.625 11168552 Marketing 431,999.99 432,000.00 7.99 11212671 Marketing 103,732.49 104,000.00 6.8 11216622 Marketing 59,859.44 60,000.00 7.275 11194652 Marketing 299,640.36 300,000.00 6.85 11196461 Marketing 326,904.43 328,000.00 6.95 11173905 Marketing 247,042.01 248,250.00 7.15 11190013 Marketing 62,834.79 62,950.00 8.5 11171070 Marketing 338,400.00 338,400.00 6.25 11180993 Marketing 584,000.00 584,000.00 6.825 11210352 Marketing 207,417.71 207,800.00 8.475 11214662 Marketing 513,000.00 513,000.00 6.25 11212345 Marketing 348,897.90 350,000.00 7.25 11183119 Additional 503,605.00 503,605.00 5.625 11211404 Additional 568,000.00 568,000.00 6.75 11204199 Marketing 651,347.13 652,500.00 6.5 11204766 Marketing 207,705.77 208,000.00 6.25 11206973 Marketing 243,212.54 244,000.00 7.125 11221882 Marketing 80,702.00 80,702.00 6.95 11193653 Marketing 151,691.38 152,000.00 7.99 11186613 Marketing 269,080.36 270,000.00 6.85 11210561 Marketing 183,437.14 184,000.00 5.9 11189792 Marketing 120,783.24 121,500.00 7.4 11199231 Marketing 90,177.51 90,400.00 7.025 11220312 Marketing 364,822.49 365,000.00 5.775 11223267 Marketing 316,422.84 316,800.00 6.875 11195980 Marketing 89,676.62 90,000.00 6.575 11201004 Marketing 485,571.25 486,150.00 6.875 11215620 Marketing 337,500.00 337,500.00 6.75 11217877 Marketing 312,000.00 312,000.00 5.99 11208700 Marketing 196,273.14 196,800.00 7.3 11177310 Marketing 134,580.00 134,580.00 6.425 11211764 Marketing 270,000.00 270,000.00 6.725 11201812 Marketing 386,730.55 387,000.00 7.85 11220606 Marketing 379,498.07 380,000.00 6.5 11229505 Marketing 58,660.43 60,000.00 7.8 11199323 Marketing 105,672.64 106,000.00 5.85 11194444 Marketing 98,344.97 98,800.00 7.925 11213639 Marketing 145,368.21 145,600.00 9.175 11191988 Marketing 271,576.37 272,000.00 5.99 11208294 Marketing 231,881.37 232,000.00 7.1 11203738 Marketing 336,000.00 336,000.00 6.575 11230324 Marketing 300,000.00 300,000.00 5.49 11160822 Marketing 440,823.65 442,000.00 6.625 11200163 Marketing 143,100.00 143,100.00 6.825 11216281 Additional 511,641.29 513,000.00 6.65 11208054 Marketing 279,745.17 280,130.00 7.4 11214129 Marketing 167,687.73 168,000.00 8.425 11211403 Marketing 497,990.18 500,000.00 5.99 11203196 Additional 536,203.01 538,000.00 6.95 11202367 Marketing 556,000.00 556,000.00 5.45 11158664 Marketing 171,353.72 172,000.00 7.5 11206138 Marketing 217,750.04 218,360.00 6.375 11208799 Marketing 88,810.33 89,000.00 7.75 11231976 Marketing 190,776.95 191,250.00 7 11222926 Marketing 175,519.17 176,000.00 6.49 11222315 Marketing 203,609.15 205,120.00 6.05 11186819 Additional 223,540.54 224,000.00 5.95 11209197 Marketing 433,073.77 434,487.00 5.575 11196325 Marketing 471,845.19 472,500.00 6.325 11217722 Marketing 306,659.89 307,500.00 6.49 11205863 Additional 147,588.56 148,000.00 6.4 11177566 Marketing 504,000.00 504,000.00 6.325 11194968 Marketing 210,099.34 215,000.00 5.95 11214277 Marketing 74,433.56 75,000.00 7.24 11225404 Marketing 124,244.10 124,450.00 8.99 11211279 Marketing 90,080.19 90,250.00 8.365 11153624 Marketing 448,325.87 450,000.00 7.55 11193333 Marketing 397,815.37 398,320.00 6.651 11194565 Marketing 270,882.46 272,000.00 7.5 11218662 Marketing 329,533.20 330,000.00 6.25 11202126 Marketing 319,920.00 319,920.00 5.5 11204055 Marketing 248,000.00 248,000.00 7.125 11182577 Marketing 60,592.21 60,750.00 6.75 11231121 Marketing 211,394.78 211,920.00 6.99 11218266 Marketing 120,000.00 120,000.00 7.025 11212645 Marketing 248,000.00 248,000.00 6.25 11225194 Additional 350,075.00 350,075.00 6 11227715 Marketing 71,764.72 71,920.00 7.685 11207475 Marketing 100,443.05 100,800.00 6.65 11217863 Marketing 206,762.86 207,200.00 7.8 11195273 Marketing 339,045.24 340,000.00 7.825 11195012 Marketing 347,847.80 349,090.00 6.625 11235483 Marketing 51,201.19 51,300.00 8.25 11184849 Marketing 101,247.12 101,600.00 6.75 11232640 Marketing 274,313.08 275,000.00 6.95 11187866 Marketing 172,375.40 173,000.00 6.55 11220961 Additional 163,541.87 164,000.00 6.375 11201261 Marketing 168,000.00 168,000.00 7.2 11192636 Marketing 408,975.87 410,000.00 6.95 11224021 Additional 151,000.29 151,200.00 6.5 11206940 Marketing 144,366.36 145,000.00 6.75 11217400 Marketing 275,268.46 275,500.00 8.1 11231337 Marketing 255,209.85 255,960.00 6.125 11204762 Marketing 56,099.55 56,250.00 6.6 11197927 Additional 458,323.06 460,000.00 6.5 11223993 Marketing 141,164.22 141,600.00 7.25 11181143 Marketing 254,638.11 256,000.00 5.875 11217026 Marketing 619,285.24 620,000.00 6.99 11186146 Marketing 99,617.47 100,000.00 6.25 11223583 Marketing 197,801.76 198,000.00 7.49 11162886 Marketing 304,758.61 305,600.00 6.45 11191344 Additional 123,623.45 124,000.00 6.25 11170933 Marketing 388,000.00 388,000.00 5.81 11211507 Marketing 167,829.87 168,000.00 7.45 11195976 Marketing 148,000.00 148,000.00 8.5 11194720 Marketing 254,197.47 255,000.00 5.75 11212049 Marketing 349,600.00 349,600.00 5.625 11196240 Marketing 123,624.76 124,000.00 8.175 11182725 Marketing 150,174.63 150,450.00 8.5 11199800 Marketing 98,932.17 99,200.00 6.551 11224650 Marketing 466,617.63 468,000.00 6.086 11214029 Marketing 261,860.14 262,400.00 7.925 11220162 Marketing 447,274.51 448,000.00 5.75 11201369 Marketing 259,665.33 260,000.00 6.875 11217896 Marketing 287,549.03 288,000.00 5.875 11173833 Marketing 317,466.87 318,400.00 6.125 11202639 Additional 217,201.71 217,600.00 8.5 11166406 Marketing 111,525.00 111,525.00 7.125 11223007 Marketing 210,154.71 210,400.00 6.95 11213799 Marketing 436,500.00 436,500.00 5.875 11205847 Marketing 126,797.51 127,200.00 6.99 11208360 Marketing 170,733.70 172,000.00 6.5 11216274 Marketing 327,373.24 328,000.00 5.125 11216040 Marketing 222,742.93 223,000.00 6.99 11234906 Marketing 364,650.00 364,650.00 7 11211871 Marketing 115,669.66 116,000.00 6.275 11219039 Marketing 198,637.42 199,200.00 6.325 11217786 Marketing 40,411.06 40,500.00 7.6 11222575 Marketing 278,661.92 280,000.00 5.065 11231156 Marketing 300,000.00 300,000.00 5.9 11210576 Marketing 77,461.08 77,600.00 6.45 11215515 Marketing 403,428.53 404,000.00 6.25 11220552 Marketing 445,593.38 446,500.00 7.99 11215975 Additional 229,416.98 230,000.00 6.875 11210110 Marketing 112,196.00 112,500.00 8 11197055 Marketing 349,254.14 350,000.00 7.75 11230245 Marketing 361,600.00 361,600.00 6.7 11188093 Marketing 301,600.00 301,600.00 7.1 11186032 Marketing 181,903.29 182,377.00 6.75 11229762 Marketing 314,265.65 315,000.00 7.3 11209532 Marketing 87,923.66 88,000.00 7.99 11198864 Marketing 311,417.99 312,000.00 6.3 11211399 Marketing 295,336.87 296,000.00 7.5 11221965 Marketing 292,706.10 293,600.00 5.925 11219082 Marketing 104,612.08 104,800.00 8.6 11204612 Marketing 284,222.88 285,000.00 6.5 11197261 Marketing 181,897.82 182,400.00 6.45 11209813 Marketing 359,986.30 361,000.00 7.825 11204442 Marketing 151,676.07 152,000.00 7.75 11212400 Marketing 307,999.58 308,000.00 6.875 11196765 Marketing 286,362.32 287,192.00 6.2 11205040 Marketing 199,408.78 200,000.00 6.08 11220749 Marketing 347,797.29 351,000.00 6.99 11221497 Marketing 160,000.00 160,000.00 7.25 11221589 Additional 106,342.22 106,581.00 7.5 11233445 Marketing 615,000.00 615,000.00 6.625 11167897 Marketing 474,422.52 476,000.00 6.99 11204751 Marketing 231,600.00 231,600.00 6.95 11172528 Marketing 110,152.07 110,500.00 7.25 11225947 Marketing 168,021.48 168,285.00 5.875 11220562 Marketing 328,642.33 329,510.00 6.68 11208111 Marketing 121,353.27 121,600.00 5.99 11212390 Marketing 394,946.06 396,000.00 6.625 11208255 Marketing 143,996.63 144,400.00 6.375 11192947 Marketing 174,797.46 175,000.00 8 11194821 Marketing 112,000.00 112,000.00 7.325 11224696 Marketing 50,289.86 50,400.00 7.625 11223284 Marketing 98,131.70 98,400.00 6.5 11216667 Marketing 77,424.44 77,600.00 7.451 11202610 Marketing 102,238.15 102,400.00 6.901 11195416 Marketing 231,200.00 231,200.00 6.625 11184674 Marketing 431,176.32 432,000.00 8.3 11196984 Marketing 86,127.94 86,400.00 7.25 11204826 Marketing 340,793.83 341,320.00 6.99 11179365 Marketing 425,000.00 425,000.00 5.825 11222613 Marketing 62,885.93 63,000.00 9.95 11207501 Marketing 55,969.27 56,062.00 8.99 11194145 Marketing 199,427.74 200,000.00 6.25 11172792 Marketing 411,200.00 411,200.00 5.75 11216351 Marketing 224,663.83 225,202.00 7.175 11227561 Marketing 227,825.27 228,000.00 6.99 11228035 Marketing 56,893.56 57,000.00 10.925 11204985 Marketing 147,053.37 147,250.00 7.5 11206224 Marketing 280,000.00 280,000.00 6.45 11212565 Marketing 210,720.00 210,720.00 6.4 11201317 Marketing 130,847.40 131,200.00 6.575 11218918 Marketing 176,819.36 177,280.00 6.75 11204207 Marketing 514,513.20 515,920.00 6.5 11209706 Marketing 100,000.00 100,000.00 6.99 11186799 Marketing 304,160.26 305,000.00 6.45 11198975 Marketing 455,200.00 455,200.00 6.125 11198495 Marketing 216,000.00 216,000.00 5.99 11211250 Marketing 218,074.23 218,700.00 6.25 11168533 Marketing 640,000.00 640,000.00 6.575 11182170 Marketing 111,791.82 112,000.00 8.425 11189493 Marketing 114,214.42 114,320.00 8.775 11222312 Marketing 185,719.64 186,320.00 5.625 11224430 Marketing 269,792.66 270,400.00 5.375 11175610 Marketing 59,749.78 60,000.00 6.125 11232496 Marketing 474,567.85 475,000.00 7.825 11171051 Marketing 263,417.34 264,000.00 7.575 11199182 Marketing 270,839.32 271,200.00 6.475 11217425 Additional 261,375.96 263,000.00 6.25 11163881 Marketing 665,000.00 665,000.00 6.5 11206027 Marketing 200,000.00 200,000.00 5.875 11196655 Marketing 281,564.91 282,800.00 5.55 11223497 Marketing 513,383.50 514,400.00 5 11225882 Marketing 140,000.00 140,000.00 7.95 11183326 Marketing 164,697.38 165,000.00 8.49 11201389 Marketing 374,974.73 376,000.00 6.5 11180460 Marketing 99,575.39 100,000.00 5.7 11188509 Marketing 84,780.94 85,000.00 8.25 11178621 Marketing 210,350.58 210,900.00 9.3 11210446 Marketing 351,195.52 352,000.00 7.4 11213492 Marketing 278,500.82 279,300.00 6.25 11210492 Marketing 279,279.76 280,000.00 6.8 11177851 Marketing 243,350.59 244,000.00 6.625 11224382 Marketing 520,000.00 520,000.00 5 11078858 Marketing 379,497.59 382,500.00 6.8 11187194 Marketing 408,000.00 408,000.00 6.7 11204406 Marketing 164,349.02 164,700.00 7.75 11219436 Marketing 503,200.00 503,200.00 5.99 11228115 Marketing 400,701.48 401,250.00 6.375 11195568 Marketing 186,960.00 186,960.00 5.99 11194956 Additional 204,662.29 204,850.00 7.8 11196930 Marketing 450,284.46 451,200.00 5.99 11231397 Marketing 120,000.00 120,000.00 5.5 11210786 Marketing 93,579.80 93,750.00 8.54 11214649 Marketing 174,638.11 175,000.00 7.9 11212490 Marketing 315,273.74 316,000.00 7.375 11184963 Marketing 289,528.08 290,400.00 7.49 11201288 Marketing 68,702.77 68,800.00 7.3 11219259 Marketing 175,537.33 176,000.00 7.775 11178597 Marketing 255,504.06 256,200.00 7.99 11196936 Marketing 275,637.95 276,000.00 6.525 11205209 Additional 478,841.60 480,000.00 7.125 11177442 Marketing 98,835.05 99,706.00 7.99 11223251 Marketing 391,608.64 392,000.00 7.5 11200585 Marketing 249,439.89 250,000.00 7.5 11175570 Marketing 202,529.94 204,000.00 5.5 11221390 Marketing 544,000.00 544,000.00 6.25 11205480 Additional 108,913.59 109,200.00 6.7 11206797 Marketing 264,277.41 265,000.00 6.5 11223224 Marketing 198,713.34 199,326.00 5.875 11207593 Marketing 471,959.93 472,000.00 5.8 11208477 Marketing 702,739.38 703,999.00 5.375 11223542 Marketing 219,167.97 219,750.00 6.65 11204505 Marketing 218,751.67 219,200.00 5.375 11175458 Marketing 119,990.00 120,000.00 6.85 11215163 Marketing 162,500.00 162,500.00 6.225 11156578 Marketing 123,000.27 123,250.00 8 11152427 Marketing 198,032.36 198,750.00 7.7 11235081 Marketing 136,914.63 137,280.00 6.625 11217780 Marketing 202,109.97 202,500.00 8.25 11179821 Marketing 189,410.18 189,600.00 7.49 11183306 Marketing 159,561.87 160,000.00 7.95 11197222 Marketing 437,075.14 437,750.00 6.99 11211579 Marketing 124,800.00 124,800.00 6.375 11231512 Marketing 123,280.00 123,280.00 6.875 11220994 Marketing 458,822.52 460,000.00 6.825 11220409 Additional 368,639.15 369,000.00 7.575 11227544 Marketing 219,461.17 220,000.00 7.05 11221721 Marketing 79,685.79 79,920.00 6.125 11205389 Marketing 91,761.03 92,000.00 6.75 11201472 Marketing 269,242.13 270,000.00 6.35 11222203 Marketing 199,782.64 200,000.00 7.2 11206738 Marketing 206,750.10 207,000.00 6.825 11199940 Marketing 156,290.13 156,772.00 5.875 11218639 Marketing 333,998.93 334,000.00 6.195 11204947 Marketing 480,000.00 480,000.00 7.9 11209758 Marketing 423,511.20 424,000.00 6.99 11212122 Marketing 401,841.58 402,400.00 6.32 11215381 Marketing 231,397.38 232,000.00 6.75 11206670 Marketing 309,573.66 310,000.00 6.875 11199507 Marketing 117,670.37 118,000.00 6.375 11179844 Marketing 149,808.57 150,000.00 6.625 11186961 Marketing 190,400.00 190,400.00 5.89 11214417 Additional 593,910.95 595,000.00 8.5 11224532 Marketing 108,702.80 109,000.00 6.5 11207177 Marketing 383,844.13 384,750.00 7.25 11212112 Marketing 147,764.42 148,000.00 6.875 11231679 Marketing 120,000.00 120,000.00 6.25 11192466 Marketing 176,645.19 177,330.00 6.2 11155643 Marketing 167,323.59 168,000.00 7.15 11185802 Marketing 100,574.16 100,800.00 7.5 11181590 Marketing 456,000.00 456,000.00 5.95 11206388 Marketing 318,822.74 319,200.00 6.901 11202705 Marketing 197,229.63 197,264.00 6.25 11191511 Marketing 242,404.88 243,000.00 8.5 11169448 Marketing 206,702.82 207,200.00 7.99 11211075 Additional 176,170.52 176,800.00 6.7 11198516 Marketing 223,599.99 223,600.00 6.825 11173309 Marketing 770,000.00 770,000.00 6.3 11215491 Marketing 686,529.95 688,500.00 6.25 11203239 Marketing 79,405.99 79,600.00 7.075 11209882 Marketing 639,262.19 640,000.00 6.99 11211624 Marketing 156,730.29 156,960.00 6.125 11196774 Marketing 520,554.00 521,250.00 7.5 11189006 Marketing 245,706.06 248,000.00 6.375 11218681 Marketing 535,200.00 535,200.00 6.075 11194457 Additional 132,611.01 132,800.00 7.275 11192302 Marketing 519,329.91 520,000.00 7.625 11226052 Marketing 167,829.87 168,000.00 7.45 11207752 Marketing 186,400.00 186,400.00 5.95 11204279 Marketing 474,031.00 474,031.00 5.7 11200066 Marketing 39,915.61 40,000.00 7.8 11226736 Marketing 134,080.40 134,400.00 7.25 11205212 Marketing 174,586.33 175,000.00 7.25 11203362 Additional 294,878.57 296,000.00 6.3 11160371 Marketing 237,173.42 238,000.00 6.75 11172624 Additional 83,693.77 84,000.00 6.5 11215242 Marketing 191,742.96 192,000.00 6.451 11223327 Marketing 56,127.25 56,225.00 8.75 11190512 Marketing 152,541.53 153,000.00 7.5 11202276 Marketing 431,710.56 432,000.00 8.875 11207205 Marketing 294,995.22 295,500.00 5.55 11217452 Marketing 95,730.74 96,000.00 6.375 11206267 Marketing 215,667.03 216,000.00 6.99 11221180 Marketing 206,601.29 207,000.00 8.25 11198680 Marketing 202,149.72 202,500.00 8.775 11221012 Marketing 520,433.24 522,000.00 6 11207754 Marketing 118,327.39 120,000.00 7.57 11207488 Marketing 196,726.99 197,000.00 6.325 11186189 Marketing 284,000.00 284,000.00 5.875 11160457 Marketing 373,000.00 373,000.00 7 11198375 Marketing 148,174.73 148,400.00 5.99 11214671 Marketing 188,799.93 188,800.00 7.15 11165745 Marketing 526,500.00 526,500.00 5.99 11230467 Marketing 87,711.06 88,000.00 5.525 11222918 Marketing 410,707.38 411,500.00 8.25 11217805 Marketing 199,421.11 200,000.00 6.19 11181257 Marketing 351,255.64 351,500.00 7.825 11204715 Marketing 220,851.02 224,000.00 6.5 11199209 Marketing 65,240.76 65,440.00 6.5 11159787 Marketing 309,094.57 310,500.00 6.65 11190407 Marketing 375,200.00 375,200.00 7.8 11216535 Marketing 288,904.53 289,600.00 7.15 11205091 Marketing 572,189.30 573,500.00 7.4 11205577 Marketing 99,688.22 100,000.00 7.3 11185777 Marketing 372,851.10 374,000.00 7.375 11208051 Marketing 399,134.27 400,000.00 5.75 11212581 Marketing 91,752.74 92,000.00 6.575 11204497 Additional 192,210.19 192,800.00 5.9 11220204 Marketing 142,541.31 142,800.00 8.55 11196176 Marketing 445,303.38 446,250.00 5.825 11190188 Marketing 237,335.18 238,000.00 6.375 11206681 Marketing 189,624.63 190,000.00 8.125 11227314 Marketing 391,077.06 392,000.00 7.25 11168885 Marketing 151,441.16 152,000.00 6.515 11146755 Marketing 59,217.15 59,400.00 8.49 11193981 Marketing 213,140.42 213,300.00 8.5 11215710 Additional 287,200.00 287,200.00 5.99 11182207 Marketing 85,492.35 86,400.00 7.25 11218989 Marketing 123,998.25 124,160.00 6.55 11192740 Marketing 107,567.74 107,910.00 7.35 11207802 Marketing 239,361.24 240,000.00 6.625 11214533 Marketing 122,362.09 122,500.00 7.075 11206280 Marketing 175,742.41 176,000.00 6.125 11214793 Marketing 61,457.36 61,600.00 8.45 11221091 Marketing 160,000.00 160,000.00 6.7 11208250 Marketing 271,337.09 272,000.00 7.075 11205623 Marketing 495,232.13 496,000.00 6.975 11217926 Marketing 256,000.00 256,000.00 6.71 11216249 Marketing 167,386.50 167,920.00 5.7 11216489 Marketing 95,062.11 95,200.00 6.615 11187962 Marketing 282,650.50 283,500.00 7.5 11223157 Marketing 282,449.67 283,300.00 6 11214172 Marketing 98,776.30 99,000.00 7.99 11211854 Marketing 97,375.83 97,600.00 7.375 11225020 Marketing 144,572.18 144,792.00 5.99 11165163 Marketing 509,978.68 512,000.00 7.25 11198770 Marketing 62,922.60 63,200.00 7.125 11214370 Marketing 172,636.84 173,000.00 7.825 11214652 Marketing 197,265.22 197,600.00 8.875 11210395 Marketing 363,400.08 364,000.00 6.75 11220723 Marketing 223,743.92 224,000.00 7.02 11226763 Marketing 204,000.00 204,000.00 6.99 11216217 Marketing 99,793.02 100,000.00 7.9 11197987 Marketing 160,000.00 160,000.00 7.4 11201077 Marketing 112,179.65 112,500.00 6.275 11195700 Marketing 258,522.23 259,920.00 5.125 11177356 Marketing 229,830.94 230,400.00 7.2 11193776 Marketing 123,600.00 123,600.00 6.5 11215105 Marketing 207,536.31 208,000.00 7.525 11212167 Marketing 338,909.58 340,000.00 5.65 11214585 Additional 359,556.27 360,000.00 6.75 11222732 Marketing 207,809.39 208,000.00 8.25 11236512 Marketing 134,931.45 135,120.00 6.3 11195873 Marketing 336,303.40 337,500.00 8.25 11220791 Marketing 543,651.97 545,000.00 7 11212115 Marketing 98,276.16 98,400.00 6.675 11170671 Marketing 175,002.20 175,500.00 7.775 11204828 Marketing 335,167.29 336,000.00 6.99 11196391 Marketing 215,351.67 216,000.00 6 11215045 Marketing 115,862.87 116,000.00 6.9 11213602 Marketing 314,568.61 315,000.00 6.375 11203421 Marketing 274,500.00 274,500.00 6.115 11212186 Additional 436,500.00 436,500.00 5.75 11203581 Marketing 336,000.00 336,000.00 6.375 11188010 Marketing 127,453.66 127,920.00 6.5 11205974 Marketing 264,171.63 265,050.00 6.99 11225146 Marketing 547,915.83 550,000.00 4.75 11218004 Marketing 320,352.37 320,800.00 6.3 11218293 Additional 191,967.34 192,600.00 7.5 11182572 Marketing 79,130.74 79,325.00 8.5 11197669 Marketing 448,991.81 450,000.00 7.5 11203671 Marketing 99,678.23 100,000.00 7.14 11230294 Marketing 211,649.57 211,920.00 6.625 11205702 Marketing 103,723.27 104,000.00 6.626 11208317 Additional 391,482.23 392,000.00 6.5 11179402 Marketing 68,705.58 68,850.00 9.25 11212487 Marketing 175,243.45 176,000.00 6.575 11213896 Marketing 251,231.80 251,600.00 6.125 11210367 Marketing 131,736.54 132,000.00 8.075 11188423 Marketing 62,828.70 63,000.00 7.99 11197890 Marketing 266,000.00 266,000.00 6.99 11190628 Marketing 123,649.18 124,000.00 6.525 11166045 Additional 137,413.65 138,000.00 6.875 11232231 Marketing 260,000.00 260,000.00 5.95 11213113 Marketing 353,828.94 355,000.00 5.5 11214893 Marketing 116,799.72 117,000.00 8.825 11221430 Marketing 498,946.97 500,000.00 4.75 11228791 Additional 320,850.00 320,850.00 5.75 11190994 Marketing 125,239.83 125,600.00 8.225 11212120 Additional 452,000.00 452,000.00 6.125 11185453 Marketing 203,999.89 204,000.00 5.8 11200634 Additional 105,598.41 106,000.00 6.3 11207904 Marketing 271,663.81 272,000.00 6.74 11194497 Marketing 275,945.19 276,250.00 8.165 11227057 Marketing 520,000.00 520,000.00 5.375 11213977 Marketing 179,532.44 180,000.00 6.75 11214137 Marketing 98,470.77 99,000.00 7.375 11207119 Marketing 295,742.00 295,742.00 6.5 11154528 Marketing 162,266.74 163,200.00 7.8 11205826 Marketing 102,459.32 102,800.00 6.99 11209782 Additional 296,129.58 297,000.00 6.125 11205309 Marketing 126,771.49 126,900.00 7.45 11194829 Marketing 171,572.87 172,000.00 6.99 11172274 Marketing 104,904.25 105,600.00 7.2 11215198 Marketing 242,142.62 243,000.00 6.675 11219563 Marketing 191,104.67 192,950.00 6.99 11196081 Marketing 176,000.00 176,000.00 5.75 11205914 Marketing 370,828.51 371,250.00 7.75 11208787 Marketing 145,594.65 145,600.00 5.5 11222831 Additional 729,771.00 729,771.00 6.375 11222014 Marketing 88,010.80 88,240.00 6.75 11182668 Marketing 321,822.48 323,000.00 6.5 11155517 Marketing 330,772.03 332,000.00 6.425 11227067 Marketing 297,600.00 297,600.00 5.75 11190873 Marketing 569,198.33 570,000.00 7.35 11205012 Marketing 305,380.77 306,000.00 6 11205246 Marketing 75,058.37 75,200.00 8.375 11222588 Marketing 236,139.54 237,250.00 6.375 11222851 Marketing 229,372.83 230,000.00 6.5 11211230 Marketing 239,083.40 240,000.00 5.825 11199703 Marketing 129,519.60 130,000.00 6.875 11210356 Marketing 105,393.46 105,600.00 8.175 11220328 Additional 214,310.39 214,500.00 7.925 11198700 Marketing 116,668.16 117,000.00 7.775 11183171 Marketing 305,260.08 306,000.00 7.115 11170942 Marketing 796,759.79 800,000.00 5.95 11213374 Marketing 407,505.41 408,000.00 6.81 11194156 Marketing 237,770.88 238,620.00 6.625 11198757 Marketing 136,000.00 136,000.00 7.08 11194356 Marketing 219,166.50 220,000.00 6.3 11218285 Additional 298,400.00 298,400.00 6.65 11222310 Additional 149,192.08 149,600.00 6.5 11175276 Marketing 637,153.45 639,600.00 6.25 11222019 Marketing 147,841.42 148,000.00 7.25 11208627 Marketing 242,774.99 243,200.00 8.725 11205704 Marketing 172,000.00 172,000.00 6.4 11218085 Marketing 46,913.97 47,000.00 8.5 11218507 Marketing 445,905.05 450,000.00 6.85 11174786 Marketing 255,098.50 256,000.00 7.2 11207256 Marketing 195,274.61 195,500.00 6.99 11179172 Marketing 522,749.95 524,700.00 6.4 11221435 Marketing 24,886.27 25,000.00 11.225 11210019 Marketing 508,000.00 508,000.00 5.85 11196414 Marketing 145,432.14 145,600.00 6.99 11210401 Marketing 626,111.49 628,000.00 5.99 11200210 Marketing 199,151.45 199,750.00 7.5 11231579 Marketing 213,501.12 214,000.00 7.3 11170940 Marketing 240,000.00 240,000.00 5.775 11225247 Marketing 129,749.59 130,000.00 8.25 11213307 Marketing 226,000.00 226,000.00 5.99 11224416 Marketing 103,772.73 104,000.00 7.625 11194155 Marketing 186,620.29 187,000.00 7.99 11217859 Marketing 94,553.82 94,800.00 6.751 11204169 Marketing 150,063.04 150,400.00 7.5 11211710 Marketing 127,200.00 127,200.00 8.45 11204809 Marketing 254,746.67 256,000.00 5.875 11233410 Marketing 261,266.18 261,600.00 6.625 11233289 Marketing 269,000.00 269,000.00 6.5 11195667 Marketing 247,752.40 248,000.00 7.5 11225304 Marketing 283,225.60 284,000.00 6.5 11207969 Marketing 198,682.58 199,200.00 6.75 11209218 Marketing 59,329.76 59,500.00 6.25 11187937 Marketing 440,000.00 440,000.00 6.99 11206929 Marketing 94,351.89 94,500.00 9.25 11216905 Additional 939,989.87 942,560.00 6.5 11203102 Marketing 400,000.00 400,000.00 6.75 11193469 Marketing 75,821.08 76,000.00 7.25 11190135 Marketing 367,648.28 369,000.00 6.475 11182916 Marketing 335,739.49 336,800.00 7.25 11202137 Additional 47,102.53 47,200.00 9.325 11182884 Marketing 325,854.53 326,400.00 6.7 11205031 Marketing 556,800.00 556,800.00 6.5 11190904 Marketing 133,950.00 133,950.00 7.125 11202733 Marketing 53,100.00 53,100.00 8.375 11221631 Marketing 67,357.29 67,500.00 7.79 11203378 Marketing 207,625.10 208,000.00 8.575 11204286 Marketing 114,655.39 115,000.00 7.5 11217879 Marketing 439,528.48 440,000.00 7.25 11217935 Marketing 436,800.00 436,800.00 5.925 11216608 Marketing 289,219.66 289,750.00 8.5 11197245 Marketing 187,600.62 188,000.00 5.99 11215354 Marketing 106,197.57 106,400.00 6.25 11206956 Marketing 311,199.33 311,200.00 5.5 11171222 Marketing 274,839.00 274,839.00 5.3 11231711 Marketing 62,183.82 62,320.00 7.625 11206828 Marketing 49,846.40 50,000.00 7.375 11195649 Marketing 79,701.23 80,000.00 6.375 11185772 Additional 304,302.94 305,000.00 7.4 11214917 Marketing 299,514.20 300,000.00 5.75 11224506 Marketing 179,463.92 179,920.00 6.875 11206981 Marketing 274,500.00 274,500.00 6.425 11181684 Marketing 170,749.99 171,000.00 7.975 11207093 Marketing 114,928.91 115,200.00 7.275 11208029 Marketing 366,592.36 368,000.00 6.25 11193894 Marketing 187,175.00 187,175.00 6.4 11234110 Marketing 514,067.00 515,000.00 8.55 11220037 Marketing 199,413.31 200,000.00 6.12 11206501 Marketing 250,000.00 250,000.00 6.25 11195382 Marketing 183,423.64 184,000.00 5.775 11209075 Marketing 71,161.03 71,250.00 10.325 11225009 Marketing 366,400.00 366,400.00 5.775 11214428 Marketing 415,411.55 416,000.00 6.25 11193554 Marketing 214,484.10 215,000.00 8.6 11221015 Marketing 85,295.58 85,500.00 8.275 11217717 Marketing 85,067.47 85,200.00 5.9 11224192 Marketing 263,188.56 264,000.00 5.875 11215590 Marketing 289,945.26 290,400.00 5.875 11196017 Marketing 224,191.18 225,000.00 6.25 11213882 Marketing 159,300.65 159,500.00 6.7 11210439 Marketing 185,036.42 185,250.00 6.99 11208824 Marketing 80,694.73 80,800.00 6.55 11210589 Marketing 384,000.00 384,000.00 6 11181810 Additional 87,760.95 88,000.00 7.99 11209741 Marketing 215,278.52 216,000.00 6.95 11206998 Marketing 146,862.64 147,400.00 6.5 11190551 Marketing 340,000.00 340,000.00 6.15 11186822 Marketing 117,662.34 118,000.00 6.25 11217971 Marketing 311,209.13 312,000.00 6.875 11207495 Marketing 202,428.91 203,200.00 7.45 11172736 Marketing 96,095.12 96,400.00 7.25 11206098 Marketing 215,498.96 216,000.00 7.325 11225940 Marketing 743,750.00 743,750.00 6.2 11210767 Additional 111,696.07 112,000.00 6.525 11225010 Marketing 384,390.39 385,000.00 6.5 11208776 Marketing 147,473.35 148,000.00 6.625 11210990 Marketing 244,827.05 245,600.00 5.75 11201610 Marketing 121,428.42 121,600.00 9.75 11216666 Marketing 439,333.87 440,000.00 6 11218855 Marketing 85,480.80 85,590.00 6.625 11229783 Marketing 269,274.55 269,600.00 6.825 11196143 Marketing 256,500.00 256,500.00 5.99 11206381 Marketing 599,044.00 600,800.00 7.625 11191089 Marketing 134,045.75 134,400.00 6.675 11224537 Marketing 219,926.15 220,500.00 6.74 11185254 Marketing 101,269.25 101,270.00 5.75 11202500 Marketing 204,000.00 204,000.00 6.9 11225653 Marketing 183,623.35 184,000.00 7.95 11151289 Marketing 185,900.00 185,900.00 6.25 11202909 Marketing 64,409.47 64,500.00 9.775 11210009 Marketing 328,800.00 328,800.00 6.99 11178574 Marketing 375,489.35 376,000.00 5.57 11231875 Marketing 215,706.58 216,125.00 8.225 11210777 Marketing 420,000.00 420,000.00 5.4 11215883 Marketing 216,365.30 216,750.00 8.65 11227909 Marketing 112,659.99 112,800.00 6.725 11218297 Marketing 293,661.08 294,000.00 6.99 11209725 Additional 343,139.28 343,600.00 6.45 11197648 Marketing 624,860.00 624,860.00 5.9 11222490 Marketing 275,000.00 275,000.00 6.25 11208101 Marketing 168,418.34 168,750.00 8.151 11225736 Marketing 283,997.63 284,000.00 5.99 11205877 Marketing 380,000.00 380,000.00 6.575 11188667 Marketing 252,470.48 253,000.00 5.875 11213122 Marketing 305,725.59 306,000.00 7.875 11209755 Marketing 359,431.55 360,000.00 5.99 11227388 Marketing 280,000.00 280,000.00 6.5 11226207 Marketing 486,851.02 488,000.00 7.25 11209200 Marketing 380,255.28 381,200.00 6.99 11216738 Marketing 109,345.66 110,000.00 8 11193129 Marketing 597,476.17 600,000.00 5.75 11213408 Marketing 92,629.27 92,800.00 8.475 11222539 Marketing 282,532.91 283,200.00 5.7 11176015 Marketing 335,920.00 335,920.00 5.99 11202664 Marketing 72,840.48 73,000.00 7.625 11225063 Marketing 649,153.19 650,000.00 6.55 11198004 Marketing 449,437.58 450,000.00 6.7 11190370 Marketing 204,794.80 205,000.00 8.5 11222372 Marketing 168,750.00 168,750.00 6.825 11177899 Marketing 148,443.59 150,000.00 5.99 11214458 Marketing 360,000.00 360,000.00 6.75 11189979 Marketing 98,978.87 99,200.00 7.525 11217996 Marketing 259,150.10 320,000.00 7.25 11219553 Marketing 143,686.97 144,000.00 7.651 11169662 Marketing 203,494.41 204,000.00 6.99 11208948 Marketing 343,545.64 344,000.00 6.5 11180766 Marketing 300,800.00 300,800.00 6.25 11194390 Additional 590,204.34 592,800.00 5.575 11185611 Marketing 199,459.91 200,000.00 6.55 11170534 Marketing 99,999.46 100,300.00 7.5 11218779 Marketing 296,653.77 297,000.00 6.95 11224944 Marketing 222,336.33 223,000.00 6.9 11177619 Marketing 636,000.00 636,000.00 5.75 11215263 Marketing 249,380.41 250,000.00 6.99 11199020 Marketing 148,230.81 148,800.00 6.25 11221581 Marketing 460,000.00 460,000.00 4.5 11212509 Marketing 197,789.32 198,000.00 7.275 11191822 Marketing 106,339.24 106,660.00 5.99 11215860 Marketing 115,632.71 115,920.00 6.99 11219763 Marketing 252,891.61 253,600.00 6.375 11198185 Marketing 179,666.19 182,400.00 7.325 11217829 Additional 127,365.18 128,000.00 7.275 11170466 Marketing 154,312.17 154,800.00 8.375 11218246 Additional 248,000.00 248,000.00 5.575 11208476 Marketing 360,000.00 360,000.00 6.99 11231440 Marketing 327,592.90 328,000.00 6.725 11220813 Additional 231,693.57 232,000.00 6.5 11216698 Marketing 173,721.82 174,140.00 7.15 11221732 Marketing 382,021.94 382,500.00 6.7 11212188 Marketing 282,307.53 283,100.00 6.375 11183759 Marketing 598,786.32 599,992.00 6.026 11205350 Marketing 256,500.00 256,500.00 7 11179080 Marketing 103,272.48 103,500.00 9.025 11217098 Marketing 303,052.34 303,750.00 7.375 11226194 Marketing 215,539.69 216,000.00 7.75 11191655 Marketing 286,955.15 288,000.00 6.525 11204482 Marketing 131,749.60 132,000.00 8.325 11180135 Marketing 420,000.00 420,000.00 5.55 11212203 Marketing 134,894.08 135,200.00 7.45 11152773 Marketing 203,796.46 204,245.00 7.6 11218578 Marketing 184,786.74 185,000.00 6.99 11183261 Marketing 97,780.45 98,000.00 7.5 11183896 Marketing 326,896.00 328,000.00 8.05 11186353 Marketing 170,605.41 171,200.00 6.75 11198565 Marketing 286,400.00 286,400.00 5.99 11233385 Marketing 299,542.72 300,000.00 5.975 11193138 Marketing 91,664.36 92,000.00 6.99 11230617 Marketing 131,664.96 132,000.00 8.325 11209027 Marketing 115,712.53 116,000.00 6.99 11214056 Marketing 152,605.08 153,000.00 6.79 11198559 Marketing 137,233.78 137,600.00 6.625 11200255 Marketing 200,000.00 200,000.00 5.875 11222651 Marketing 39,939.50 40,000.00 9.75 11192452 Marketing 121,178.19 121,500.00 6.65 11225831 Marketing 223,723.90 224,000.00 6.75 11216117 Marketing 275,247.41 276,000.00 6.5 11179278 Marketing 441,019.20 442,000.00 8.99 11217477 Marketing 171,510.21 172,000.00 6.275 11189252 Marketing 71,857.74 72,000.00 8.125 11201217 Marketing 133,244.41 133,600.00 6.625 11194765 Marketing 76,617.38 76,800.00 7.2 11219180 Marketing 339,236.76 340,000.00 7.49 11202627 Marketing 219,370.49 220,000.00 6.25 11207190 Marketing 779,109.56 780,000.00 7.025 11212127 Marketing 200,000.00 200,000.00 5.7 11144412 Marketing 287,232.76 288,000.00 8.375 11207666 Marketing 162,845.66 163,152.00 8.375 11227789 Marketing 493,540.80 494,000.00 7.75 11170701 Marketing 281,508.43 283,000.00 5.75 11194232 Additional 148,167.32 148,500.00 7.5 11192932 Additional 328,000.00 328,000.00 6.2 11219412 Marketing 95,804.67 96,000.00 7.98 11202558 Marketing 104,772.75 105,000.00 5.75 11197178 Marketing 531,000.00 531,000.00 5.75 11220978 Additional 220,070.93 220,500.00 8.2 11219330 Marketing 130,888.63 131,250.00 6.45 11208709 Marketing 143,655.89 144,000.00 7.175 11212773 Marketing 107,063.67 107,350.00 6.625 11167866 Marketing 120,500.00 120,500.00 5.8 11229385 Marketing 317,704.24 318,400.00 7.625 11218217 Marketing 311,511.44 312,000.00 5.875 11198272 Marketing 134,000.00 134,000.00 6.95 11159829 Additional 430,026.08 432,000.00 6.5 11193338 Marketing 461,600.00 461,600.00 5.99 11176805 Marketing 70,119.70 70,300.00 9.375 11224838 Marketing 113,712.45 114,000.00 6.9 11184846 Marketing 88,998.77 89,250.00 8.8 11217372 Marketing 281,231.06 282,000.00 6.5 11198235 Marketing 190,188.32 190,800.00 7.2 11221281 Marketing 249,266.61 250,000.00 6.12 11210858 Marketing 382,400.00 382,400.00 6.3 11203716 Marketing 127,920.00 127,920.00 7.2 11213260 Marketing 684,000.00 684,000.00 7.6 11186517 Marketing 86,920.18 87,200.00 7.25 11198829 Marketing 101,203.85 101,600.00 6.15 11215801 Marketing 186,954.44 187,200.00 6.525 11211671 Marketing 251,332.56 252,000.00 6.65 11215523 Marketing 49,491.68 50,000.00 8.625 11209342 Marketing 231,505.58 232,000.00 7.75 11223628 Marketing 220,000.00 220,000.00 5.95 11205656 Marketing 284,567.37 285,000.00 5.99 11229043 Marketing 85,377.66 85,600.00 6.75 11206863 Marketing 106,316.29 106,600.00 6.625 11195947 Marketing 189,229.66 189,900.00 6.75 11212200 Marketing 527,000.00 527,000.00 5.99 11231075 Marketing 187,711.50 188,000.00 5.95 11190479 Additional 72,652.66 72,800.00 6 11190731 Marketing 260,000.00 260,000.00 5.1 11216520 Marketing 207,517.51 208,000.00 7.325 11222537 Marketing 247,186.58 247,920.00 6.076 11229382 Marketing 489,954.20 495,000.00 6.2 11233104 Additional 57,882.22 58,000.00 7.99 11208254 Marketing 327,565.57 328,000.00 6.49 11177736 Marketing 204,108.54 207,000.00 8.54 11214795 Marketing 282,400.00 282,400.00 5.95 11183932 Marketing 145,920.51 146,400.00 7.05 11209593 Marketing 372,910.97 373,750.00 7.49 11213585 Marketing 261,091.02 262,400.00 5.875 11209028 Marketing 271,764.68 272,000.00 8 11217720 Marketing 184,431.62 185,000.00 7.375 11224112 Marketing 99,793.21 100,000.00 7.9 11168718 Marketing 67,674.78 67,920.00 7.7 11220908 Marketing 239,370.48 240,000.00 6.7 11214128 Marketing 103,656.58 103,920.00 6.875 11215155 Marketing 189,532.31 190,000.00 8.475 11229858 Additional 391,126.15 392,000.00 7.525 11194584 Additional 604,000.00 604,000.00 7.8 11225983 Marketing 349,132.59 350,000.00 6.99 11209058 Marketing 584,000.00 584,000.00 6 11216198 Marketing 155,583.69 156,000.00 6.625 11205588 Marketing 284,000.00 284,000.00 6.9 11218958 Marketing 51,386.90 51,500.00 7.6 11224906 Marketing 72,400.00 72,400.00 6 11210180 Marketing 212,498.85 212,500.00 7.25 11220430 Additional 167,767.17 168,000.00 6.325 11202020 Marketing 94,133.75 94,400.00 6.325 11219844 Marketing 263,463.95 264,000.00 7.99 11203339 Marketing 180,616.11 181,600.00 6.15 11219759 Additional 244,000.00 244,000.00 5.875 11196490 Marketing 179,955.14 180,000.00 5.95 11222567 Marketing 372,960.29 374,000.00 7.875 11223316 Marketing 150,686.22 151,000.00 7.875 11214988 Marketing 314,832.21 316,000.00 6.995 11156057 Marketing 413,522.72 414,000.00 6.99 11177503 Marketing 170,822.46 171,000.00 8.375 11159255 Marketing 429,800.63 431,680.00 6.75 11226750 Marketing 169,569.08 170,000.00 6.875 11219249 Marketing 144,623.36 145,000.00 6.75 11196770 Marketing 262,148.70 262,800.00 6.99 11211546 Marketing 91,746.79 92,000.00 7.925 11219438 Marketing 121,803.75 122,000.00 9.125 11227960 Marketing 460,800.00 460,800.00 5.875 11214954 Marketing 369,625.45 370,000.00 7.451 11217938 Marketing 337,600.00 337,600.00 6.1 11170422 Marketing 385,918.95 387,000.00 6.375 11195570 Marketing 155,582.57 156,000.00 6.625 11223290 Marketing 108,000.00 108,000.00 6.125 11221303 Marketing 54,284.07 54,400.00 7.75 11187115 Marketing 175,385.75 176,000.00 6.725 11212892 Marketing 512,000.00 512,000.00 6.875 11178448 Marketing 110,378.61 110,700.00 7.69 11220431 Marketing 194,540.90 195,000.00 7.25 11204769 Marketing 62,590.99 62,700.00 8.75 11220826 Marketing 360,000.00 360,000.00 5.5 11205950 Marketing 519,527.07 521,050.00 7.625 11167650 Marketing 116,000.00 116,000.00 5.95 11175664 Marketing 165,032.30 165,500.00 8.74 11220211 Marketing 138,406.12 138,750.00 6.99 11203726 Marketing 318,713.74 320,000.00 5.99 11200527 Marketing 88,371.29 88,560.00 7.75 11221942 Marketing 115,831.38 116,000.00 6.15 11198078 Marketing 350,000.00 350,000.00 6 11192442 Marketing 199,825.99 200,000.00 6.725 11225370 Marketing 133,720.29 135,000.00 7.05 11233034 Marketing 55,995.20 56,100.00 8.4 11234399 Additional 284,657.87 285,600.00 5.5 11183228 Marketing 239,322.67 240,000.00 7.8 11203613 Marketing 167,502.92 168,000.00 6.075 11220596 Marketing 150,420.00 150,720.00 5.99 11220981 Marketing 123,860.41 124,000.00 7.075 11166371 Marketing 258,209.07 259,560.00 7.225 11196502 Marketing 404,623.88 406,000.00 6.875 11202874 Marketing 331,258.72 332,072.00 8.5 11228419 Marketing 193,016.31 193,500.00 8.4 11225400 Marketing 192,996.41 193,500.00 6.74 11211703 Marketing 355,383.77 356,000.00 5.5 11216498 Marketing 114,722.65 115,000.00 8.575 11220857 Marketing 448,772.95 450,000.00 6.5 11207947 Marketing 167,799.41 168,000.00 7.1 11210165 Marketing 548,110.98 549,000.00 5.75 11221057 Marketing 611,245.65 612,000.00 6.75 11198405 Marketing 616,000.00 616,000.00 6.425 11212361 Marketing 368,250.74 369,000.00 7.99 11194387 Marketing 92,481.06 92,720.00 8.25 11217187 Marketing 512,598.45 514,000.00 6.5 11217578 Marketing 141,965.60 142,350.00 6.55 11216203 Marketing 130,760.22 131,000.00 8.5 11219390 Marketing 350,294.20 351,500.00 6.25 11214503 Marketing 142,480.18 143,200.00 6.775 11192847 Marketing 143,654.18 144,000.00 7.15 11224386 Marketing 195,771.52 196,000.00 6.95 11216894 Marketing 329,144.03 329,650.00 9.35 11166333 Marketing 121,250.80 121,600.00 7.95 11214109 Marketing 134,682.15 135,000.00 7.25 11191050 Marketing 51,657.63 51,727.00 9.99 11228273 Marketing 95,801.51 96,000.00 7.9 11179913 Marketing 94,255.91 94,500.00 6.8 11211389 Marketing 304,000.00 304,000.00 6.975 11206400 Marketing 103,647.47 104,000.00 6.875 11211791 Marketing 299,725.10 300,000.00 7.8 11181522 Marketing 432,000.00 432,000.00 6.125 11213160 Marketing 195,410.59 196,000.00 5.99 11214994 Marketing 300,000.00 300,000.00 6.5 11227669 Marketing 211,353.23 211,920.00 6.6 11189567 Additional 246,633.35 247,000.00 7.125 11192315 Marketing 386,896.81 387,000.00 6.4 11163762 Marketing 152,320.71 153,000.00 8.55 11179879 Additional 254,999.99 255,000.00 6.99 11198930 Marketing 135,527.67 136,000.00 6.75 11213735 Marketing 847,893.44 850,000.00 6.99 11204524 Marketing 368,000.00 368,000.00 5.99 11188106 Marketing 85,362.45 85,500.00 9.125 11195243 Marketing 384,000.00 384,000.00 6.275 11190354 Marketing 108,700.90 110,000.00 7.65 11218180 Marketing 421,235.48 422,250.00 5.975 11229027 Marketing 455,355.17 456,000.00 6.251 11230077 Marketing 404,700.00 404,700.00 6.75 11203120 Marketing 118,821.28 119,200.00 5.7 11196578 Marketing 518,568.32 520,000.00 6.45 11187207 Marketing 118,229.50 118,400.00 6.25 11213496 Marketing 74,895.73 75,000.00 7.501 11220212 Marketing 496,500.00 496,500.00 5.99 11207032 Marketing 172,565.42 172,800.00 6.4 11184351 Marketing 79,748.11 80,000.00 7.25 11180695 Marketing 84,793.96 85,000.00 8.55 11207912 Additional 267,290.17 268,000.00 6.65 11214991 Marketing 267,071.03 267,692.00 7.325 11191956 Marketing 159,425.12 160,000.00 6.575 11206305 Marketing 568,791.38 570,000.00 7.775 11210140 Marketing 306,202.56 307,000.00 6.75 11216438 Marketing 426,877.39 428,000.00 6.7 11197644 Marketing 259,527.19 260,500.00 6.375 11224958 Marketing 132,716.56 133,000.00 7.75 11217100 Marketing 295,676.03 296,000.00 7.175 11191593 Marketing 508,000.00 508,000.00 6.25 11229182 Additional 247,884.13 248,500.00 6.99 11197729 Marketing 174,505.82 174,850.00 6.075 11204221 Marketing 174,615.69 175,000.00 7.6 11143943 Marketing 98,030.25 98,400.00 7.5 11221454 Marketing 274,851.27 275,200.00 6.65 11215823 Marketing 650,960.00 650,960.00 6.15 11205580 Marketing 266,892.98 267,200.00 8.025 11204423 Marketing 331,999.50 332,000.00 6.15 11197313 Additional 259,504.27 260,000.00 8.3 11196394 Marketing 249,439.89 250,000.00 7.5 11198392 Marketing 109,818.41 110,000.00 6.75 11216375 Marketing 299,077.92 300,000.00 5.875 11190555 Marketing 576,224.48 577,800.00 6.5 11198849 Marketing 161,565.25 162,000.00 8.05 11221249 Additional 560,000.00 560,000.00 6.55 11219939 Marketing 525,963.05 526,500.00 7.425 11207672 Marketing 314,190.46 314,500.00 7.55 11178327 Marketing 157,600.00 157,600.00 6.45 11215221 Additional 228,750.00 228,750.00 5.5 11225324 Marketing 462,290.81 463,120.00 6 11182876 Marketing 400,000.00 400,000.00 6.99 11211918 Marketing 205,200.00 205,200.00 6.05 11174952 Marketing 473,184.95 473,342.00 5.125 11196003 Additional 67,656.12 68,000.00 8.625 11184043 Marketing 78,189.72 78,320.00 5.65 11201493 Marketing 198,466.91 199,200.00 6.625 11189398 Marketing 247,178.13 248,000.00 6.99 11210978 Marketing 137,705.56 138,000.00 7.75 11212905 Marketing 495,141.42 496,000.00 5.5 11225691 Marketing 62,263.65 62,400.00 7.625 11212657 Marketing 423,491.70 424,000.00 6.85 11217109 Marketing 198,215.58 198,400.00 7.75 11216411 Marketing 79,454.29 79,600.00 8.5 11200414 Marketing 334,747.03 335,000.00 8.475 11221583 Marketing 343,555.74 344,592.00 5.99 11210802 Marketing 191,794.25 192,000.00 7.25 11149307 Marketing 168,000.00 168,000.00 5.375 11211949 Marketing 360,000.00 360,000.00 7.575 11210548 Marketing 279,699.96 280,000.00 7.25 11207645 Marketing 90,100.69 90,250.00 8.99 11210660 Marketing 233,600.00 233,600.00 6.55 11180534 Marketing 143,546.59 144,000.00 7.25 11213935 Marketing 312,645.18 313,500.00 6.5 11206733 Marketing 93,283.95 93,600.00 5.375 11213886 Marketing 267,392.69 268,160.00 6.25 11211656 Marketing 53,496.76 53,600.00 8.25 11204408 Marketing 600,000.00 600,000.00 6.65 11172074 Marketing 476,000.00 476,000.00 6.45 11215207 Marketing 369,000.00 369,000.00 5.625 11212896 Marketing 308,719.58 308,800.00 6.25 11192674 Marketing 329,558.10 330,000.00 6.45 11201726 Marketing 176,000.00 176,000.00 6.25 11224440 Marketing 734,031.62 736,000.00 6.6 11175566 Marketing 167,387.57 168,000.00 6.5 11208841 Marketing 296,000.00 296,000.00 5.575 11201479 Marketing 440,491.60 441,000.00 6.99 11208927 Marketing 337,259.78 338,480.00 6.75 11211393 Marketing 417,363.60 418,000.00 6.8 11216037 Marketing 98,913.70 99,000.00 7.99 11217517 Marketing 221,600.00 221,600.00 6.4 11191020 Marketing 318,144.20 319,200.00 7 11196943 Marketing 157,301.97 157,600.00 6.25 11205167 Marketing 153,675.10 154,000.00 7.8 11196303 Additional 236,065.24 236,800.00 5.825 11203828 Marketing 101,402.96 101,520.00 6.99 11208068 Marketing 61,644.80 61,750.00 9.625 11217154 Marketing 148,000.00 148,000.00 6.5 11193108 Additional 244,407.57 244,800.00 6.85 11202097 Marketing 129,679.97 130,000.00 8.475 11187331 Marketing 105,116.39 105,520.00 6.25 11206642 Marketing 231,425.04 232,000.00 6.99 11207127 Marketing 187,541.92 188,000.00 8.525 11189281 Marketing 269,999.50 270,000.00 6.7 11200452 Marketing 97,035.59 97,280.00 8.375 11202142 Marketing 266,929.75 267,000.00 7 11203023 Marketing 388,500.00 389,500.00 7.125 11198872 Marketing 139,489.43 140,000.00 7.65 11216394 Marketing 119,744.28 120,000.00 7.75 11180479 Marketing 145,791.00 146,250.00 7.5 11222869 Marketing 374,929.29 376,000.00 6.275 11154087 Marketing 302,876.93 304,000.00 7.8 11198766 Marketing 239,462.33 240,000.00 7.5 11212613 Marketing 222,360.19 223,000.00 5.125 11186374 Marketing 184,048.12 184,500.00 8.5 11184754 Marketing 124,000.00 124,000.00 7.3 11196049 Marketing 115,902.46 116,000.00 6.9 11216293 Marketing 267,983.08 268,600.00 7.375 11215889 Additional 251,676.21 252,000.00 6.6 11201917 Marketing 213,220.24 213,750.00 6.99 11209901 Marketing 340,000.00 340,000.00 5.5 11183412 Marketing 373,599.60 375,000.00 6.375 11212678 Marketing 340,793.79 341,200.00 6.875 11206038 Marketing 235,206.46 235,450.00 7.375 11222773 Marketing 251,702.07 252,000.00 6.9 11224748 Marketing 107,811.59 107,936.00 6.99 11177236 Marketing 84,859.66 85,000.00 9 11210935 Marketing 227,282.42 228,000.00 5.75 11226813 Marketing 114,671.40 114,750.00 8.8 11120720 Marketing 182,991.55 183,600.00 6.99 11211604 Marketing 138,400.00 138,400.00 7 11201592 Marketing 387,999.00 388,000.00 6 11128000 Marketing 75,810.10 76,000.00 9.5 11207222 Marketing 159,691.80 160,000.00 8.25 11203515 Marketing 297,925.18 299,200.00 5.7 11214741 Marketing 171,573.72 172,000.00 6.99 11226057 Additional 253,450.00 253,650.00 6.5 11209595 Marketing 594,400.00 594,400.00 5.575 11210845 Marketing 142,431.12 143,200.00 6.7 11192634 Marketing 440,956.80 441,750.00 9.99 11219589 Additional 204,567.51 205,000.00 7.8 11214634 Marketing 633,749.90 634,500.00 6.9 11218128 Marketing 73,327.27 73,520.00 6.7 11210094 Marketing 116,402.93 116,720.00 7.99 11197056 Marketing 299,386.72 299,700.00 7.875 11214432 Marketing 283,500.00 283,500.00 6.375 11197033 Marketing 401,810.31 402,400.00 6.125 11205541 Marketing 428,215.99 429,000.00 6.375 11173857 Marketing 228,701.96 229,425.00 8.375 11204192 Marketing 123,999.58 124,000.00 6.325 11210936 Marketing 295,914.59 296,000.00 6.925 11216267 Marketing 82,912.87 83,120.00 6.99 11192322 Marketing 287,916.00 287,916.00 5.99 11195654 Marketing 466,122.38 468,000.00 6 11201604 Marketing 129,714.16 130,050.00 8.24 11220429 Marketing 161,687.96 162,000.00 8.25 11205657 Marketing 159,755.01 160,000.00 7.36 11197836 Marketing 309,295.16 310,000.00 7.426 11218562 Marketing 246,667.00 248,000.00 6.45 11220605 Marketing 78,245.10 78,400.00 8.125 11219113 Marketing 231,960.00 231,960.00 7.15 11210006 Marketing 633,223.08 634,021.00 6.675 11215807 Marketing 114,843.53 115,200.00 5.99 11223151 Marketing 143,587.97 144,000.00 6.25 11185304 Additional 119,920.00 119,920.00 6.825 11210029 Marketing 259,736.74 260,000.00 7.45 11215530 Marketing 137,030.87 137,200.00 6.75 11211757 Marketing 63,998.37 64,175.00 7.125 11224013 Additional 207,750.64 208,000.00 6.85 11232525 Marketing 317,663.94 317,750.00 6.5 11210651 Marketing 580,000.00 580,000.00 6.95 11215662 Marketing 176,150.00 176,250.00 6.25 11180159 Marketing 58,337.36 58,500.00 7.875 11219416 Marketing 479,889.68 480,250.00 8.49 11200485 Marketing 318,764.20 320,000.00 6.2 11195912 Marketing 51,659.22 51,750.00 10.1 11219904 Marketing 537,600.00 537,600.00 6 11219178 Marketing 395,569.62 396,000.00 7.2 11201752 Marketing 58,223.86 60,000.00 8.24 11217337 Marketing 219,752.34 220,000.00 7.075 11214442 Marketing 162,113.60 162,500.00 7.2 11206591 Marketing 207,413.37 208,000.00 6.325 11185904 Marketing 65,082.69 65,250.00 8.275 11217700 Marketing 654,122.96 656,000.00 6.25 11190081 Marketing 289,060.97 290,000.00 5.6 11199634 Marketing 102,244.54 102,400.00 5.99 11205986 Marketing 78,117.47 78,300.00 7.3 11193177 Marketing 460,351.85 461,224.00 6.25 11232125 Marketing 206,348.52 207,000.00 5.75 11139962 Marketing 454,199.78 456,000.00 7.25 11219644 Marketing 332,090.16 332,500.00 6.75 11193212 Marketing 164,599.85 165,000.00 7.1 11203248 Marketing 323,072.93 324,000.00 6.25 11212744 Marketing 185,600.00 185,600.00 6.45 11174277 Marketing 244,000.00 244,000.00 5.75 11211498 Marketing 104,795.69 105,000.00 8.2 11222956 Marketing 132,491.28 133,000.00 6.25 11172925 Marketing 197,194.93 198,000.00 7.1 11207077 Marketing 101,747.70 102,000.00 7 11178452 Marketing 62,212.72 62,400.00 8.99 11221748 Marketing 143,660.97 144,000.00 7.25 11169867 Marketing 172,000.00 172,000.00 6.25 11224564 Additional 435,000.00 435,000.00 5.875 11232667 Marketing 212,081.39 212,592.00 7.99 11221487 Marketing 47,370.49 47,500.00 6.5 11170936 Marketing 339,298.46 340,000.00 6.5 11222229 Additional 49,817.43 49,900.00 8.99 11212486 Marketing 342,852.86 343,920.00 5.825 11210301 Additional 54,326.83 54,400.00 9.975 11223499 Marketing 649,141.45 650,000.00 6.5 11194347 Marketing 660,800.00 660,800.00 6.55 11200020 Marketing 114,196.75 114,400.00 8.675 11206687 Marketing 65,020.65 65,600.00 7 11222340 Marketing 552,000.00 552,000.00 6.8 11226895 Marketing 335,537.54 336,000.00 6.35 11186183 Marketing 106,096.70 106,400.00 7.75 11136562 Marketing 209,834.56 210,400.00 6.575 11196685 Marketing 207,345.05 208,000.00 7.25 11207887 Marketing 117,194.81 117,500.00 6.75 11222848 Marketing 243,999.95 244,000.00 6.875 11217348 Marketing 92,000.00 92,000.00 6.925 11181259 Marketing 341,301.06 342,000.00 9.375 11167383 Marketing 326,803.79 328,000.00 7.65 11192941 Marketing 324,096.48 325,000.00 7.875 11182091 Marketing 220,601.96 221,000.00 5.35 11186576 Marketing 160,000.00 160,000.00 6.5 11180777 Marketing 118,787.71 119,000.00 8.625 11202191 Marketing 287,014.27 288,000.00 6.825 11177595 Marketing 171,080.80 171,595.00 7.5 11204350 Marketing 262,940.86 264,000.00 6 11213437 Additional 98,935.98 99,200.00 6.625 11190669 Marketing 231,200.00 231,200.00 5.625 11202661 Marketing 80,530.67 80,750.00 7.99 11173617 Marketing 319,119.29 320,000.00 7.925 11183210 Marketing 102,981.15 103,250.00 6.75 11195997 Marketing 171,000.00 171,000.00 6.99 11165426 Marketing 174,570.00 174,570.00 7.365 11217324 Marketing 282,844.87 283,200.00 6.701 11184935 Marketing 149,118.22 150,000.00 6.825 11217911 Marketing 77,341.84 77,520.00 8.375 11211133 Marketing 102,969.93 103,200.00 7.525 11216384 Additional 374,984.63 376,000.00 6.55 11211553 Marketing 121,027.38 121,200.00 6.225 11163855 Marketing 236,000.00 236,000.00 5.375 11209620 Marketing 135,554.73 135,920.00 6.575 11203970 Marketing 143,955.78 145,300.00 6.875 11209823 Marketing 269,401.11 270,000.00 7.55 11218069 Additional 119,371.97 119,600.00 8.3 11194058 Marketing 339,125.41 340,000.00 6.8 11217057 Marketing 398,909.31 400,000.00 6.5 11232056 Additional 255,220.62 256,000.00 6.5 11222781 Marketing 89,045.01 89,250.00 7.375 11219464 Marketing 467,573.38 468,750.00 6.925 11163119 Marketing 347,087.30 348,000.00 5.875 11219631 Marketing 387,552.69 388,000.00 6.99 11208870 Marketing 228,285.53 228,750.00 7.99 11231928 Marketing 299,161.98 300,000.00 6.375 11212119 Marketing 90,087.39 90,400.00 9.2 11205918 Marketing 40,756.18 40,850.00 7.375 11220353 Marketing 67,673.81 68,000.00 6.5 11203289 Marketing 130,902.66 131,084.00 7.375 11210302 Marketing 207,416.17 208,000.00 6.35 11189090 Marketing 234,799.25 234,800.00 6.75 11211039 Marketing 279,032.23 279,750.00 7.57 11209168 Marketing 130,062.93 130,400.00 6.775 11205157 Marketing 177,252.07 177,600.00 6.12 11214026 Marketing 98,621.94 98,800.00 8.575 11215484 Marketing 213,543.96 214,000.00 7.75 11227286 Marketing 123,722.18 124,000.00 7.5 11184076 Marketing 154,730.29 155,200.00 7.45 11216056 Additional 260,000.00 260,000.00 5.875 11237070 Additional 128,517.44 128,700.00 9.725 11182835 Marketing 61,021.05 61,200.00 8.75 11206318 Marketing 359,119.60 360,000.00 6.125 11197314 Marketing 165,870.86 166,400.00 7.2 11227915 Additional 262,060.49 262,500.00 5.625 11209536 Marketing 111,642.61 111,920.00 6.99 11232568 Additional 233,335.17 233,600.00 7.05 11221628 Marketing 384,000.00 384,000.00 5.625 11217202 Additional 166,161.60 166,250.00 9.65 11199049 Marketing 187,783.25 188,000.00 6.99 11205607 Marketing 187,578.82 188,000.00 7.5 11232099 Marketing 66,423.97 66,600.00 8.125 11211596 Marketing 214,122.61 214,400.00 6.575 11192945 Marketing 569,135.92 570,500.00 5.375 11217989 Marketing 220,452.31 221,000.00 6.99 11193239 Marketing 148,236.35 148,792.00 6.375 11205485 Marketing 133,600.00 133,600.00 7.275 11209985 Additional 671,200.00 671,200.00 6.425 11209925 Marketing 194,571.73 195,500.00 6.3 11205192 Marketing 215,438.94 216,000.00 6.75 11219280 Marketing 246,222.65 247,000.00 5.75 11206402 Marketing 217,600.00 217,600.00 5.9 11196758 Additional 198,754.98 199,500.00 6.375 11215987 Marketing 194,600.00 194,600.00 5.5 11182802 Marketing 436,224.54 437,400.00 6.575 11167777 Marketing 259,091.00 259,091.00 5.875 11202783 Marketing 177,537.66 178,000.00 6.75 11205674 Marketing 290,400.00 290,400.00 6.25 11214789 Additional 67,476.25 67,600.00 8.5 11206570 Marketing 251,089.00 251,089.00 6.2 11200077 Additional 100,514.72 100,700.00 9.875 11202520 Marketing 204,000.00 204,000.00 5.85 11203462 Marketing 199,857.86 200,000.00 8.675 11198372 Marketing 159,760.60 160,000.00 8.425 11201818 Marketing 287,407.50 288,000.00 7.925 11200235 Marketing 71,864.89 72,000.00 8.475 11225137 Marketing 499,163.13 499,920.00 6 11214139 Marketing 136,874.45 137,000.00 7.8 11158273 Marketing 359,959.89 360,000.00 6.6 11207788 Marketing 286,154.90 287,086.00 7.1 11211333 Additional 135,841.46 136,000.00 6.95 11197194 Additional 193,800.00 193,800.00 5.85 11218830 Additional 211,977.73 213,225.00 7.65 11231435 Marketing 274,400.00 274,400.00 6.625 11219990 Marketing 209,600.00 209,600.00 6.2 11192856 Marketing 446,311.14 448,000.00 6.326 11194660 Additional 344,838.70 345,800.00 6.4 11166696 Marketing 215,824.56 216,750.00 6.85 11211601 Marketing 189,973.45 190,400.00 7.5 11190399 Marketing 348,000.00 348,000.00 6.75 11213542 Marketing 160,639.28 161,000.00 7.5 11159211 Marketing 295,251.63 296,800.00 6.125 11181631 Marketing 291,824.07 294,400.00 5.575 11213038 Marketing 259,579.63 260,000.00 6.5 11204594 Marketing 271,113.51 272,000.00 7.075 11163759 Marketing 230,720.00 230,720.00 6.25 11223651 Marketing 320,000.00 320,000.00 6.25 11218589 Marketing 363,200.00 363,200.00 5.75 11164315 Marketing 330,481.66 331,500.00 7.375 11220849 Marketing 423,096.42 424,000.00 7.75 11217851 Marketing 166,800.48 167,040.00 6.2 11136710 Marketing 469,189.31 470,400.00 6.8 11217633 Marketing 59,859.44 60,000.00 7.275 11199029 Marketing 133,573.87 134,000.00 7.2 11208759 Marketing 111,818.65 112,000.00 5.75 11212111 Marketing 274,361.62 275,000.00 7.5 11199110 Marketing 311,449.03 312,000.00 6.5 11064967 Marketing 98,380.84 99,000.00 8.5 11182063 Marketing 175,417.89 176,000.00 7 11213166 Marketing 479,408.36 480,000.00 6.75 11218691 Marketing 559,995.33 560,000.00 5.99 11212696 Marketing 201,019.81 201,400.00 8.5 11213053 Marketing 141,814.13 142,200.00 6.525 11207629 Marketing 309,587.02 310,000.00 7.075 11204863 Additional 285,000.00 285,000.00 5.875 11204793 Marketing 199,505.33 200,000.00 7 11209751 Marketing 296,549.16 297,000.00 5.99 11222341 Marketing 91,711.74 92,000.00 7.275 11208773 Marketing 238,724.05 239,920.00 5.85 11210982 Marketing 479,366.01 480,000.00 6.5 11178405 Marketing 478,810.40 480,000.00 6.99 11177975 Marketing 171,366.88 172,000.00 6.45 11186591 Marketing 257,095.18 258,000.00 6.7 11203159 Marketing 199,633.93 200,000.00 8.5 11195107 Marketing 310,966.02 312,000.00 6.99 11230906 Marketing 452,800.00 452,800.00 5.7 11188353 Marketing 85,309.41 85,500.00 7.525 11203601 Additional 335,999.51 336,000.00 5.375 11210981 Marketing 156,750.00 156,750.00 8.675 11209184 Marketing 229,387.84 230,000.00 6.625 11217152 Marketing 84,784.54 85,000.00 6.875 11196661 Marketing 347,309.90 348,000.00 6.075 11205597 Marketing 161,698.90 162,000.00 8.425 11208268 Marketing 335,750.00 335,750.00 6 11206244 Additional 128,396.99 128,700.00 7.25 11205252 Marketing 343,506.73 344,000.00 6.2 11222921 Additional 252,998.00 253,000.00 6.5 11214813 Marketing 152,677.22 153,000.00 7.8 11211751 Marketing 155,538.44 156,000.00 6.075 11207690 Marketing 232,700.00 232,750.00 5.99 11216844 Marketing 263,357.85 264,000.00 7.085 11199423 Marketing 208,000.00 208,000.00 6.125 11233069 Marketing 52,660.43 52,800.00 8.125 11139445 Additional 47,093.41 47,250.00 6.99 11199991 Marketing 351,904.74 351,920.00 5.95 11177067 Marketing 314,447.20 315,000.00 7.25 11220036 Marketing 192,916.98 193,500.00 5.99 11203524 Marketing 139,662.13 140,000.00 7.125 11208922 Marketing 164,790.95 165,000.00 6.651 11219220 Marketing 161,071.96 161,584.00 6.5 11218021 Marketing 184,510.62 184,800.00 5.875 11218494 Marketing 66,205.42 66,400.00 6.125 11237226 Marketing 57,914.20 58,000.00 9.525 11223023 Marketing 292,849.70 293,250.00 6.38 11214841 Marketing 284,280.00 284,280.00 6.55 11166721 Marketing 189,458.40 190,000.00 7.75 11188960 Marketing 414,360.28 415,650.00 5.825 11226891 Additional 356,250.00 356,250.00 5.375 11227759 Marketing 363,519.23 364,000.00 6.5 11200432 Marketing 352,000.00 352,000.00 6.325 11190097 Marketing 91,797.96 92,000.00 7.6 11201864 Marketing 320,000.00 320,000.00 6.45 11231461 Marketing 267,708.67 268,570.00 5.65 11206288 Additional 103,677.17 104,000.00 5.825 11215202 Marketing 175,811.22 176,000.00 7.25 11198832 Marketing 276,000.00 276,000.00 5.65 11210069 Marketing 74,605.06 75,000.00 10.1 11132955 Additional 382,311.91 384,000.00 6.7 11196223 Marketing 170,862.40 171,000.00 8.25 11173115 Marketing 50,843.36 51,000.00 7.375 11189608 Marketing 256,184.68 256,500.00 7.79 11204958 Marketing 213,674.38 214,000.00 6 11198923 Marketing 252,330.39 252,720.00 6.99 11209809 Marketing 279,171.39 279,920.00 6.6 11184703 Marketing 250,190.27 251,200.00 5.99 11165025 Marketing 578,128.47 580,500.00 7.076 11201321 Marketing 142,696.79 143,000.00 7.775 11208935 Marketing 407,085.91 408,000.00 7.5 11170121 Marketing 306,453.45 307,800.00 6.725 11226000 Marketing 197,465.31 198,000.00 6.55 11219003 Marketing 573,393.81 575,000.00 6.375 11227382 Marketing 221,299.14 221,600.00 6.4 11204175 Marketing 75,781.18 76,000.00 7.7 11208684 Marketing 87,018.79 87,200.00 7.875 11222430 Marketing 329,359.69 329,360.00 6.2 11212004 Marketing 305,535.48 306,000.00 5.99 11199357 Marketing 279,636.63 279,960.00 6.99 11218153 Marketing 262,499.49 263,200.00 6.625 11220962 Additional 273,253.26 273,600.00 6.65 11222853 Marketing 247,623.84 248,000.00 6.5 11214170 Marketing 269,130.00 270,000.00 5.625 11206616 Marketing 360,735.49 361,250.00 6.225 11228123 Additional 272,936.45 273,600.00 7.1 11196174 Marketing 76,818.06 77,000.00 8.675 11183533 Marketing 224,131.81 225,000.00 5.25 11224208 Marketing 474,593.60 475,200.00 6.625 11149745 Marketing 64,912.84 65,000.00 9.99 11198498 Marketing 379,384.65 380,000.00 5.75 11219635 Additional 174,400.00 174,400.00 6.65 11197735 Marketing 592,778.41 593,750.00 7.375 11209047 Marketing 61,894.95 62,000.00 8.875 11210729 Additional 287,364.35 288,000.00 7.575 11194113 Marketing 104,615.51 106,000.00 6.7 11190897 Marketing 210,590.52 211,130.00 7.75 11191105 Marketing 249,173.10 250,000.00 7 11216776 Marketing 307,035.22 308,000.00 5.775 11215654 Marketing 256,496.40 256,800.00 6.9 11181545 Marketing 498,750.00 498,750.00 8.5 11195227 Marketing 121,094.17 121,500.00 6.95 11223630 Marketing 129,266.61 129,600.00 6.8 11213416 Marketing 186,628.78 187,000.00 9.025 11209846 Additional 478,810.40 480,000.00 6.99 11209949 Marketing 521,019.83 522,000.00 8.375 11201092 Marketing 158,164.94 158,800.00 6.55 11212510 Marketing 582,352.89 584,000.00 6.325 11195074 Marketing 108,684.58 109,000.00 7.675 11207863 Marketing 203,470.66 204,400.00 6.175 11204887 Marketing 438,593.86 440,000.00 7.175 11176451 Marketing 514,818.11 516,000.00 6.375 11194630 Marketing 268,929.30 269,520.00 6.1 11198122 Marketing 90,159.64 90,250.00 8.5 11166580 Additional 169,327.34 173,000.00 6.75 11201643 Marketing 231,200.00 231,200.00 6.6 11231839 Marketing 383,139.71 384,000.00 7.5 11222235 Marketing 225,303.68 226,500.00 6.625 11227891 Marketing 318,011.92 318,250.00 8.5 11202918 Marketing 388,996.19 389,927.00 8.625 11231174 Marketing 62,887.61 63,000.00 8.625 11218170 Marketing 123,730.98 124,000.00 7.8 11216890 Marketing 538,597.34 540,000.00 6.75 11198582 Marketing 239,368.65 240,000.00 6.685 11208482 Marketing 107,456.03 107,600.00 6.453 11193599 Marketing 196,000.00 196,000.00 6.25 11194507 Marketing 247,471.51 248,000.00 7.75 11210505 Marketing 129,670.47 130,000.00 6.875 11223254 Marketing 343,465.74 343,920.00 6.5 11198660 Marketing 269,325.58 270,000.00 6.95 11203220 Marketing 58,383.53 58,500.00 9.5 11190585 Marketing 491,889.81 492,000.00 5.375 11193658 Marketing 211,999.50 212,000.00 5.55 11212483 Marketing 148,366.83 148,500.00 7.875 11212860 Additional 113,302.03 113,600.00 6.7 11205041 Marketing 137,600.00 137,600.00 6.575 11179186 Marketing 109,931.76 111,000.00 6.875 11172223 Marketing 248,995.86 250,000.00 6 11193741 Marketing 142,014.66 142,500.00 6.85 11171040 Marketing 61,321.15 61,500.00 7.65 11188585 Marketing 129,004.67 129,500.00 6.25 11215137 Marketing 287,549.03 288,000.00 5.875 11202159 Marketing 349,622.78 350,200.00 6.75 11197299 Marketing 153,447.68 153,600.00 7.525 11202588 Marketing 296,938.51 297,500.00 8.35 11185177 Marketing 280,000.00 280,000.00 5.5 11204292 Marketing 263,613.65 264,000.00 6.125 11223280 Marketing 71,767.89 72,000.00 7.825 11201449 Marketing 438,443.65 440,000.00 5.125 11212617 Marketing 75,432.30 75,600.00 7.55 11200446 Marketing 250,976.33 251,200.00 7.9 11222906 Marketing 161,259.79 161,500.00 9.5 11222716 Marketing 235,759.11 236,400.00 6.53 11196317 Marketing 146,736.51 147,200.00 7.25 11205449 Marketing 179,538.76 180,000.00 6.825 11228765 Marketing 67,833.46 68,000.00 7.05 11228508 Marketing 115,200.00 115,200.00 6.45 11190978 Marketing 466,400.00 466,400.00 6.325 11205856 Marketing 199,463.54 200,000.00 6.585 11215003 Marketing 339,317.96 340,000.00 8.05 11192794 Marketing 320,000.00 320,000.00 7.55 11194472 Additional 470,945.13 471,750.00 6.625 11182589 Marketing 237,586.20 238,000.00 8.75 11214408 Marketing 302,400.00 302,400.00 6.775 11222378 Marketing 160,800.00 160,800.00 6.65 11216124 Marketing 109,444.98 109,600.00 6.25 11164850 Marketing 380,775.29 382,500.00 6.575 11163135 Marketing 130,460.18 133,000.00 7.775 11203973 Marketing 223,737.03 224,000.00 6.925 11220090 Additional 289,000.00 289,000.00 6.75 11161392 Marketing 346,627.01 347,552.00 6.625 11225472 Marketing 63,083.74 63,200.00 8.475 11208561 Marketing 536,000.00 536,000.00 5 11187058 Additional 304,025.83 305,280.00 5.875 11206092 Marketing 185,906.32 186,400.00 6.65 11199443 Marketing 189,508.86 190,000.00 6.775 11161308 Additional 741,254.91 742,500.00 8.925 11225569 Marketing 369,323.72 369,750.00 6.99 11204586 Additional 369,600.00 369,600.00 6.15 11207660 Marketing 361,826.75 362,000.00 7.05 11203224 Marketing 152,440.98 152,800.00 8.125 11195358 Marketing 103,498.92 103,600.00 7.58 11136513 Marketing 268,560.28 269,400.00 5.801 11159884 Marketing 73,857.40 74,000.00 8.25 11200456 Marketing 138,807.39 139,200.00 6.325 11221240 Marketing 237,196.35 238,000.00 5.375 11209773 Marketing 239,600.00 239,600.00 5.875 11204428 Marketing 268,385.87 268,720.00 7.75 11229245 Marketing 84,242.80 84,422.00 7.77 11192371 Additional 519,872.71 520,000.00 5.875 11199763 Marketing 206,730.34 207,248.00 6.95 11184932 Marketing 120,591.85 121,000.00 6.9 11194976 Marketing 178,517.82 179,200.00 6.275 11230747 Marketing 562,100.66 563,242.00 8 11185997 Marketing 249,940.35 251,100.00 5.25 11199246 Marketing 240,936.76 241,500.00 7.175 11199988 Marketing 598,971.06 599,953.00 6.775 11228103 Marketing 282,719.45 283,500.00 6.45 11222958 Marketing 247,500.00 247,500.00 6.99 11208235 Marketing 255,670.00 255,670.00 5.9 11211950 Marketing 347,200.00 347,200.00 5.99 11220803 Marketing 44,367.56 44,800.00 8.88 11206700 Marketing 314,411.30 316,000.00 6 11216195 Marketing 317,724.09 318,000.00 7.99 11214864 Marketing 191,684.88 192,000.00 5.7 11213752 Marketing 291,121.90 292,000.00 5.99 11206966 Marketing 109,600.00 109,600.00 6.28 11201276 Marketing 228,113.27 228,800.00 6 11229206 Marketing 179,778.14 180,000.00 6.75 11149356 Marketing 161,579.21 162,000.00 6.75 11220572 Marketing 168,478.09 169,000.00 5.85 11217661 Marketing 303,318.93 304,000.00 7.5 11187740 Marketing 180,162.83 180,800.00 6.675 11178474 Marketing 299,174.03 300,000.00 6.45 11216569 Marketing 206,260.00 206,260.00 5.525 11210196 Marketing 398,991.02 400,000.00 6.9 11162825 Additional 569,700.79 572,000.00 5.99 11198311 Marketing 126,111.12 126,400.00 7.4 11222485 Marketing 199,800.34 200,000.00 7.5 11230947 Marketing 238,941.99 240,000.00 5.5 11193300 Marketing 199,792.36 200,000.00 8.375 11203792 Marketing 119,604.66 119,880.00 7.375 11203456 Marketing 63,918.31 64,000.00 6.625 11207914 Marketing 77,831.27 78,000.00 7.675 11199854 Marketing 219,822.15 220,000.00 7.1 11226781 Additional 610,000.00 610,000.00 5.85 11213616 Marketing 146,885.68 147,155.00 8.5 11223632 Marketing 79,018.11 79,200.00 7.375 11218117 Marketing 52,867.62 53,000.00 6.95 11210362 Marketing 114,462.22 114,703.00 7.825 11225192 Marketing 550,000.00 550,000.00 7.825 11191902 Marketing 143,603.52 144,000.00 6.45 11215146 Marketing 117,210.94 117,600.00 5.99 11212110 Marketing 166,087.36 166,500.00 6.99 11175679 Marketing 150,704.59 151,200.00 7.05 11207311 Marketing 199,844.81 200,000.00 8.375 11200637 Marketing 164,453.19 165,000.00 6.99 11224433 Marketing 374,567.70 375,000.00 6.99 11196115 Marketing 211,934.41 212,000.00 7.425 11207562 Marketing 99,744.03 100,000.00 6.825 11208915 Marketing 410,400.00 410,400.00 7.375 11228000 Marketing 145,656.24 146,000.00 7.25 11222299 Additional 192,507.31 192,800.00 5.99 11193324 Marketing 508,000.00 508,000.00 6.2 11230438 Marketing 143,709.68 144,000.00 8.025 11200845 Marketing 91,083.72 91,190.00 7.975 11176139 Marketing 159,584.40 160,000.00 6.75 11231432 Marketing 758,034.91 758,799.00 7.5 11195874 Marketing 116,000.00 116,000.00 7.8 11212654 Marketing 301,063.48 301,700.00 7.8 11192032 Marketing 555,941.00 556,000.00 5.7 11232540 Marketing 285,247.95 285,600.00 6.75 11207605 Marketing 319,082.62 320,000.00 6.24 11202692 Marketing 438,800.22 440,000.00 6.5 11180770 Marketing 104,922.54 104,975.00 7.12 11207424 Marketing 164,426.93 165,000.00 6.75 11197882 Marketing 285,000.00 285,000.00 5.99 11201408 Marketing 274,954.36 276,000.00 6.3 11201898 Marketing 359,355.51 360,000.00 6.45 11208527 Marketing 190,828.48 191,200.00 6.15 11180317 Marketing 625,200.00 625,200.00 6.99 11208570 Marketing 235,387.00 236,000.00 6.75 11226927 Marketing 161,974.03 162,400.00 6.7 11198510 Marketing 271,704.08 272,400.00 6.835 11217308 Marketing 203,221.81 203,500.00 6.375 11211966 Marketing 375,429.22 376,000.00 5.99 11221894 Marketing 225,828.82 226,510.00 5.99 11228549 Marketing 124,216.96 126,000.00 5.75 11206848 Marketing 116,000.00 116,000.00 6.115 11198280 Marketing 139,527.79 140,000.00 6.9 11175176 Marketing 86,110.47 86,324.00 7 11173981 Marketing 76,438.13 76,800.00 6.85 11200256 Marketing 252,510.13 252,900.00 6.99 11224070 Marketing 224,921.57 225,600.00 5.99 11219301 Marketing 176,436.22 176,660.00 6.7 11212533 Marketing 548,000.00 548,000.00 6.325 11171429 Marketing 134,800.00 134,800.00 6.375 11198284 Marketing 99,935.14 100,000.00 8.2 11166504 Additional 282,613.81 284,000.00 4.95 11203614 Marketing 398,132.36 399,200.00 6.6 11187816 Marketing 529,970.83 530,000.00 6.5 11179436 Marketing 220,643.59 221,250.00 6.5 11206962 Marketing 192,000.00 192,000.00 6.2 11185474 Additional 208,436.99 208,905.00 7.5 11210961 Marketing 227,765.82 228,000.00 7.4 11213456 Marketing 117,776.17 118,000.00 8.325 11179948 Additional 549,000.00 549,000.00 5.95 11196821 Marketing 199,308.42 199,920.00 5.9 11213852 Marketing 270,000.00 270,000.00 6 11196473 Marketing 344,012.84 345,000.00 6.25 11177887 Marketing 95,617.24 96,000.00 7.2 11204676 Marketing 291,746.65 292,000.00 7.99 11201813 Marketing 115,593.20 116,000.00 6.7 11205293 Marketing 410,792.26 412,000.00 6.99 11217269 Marketing 126,627.87 126,750.00 7.625 11226943 Marketing 127,566.09 127,800.00 8.5 11216912 Marketing 138,015.25 138,400.00 6.4 11212242 Marketing 280,552.99 281,250.00 6.99 11183746 Additional 52,938.48 53,000.00 7.99 11213395 Marketing 411,996.82 416,000.00 6.875 11190419 Additional 227,677.47 228,000.00 6.25 11186756 Marketing 559,999.98 560,000.00 7.3 11217569 Marketing 259,057.15 260,000.00 4.99 11232695 Marketing 75,013.64 75,200.00 6.99 11211292 Marketing 147,668.41 148,000.00 7.5 11216853 Marketing 329,584.71 330,000.00 6.675 11209583 Marketing 199,920.00 199,920.00 5.75 11222023 Marketing 75,811.65 76,000.00 6.99 11202292 Marketing 227,538.71 228,000.00 6.001 11195317 Additional 50,831.33 51,000.00 7 11216898 Marketing 538,050.00 538,050.00 6.05 11223420 Marketing 102,170.58 102,400.00 7.5 11226583 Additional 343,039.09 344,000.00 6.375 11210455 Marketing 389,869.97 390,400.00 6.4 11207814 Marketing 279,968.27 280,000.00 6.8 11192167 Marketing 90,250.00 90,250.00 6.875 11207333 Marketing 334,942.02 336,000.00 7.25 11219107 Marketing 270,118.37 270,300.00 8.865 11214176 Additional 84,738.92 85,000.00 7.375 11196638 Marketing 204,745.10 205,000.00 7.75 11217721 Marketing 439,311.01 440,000.00 5.875 11205615 Marketing 284,000.00 284,000.00 5.75 11143153 Additional 127,098.19 127,500.00 8.375 11192332 Marketing 211,686.09 212,000.00 7.7 11196600 Marketing 166,419.99 167,000.00 6.75 11235253 Marketing 122,822.26 123,250.00 6.99 11216705 Marketing 43,905.63 44,000.00 7.875 11197691 Marketing 174,852.09 175,120.00 5.99 11217043 Marketing 193,021.38 193,500.00 7 11231954 Marketing 108,973.06 109,200.00 7.875 11228347 Marketing 195,527.29 196,000.00 8.575 11197058 Marketing 339,211.30 340,000.00 7.325 11209183 Marketing 190,627.26 191,200.00 6.625 11194764 Marketing 272,956.43 275,500.00 7.5 11221623 Marketing 115,664.89 116,000.00 6.2 11181329 Marketing 331,499.97 331,500.00 5.875 11214723 Marketing 268,000.00 268,000.00 6.5 11230594 Marketing 239,820.45 240,000.00 8.5 11201534 Additional 109,749.87 110,000.00 7.425 11206574 Marketing 193,080.15 193,600.00 8.25 11208280 Marketing 183,206.16 183,804.00 5.575 11198910 Marketing 87,883.78 88,000.00 6.5 11198570 Marketing 229,568.46 230,500.00 5.99 11195034 Marketing 700,000.00 700,000.00 5.99 11212164 Marketing 495,995.00 495,995.00 6.49 11215585 Marketing 264,000.00 264,000.00 6.5 11179497 Marketing 382,717.39 384,000.00 6.95 11230383 Marketing 77,523.92 78,400.00 8.5 11209414 Marketing 327,609.03 328,000.00 6.875 11184540 Marketing 664,000.00 664,000.00 6.75 11205153 Additional 375,323.63 376,000.00 6.3 11194936 Marketing 408,000.00 408,000.00 6.325 11194304 Marketing 155,358.06 155,700.00 7.6 11216035 Additional 606,303.41 607,000.00 7.125 11210086 Marketing 135,309.27 135,465.00 7 11194438 Marketing 283,065.24 284,000.00 7.025 11206493 Marketing 320,000.00 320,000.00 6.7 11221075 Marketing 266,400.00 266,400.00 5.45 11210023 Marketing 200,955.00 200,955.00 7.825 11198286 Marketing 443,061.48 444,000.00 5.24 11189466 Marketing 336,080.35 337,500.00 5.75 11210139 Marketing 227,724.75 228,000.00 6.825 11195910 Marketing 375,920.00 375,920.00 6.05 11222897 Marketing 103,591.38 103,920.00 5.725 11180854 Marketing 282,718.48 284,000.00 5.375 11187449 Marketing 73,714.21 74,000.00 6.2 11165791 Marketing 400,000.00 400,000.00 5.5 11203014 Marketing 299,998.00 300,000.00 6.625 11214446 Additional 150,466.94 150,750.00 8.375 11151412 Marketing 107,288.57 108,000.00 6.125 11219865 Marketing 331,766.57 335,000.00 6.84 11195611 Marketing 236,184.91 236,800.00 6.75 11210210 Marketing 288,000.00 288,000.00 6.78 11161266 Marketing 194,000.00 194,000.00 6.5 11220768 Marketing 463,311.65 464,000.00 6.075 11171809 Marketing 268,672.04 269,500.00 8.5 11187902 Marketing 359,308.92 360,000.00 8.375 11223306 Marketing 231,697.77 232,000.00 6.55 11196449 Additional 149,704.63 150,065.00 7.15 11188846 Marketing 190,779.80 191,000.00 6.99 11193147 Marketing 228,720.00 228,720.00 5.9 11203115 Additional 200,000.00 200,000.00 5.875 11199349 Marketing 275,041.41 276,000.00 6.75 11149975 Marketing 187,348.35 188,000.00 6.76 11200727 Marketing 284,147.64 285,000.00 6.275 11183173 Marketing 139,284.72 139,500.00 6.99 11212934 Marketing 248,000.00 248,000.00 6.9 11200202 Marketing 78,966.88 79,200.00 6.125 11193398 Marketing 175,920.00 175,920.00 5.825 11221498 Additional 299,731.34 300,000.00 7.88 11229012 Marketing 398,250.76 399,200.00 7.2 11174601 Marketing 50,797.65 51,423.00 8.75 11222232 Marketing 76,302.84 76,500.00 8.25 11200815 Marketing 79,735.56 79,800.00 8.25 11208158 Marketing 117,140.82 117,500.00 7.4 11198437 Marketing 124,207.86 124,600.00 5.75 11194655 Marketing 278,031.73 279,000.00 7.325 11227055 Marketing 168,076.17 168,300.00 6.475 11223026 Marketing 303,310.00 304,000.00 5.65 11208511 Marketing 336,800.00 336,800.00 6.125 11217985 Marketing 458,743.26 459,883.00 6.99 11165236 Marketing 614,115.61 616,000.00 5.9 11201025 Marketing 391,984.50 392,000.00 6.075 11204617 Marketing 115,742.66 116,000.00 6.375 11216453 Marketing 303,501.07 304,000.00 5.7 11222089 Marketing 131,021.82 131,250.00 8.75 11219285 Marketing 380,000.00 380,000.00 6.375 11203648 Marketing 589,000.00 589,000.00 5.875 11221501 Marketing 155,592.70 155,920.00 7.825 11198545 Marketing 476,800.00 476,800.00 5.5 11218519 Additional 475,200.00 475,200.00 7.9 11192943 Marketing 186,662.34 187,150.00 7.25 11194658 Marketing 381,643.05 382,500.00 7.5 11159664 Marketing 56,552.29 56,700.00 9.3 11215196 Additional 329,948.35 330,400.00 6.375 11203122 Marketing 251,633.73 252,000.00 7.2 11216996 Marketing 91,537.28 91,748.00 7.375 11215900 Marketing 52,403.70 52,500.00 8.49 11189997 Marketing 335,410.01 335,750.00 7.45 11222961 Marketing 744,649.10 746,735.00 6.375 11217415 Marketing 274,000.00 274,000.00 6.69 11222152 Marketing 283,649.95 284,000.00 6.75 11205817 Marketing 181,973.26 182,280.00 5.65 11208438 Marketing 175,000.00 175,000.00 7.1 11220310 Additional 273,317.23 276,250.00 7.125 11210994 Marketing 67,814.57 68,000.00 6.5 11197791 Additional 660,000.00 660,000.00 5.95 11164646 Marketing 438,845.92 440,000.00 6.7 11219037 Marketing 263,404.51 264,000.00 7.5 11220802 Marketing 259,999.83 260,000.00 5.75 11231417 Marketing 117,642.16 117,900.00 8.5 11153248 Marketing 550,400.00 550,400.00 6.25 11228388 Marketing 244,334.76 245,293.00 6.14 11212179 Marketing 105,980.00 105,980.00 6 11148162 Marketing 119,111.87 119,700.00 7.875 11204021 Marketing 404,158.34 405,000.00 7.875 11226220 Marketing 356,000.00 356,000.00 5.75 11210945 Marketing 299,255.50 300,000.00 7.375 11162780 Marketing 107,629.50 110,000.00 5.625 11205440 Marketing 540,000.00 540,000.00 6.425 11219731 Marketing 505,666.38 506,250.00 6.99 11216546 Marketing 119,721.65 120,000.00 7.325 11201766 Marketing 423,063.46 423,110.00 6.25 11226472 Marketing 369,465.81 370,000.00 6.175 11208426 Marketing 244,000.00 244,000.00 5.825 11213343 Marketing 299,390.87 300,000.00 7.99 11178759 Marketing 313,545.23 315,000.00 5.25 11210230 Marketing 146,747.48 147,050.00 7.925 11154011 Marketing 153,100.20 154,000.00 7.35 11220347 Marketing 240,000.00 240,000.00 5.99 11218090 Marketing 177,600.00 177,600.00 6.45 11222319 Marketing 375,846.90 376,293.00 6.89 11207694 Marketing 296,607.71 297,000.00 6.5 11213067 Marketing 251,192.61 251,546.00 6.275 11202405 Marketing 145,373.02 145,600.00 6.95 11202569 Marketing 235,704.64 235,768.00 6.45 11170221 Marketing 141,799.90 142,400.00 5.74 11221051 Marketing 214,390.00 214,390.00 5.825 11191187 Marketing 122,848.81 123,200.00 7.75 11175921 Marketing 137,135.89 137,600.00 6.9 11178826 Marketing 254,745.14 256,000.00 6.99 11219735 Marketing 503,343.42 504,000.00 6.55 11210306 Marketing 92,150.48 92,400.00 6.55 11192160 Marketing 376,890.56 377,910.00 7.25 11168840 Marketing 638,056.31 639,200.00 5.375 11214843 Marketing 837,983.27 840,000.00 7.175 11225405 Marketing 75,434.82 75,600.00 7.625 11222666 Marketing 154,575.55 155,000.00 7.95 11168316 Marketing 203,200.00 203,200.00 7.99 11218323 Marketing 199,427.74 200,000.00 6.25 11224368 Marketing 173,967.78 174,400.00 6.99 11211503 Marketing 184,000.00 184,000.00 6.4 11193225 Marketing 295,259.98 296,000.00 6.95 11224767 Marketing 204,108.45 204,800.00 5.375 11205351 Marketing 264,033.93 265,000.00 6.5 11210899 Marketing 137,405.36 137,600.00 6.25 11211037 Marketing 459,061.96 460,000.00 4.875 11199759 Marketing 469,209.86 470,770.00 6.99 11177491 Marketing 285,770.91 285,775.00 6.125 11218739 Marketing 520,123.66 520,200.00 6.975 11213667 Marketing 139,625.59 140,000.00 6.6 11220295 Marketing 342,407.82 343,200.00 7.35 11218515 Marketing 349,579.07 350,400.00 7.275 11157372 Marketing 277,146.96 277,950.00 8.8 11206685 Marketing 78,937.08 79,200.00 7.3 11209186 Marketing 87,273.01 87,500.00 8.425 11207065 Marketing 356,000.00 356,000.00 6.55 11223684 Marketing 64,671.96 64,800.00 8.125 11169481 Marketing 184,444.72 185,000.00 6 11217734 Marketing 265,169.90 265,600.00 5.75 11211224 Marketing 319,030.34 320,000.00 5.95 11194929 Marketing 77,333.37 77,550.00 6.375 11219470 Marketing 640,000.00 640,000.00 6.575 11228404 Marketing 170,482.14 170,850.00 9.125 11207354 Marketing 143,740.46 144,000.00 8.575 11221391 Marketing 247,365.17 248,000.00 6.825 11211036 Marketing 231,222.56 231,920.00 5.99 11222468 Marketing 250,752.35 251,084.00 6.5 11210544 Marketing 194,295.95 195,000.00 6.55 11216118 Additional 269,227.42 270,000.00 6.25 11191003 Marketing 179,671.07 180,000.00 6.375 11199066 Marketing 195,894.41 196,000.00 5.8 11200289 Marketing 115,780.12 116,000.00 6.25 11203506 Marketing 231,367.39 232,000.00 6.5 11208383 Marketing 330,678.45 331,500.00 6.99 11196621 Marketing 533,979.04 536,000.00 6.325 11158230 Additional 112,198.09 112,500.00 8.05 11224754 Marketing 39,403.73 39,500.00 7.075 11193564 Marketing 279,574.94 280,000.00 5.99 11229900 Marketing 605,053.53 606,832.00 6.125 11220548 Marketing 235,343.95 236,000.00 6.4 11185367 Marketing 71,819.12 72,000.00 8.375 11194920 Marketing 159,604.04 159,920.00 8.125 11213562 Marketing 544,000.00 544,000.00 7.45 11217709 Marketing 66,941.86 67,000.00 7.99 11199327 Marketing 283,169.93 284,000.00 7.625 11223165 Marketing 490,804.76 491,500.00 6.25 11215767 Marketing 137,716.86 137,970.00 8.49 11182944 Marketing 67,307.58 67,500.00 7.75 11221031 Marketing 508,800.00 508,800.00 7.75 11188244 Marketing 618,223.39 620,000.00 6.25 11230603 Marketing 498,458.23 500,000.00 5.95 11215162 Marketing 89,660.67 90,000.00 6.5 11182061 Marketing 81,988.64 82,240.00 7.4 11217421 Marketing 251,292.68 252,000.00 6.35 11221625 Marketing 403,380.04 403,750.00 7.8 11216091 Marketing 197,005.78 197,600.00 5.99 11214920 Marketing 295,132.40 295,920.00 6.625 11210599 Marketing 222,861.18 223,200.00 5.99 11184387 Marketing 354,526.53 355,500.00 7.95 11224968 Marketing 247,637.05 248,000.00 6.125 11185140 Marketing 287,547.90 288,000.00 6.925 11201844 Additional 249,380.41 250,000.00 6.99 11217475 Additional 220,944.87 221,350.00 8.5 11204967 Marketing 224,438.00 225,000.00 6.95 11223685 Marketing 202,402.56 202,720.00 5.875 11228152 Marketing 145,600.00 145,600.00 5.8 11212648 Marketing 507,664.09 508,250.00 6.99 11219573 Marketing 380,000.00 380,000.00 6.5 11204353 Marketing 111,200.00 111,200.00 6.575 11208350 Marketing 83,774.25 84,000.00 6.575 11220786 Marketing 225,359.51 226,000.00 6.3 11203448 Marketing 432,000.00 432,000.00 6.25 11163903 Marketing 87,225.04 87,465.00 8.475 11216814 Marketing 303,171.06 304,000.00 6.5 11209594 Marketing 192,938.42 193,450.00 4.99 11228286 Marketing 323,166.57 324,000.00 6.8 11220188 Marketing 176,000.00 176,000.00 6.4 11206597 Marketing 159,411.55 160,000.00 5.325 11203110 Marketing 163,130.88 163,500.00 7.5 11171196 Marketing 562,539.60 565,250.00 6.25 11190186 Marketing 98,712.62 99,000.00 6.175 11207909 Marketing 204,997.44 205,600.00 6.125 11206921 Marketing 172,948.24 173,200.00 6.15 11231465 Marketing 412,679.56 413,000.00 8.375 11199741 Marketing 224,782.75 225,000.00 8.625 11183216 Additional 155,553.62 156,000.00 6.25 11208089 Marketing 184,000.00 184,000.00 6.95 11197647 Marketing 457,520.00 457,520.00 6.375 11194483 Marketing 543,109.62 544,000.00 6.775 11180796 Marketing 125,288.71 125,600.00 6.99 11219175 Marketing 71,101.94 71,250.00 7.875 11227043 Marketing 167,494.23 168,000.00 5.99 11217843 Marketing 365,750.00 365,750.00 7.3 11199723 Additional 434,498.51 435,000.00 6.99 11188061 Marketing 131,386.67 132,000.00 6.15 11210707 Marketing 301,192.33 302,000.00 6.6 11196885 Marketing 161,093.65 161,600.00 7.275 11206277 Marketing 521,427.86 522,000.00 7.17 11202343 Marketing 194,854.13 195,000.00 8.5 11199561 Marketing 39,345.46 40,000.00 8.125 11223081 Marketing 44,917.64 45,000.00 8.5 11213999 Marketing 608,164.00 608,164.00 5.675 11203587 Marketing 188,472.06 189,000.00 6.375 11217373 Marketing 315,553.00 316,000.00 6.25 11187090 Marketing 148,521.33 148,750.00 7 11213481 Marketing 348,000.00 348,000.00 6.95 11202455 Marketing 414,258.40 416,000.00 5.775 11177100 Marketing 39,553.00 40,000.00 8.499 11194545 Marketing 149,648.58 150,000.00 7.275 11218993 Marketing 162,334.44 162,800.00 6.9 11209464 Additional 92,188.82 92,400.00 7.4 11231699 Marketing 188,603.25 189,000.00 7.825 11209681 Marketing 170,466.84 171,000.00 7.3 11180760 Marketing 782,468.69 784,000.00 6.75 11211121 Marketing 194,517.68 195,000.00 7 11229379 Marketing 120,650.44 121,000.00 6.2 11220776 Marketing 113,747.09 114,000.00 7.55 11210920 Marketing 49,906.85 50,000.00 8.5 11129608 Marketing 118,859.16 119,200.00 8.85 11219711 Marketing 108,111.49 108,400.00 6.625 11193164 Marketing 246,400.00 246,400.00 6.55 11202073 Marketing 404,993.75 405,000.00 6.5 11207743 Marketing 310,400.00 310,400.00 6.15 11202066 Marketing 267,150.14 267,750.00 7.5 11204019 Additional 161,271.86 161,600.00 7.99 11175472 Marketing 221,662.93 222,400.00 6.99 11219070 Marketing 229,022.10 229,500.00 7.865 11212316 Marketing 136,800.00 136,800.00 7.5 11208329 Marketing 71,872.88 72,000.00 8.675 11184807 Marketing 328,515.85 329,200.00 7.875 11164764 Marketing 248,935.77 250,200.00 6.675 11210290 Marketing 331,210.54 332,000.00 7.2 11217826 Marketing 147,621.15 148,000.00 6.825 11189020 Marketing 202,731.86 203,000.00 6.5 11209697 Marketing 229,283.98 229,600.00 6.35 11216869 Marketing 162,174.93 162,400.00 6.325 11222632 Marketing 223,485.53 224,000.00 7.375 11231356 Marketing 259,273.72 260,000.00 6.375 11210411 Marketing 153,038.52 153,500.00 8.525 11205400 Marketing 289,255.64 289,750.00 6.625 11199119 Marketing 219,745.93 220,000.00 6.99 11216316 Marketing 94,785.04 95,000.00 7.45 11180205 Marketing 554,205.03 555,750.00 7.875 11227451 Marketing 70,129.41 70,400.00 6.225 11191806 Additional 66,290.59 66,500.00 7.25 11215140 Marketing 381,049.02 382,200.00 7.475 11183840 Marketing 137,600.00 137,600.00 5.45 11224095 Marketing 157,500.00 157,500.00 5.375 11206140 Marketing 412,669.09 413,200.00 6.6 11166011 Marketing 308,750.00 308,750.00 6.75 11190104 Marketing 375,493.93 377,041.00 4.875 11183929 Marketing 382,502.78 384,000.00 6.15 11179951 Additional 159,377.96 159,920.00 6.875 11209646 Additional 324,474.64 325,600.00 6.775 11210181 Additional 229,343.22 230,000.00 6.9 11194273 Marketing 352,413.97 352,720.00 7.99 11214669 Marketing 607,151.83 607,750.00 7.55 11237201 Marketing 148,712.99 149,000.00 8.25 11224615 Marketing 264,203.08 265,000.00 5.99 11205539 Marketing 80,566.29 80,750.00 8.425 11215901 Marketing 668,259.67 670,000.00 6.75 11203696 Marketing 355,734.17 356,800.00 6.025 11232651 Marketing 162,400.00 162,400.00 6.75 11209869 Marketing 228,000.00 228,000.00 5.825 11208646 Marketing 265,500.00 265,500.00 7.39 11201501 Marketing 377,031.13 378,000.00 7.99 11196047 Marketing 70,299.43 70,400.00 6.875 11209843 Marketing 343,570.07 344,000.00 6.7 11198026 Marketing 103,438.68 103,700.00 8.375 11229814 Marketing 137,765.15 138,140.00 6.525 11225704 Marketing 212,000.00 212,000.00 5.875 11204575 Marketing 63,841.71 64,000.00 7 11194154 Marketing 175,603.52 176,000.00 5.6 11222323 Marketing 63,031.79 63,200.00 6.625 11214326 Marketing 199,347.81 199,500.00 8.99 11189977 Marketing 176,596.17 176,800.00 6.99 11189795 Marketing 39,938.92 40,000.00 9.375 11229958 Additional 638,290.69 639,000.00 7.125 11215584 Marketing 251,450.30 251,750.00 6.875 11212010 Marketing 134,682.15 135,000.00 7.25 11203725 Marketing 342,400.00 342,400.00 5.95 11220012 Marketing 312,000.00 312,000.00 6.45 11232749 Marketing 94,546.58 96,000.00 5.5 11207620 Marketing 89,484.76 89,600.00 6.7 11206045 Marketing 142,265.52 142,500.00 5.69 11212753 Marketing 305,699.96 306,000.00 6.5 11196302 Marketing 546,991.07 547,500.00 7.75 11177477 Marketing 446,350.52 447,920.00 7.85 11201905 Marketing 184,257.77 185,000.00 6 11214698 Marketing 511,409.74 512,000.00 6.99 11200010 Marketing 227,501.79 228,000.00 7.625 11221608 Marketing 275,981.33 276,288.00 7.125 11200732 Marketing 97,607.51 97,850.00 6.99 11204244 Marketing 220,397.38 221,000.00 6.5 11201524 Additional 498,393.42 499,000.00 6.8 11174235 Marketing 219,340.77 220,000.00 7.5 11217288 Marketing 201,479.01 201,795.00 5.875 11205820 Marketing 480,000.00 480,000.00 6.25 11212398 Marketing 199,746.55 200,000.00 6.65 11225899 Marketing 579,119.52 580,000.00 5.99 11213499 Marketing 78,141.24 78,400.00 7.15 11212406 Marketing 199,920.00 199,920.00 5.95 11216900 Marketing 49,887.97 50,000.00 7.5 11214979 Marketing 118,019.08 118,320.00 6.875 11194041 Marketing 606,111.59 607,500.00 7.4 11213309 Marketing 224,800.00 224,800.00 6.55 11209951 Additional 54,536.19 55,000.00 7.425 11226233 Marketing 114,212.28 114,400.00 9.05 11213125 Marketing 209,741.87 210,000.00 6.76 11206818 Marketing 93,971.06 95,000.00 6.8 11203307 Marketing 123,206.79 124,000.00 8.275 11212027 Marketing 239,613.93 240,000.00 5.775 11184828 Marketing 560,000.00 560,000.00 6.99 11199424 Marketing 323,606.27 323,950.00 8.3 11203968 Marketing 234,595.89 235,000.00 6.99 11174287 Marketing 999,999.00 999,999.00 5.875 11206992 Marketing 543,920.00 543,920.00 5.875 11176527 Marketing 528,865.58 531,000.00 5.99 11208365 Marketing 459,999.17 460,000.00 6.65 11190735 Marketing 183,388.35 183,600.00 6.99 11215615 Marketing 75,857.32 76,000.00 8.375 11211721 Marketing 194,675.97 195,240.00 6.2 11201532 Marketing 179,839.07 180,312.00 6.7 11201300 Marketing 331,644.22 332,000.00 7.25 11194332 Marketing 331,274.52 332,000.00 7.625 11196460 Marketing 349,289.79 350,000.00 5.99 11221613 Marketing 284,274.00 285,000.00 6.85 11231825 Marketing 138,448.16 138,800.00 6.875 11219140 Marketing 268,000.00 268,000.00 6.35 11180349 Marketing 313,600.00 313,600.00 6.8 11211991 Marketing 480,421.25 481,500.00 7.5 11222892 Marketing 205,000.00 205,000.00 5.99 11221233 Marketing 127,759.66 128,000.00 8.375 11198826 Marketing 69,364.11 69,600.00 6.875 11181290 Additional 105,670.32 106,080.00 6.2 11209447 Marketing 199,800.00 199,800.00 7.375 11150206 Marketing 299,962.52 301,500.00 5.925 11227918 Marketing 77,814.54 78,000.00 7.2 11218351 Marketing 187,511.68 188,000.00 6.75 11213897 Marketing 411,300.00 411,300.00 6.525 11209563 Marketing 367,920.00 367,920.00 6.7 11208191 Marketing 285,626.59 286,400.00 6.55 11212180 Marketing 54,234.21 54,400.00 7.415 11216185 Marketing 118,287.18 118,320.00 6.625 11213144 Marketing 58,281.43 58,400.00 7.99 11197901 Marketing 213,600.00 213,600.00 6.45 11219255 Marketing 249,253.70 250,000.00 6.625 11198919 Marketing 139,527.79 140,000.00 6.9 11208793 Marketing 262,400.00 262,400.00 6.625 11209738 Marketing 108,701.00 108,701.00 5.99 11191387 Marketing 113,982.94 114,400.00 6.5 11192620 Marketing 282,600.00 282,600.00 8.125 11183060 Additional 143,683.27 144,150.00 7.25 11220023 Marketing 238,772.09 240,000.00 7.085 11224274 Additional 73,082.86 73,200.00 9.15 11210082 Marketing 439,945.64 439,960.00 5.825 11199380 Marketing 582,473.93 582,817.00 6.5 11188234 Marketing 390,598.33 392,000.00 6.6 11212263 Additional 263,314.26 264,000.00 6.75 11196969 Marketing 109,393.68 110,000.00 6.5 11229649 Marketing 107,745.72 108,000.00 7.25 11215881 Marketing 192,000.00 192,000.00 6.15 11228267 Marketing 492,000.00 492,000.00 6.95 11216911 Marketing 135,695.31 136,000.00 7.5 11224251 Marketing 252,203.74 252,800.00 8.1 11208883 Marketing 183,555.96 184,000.00 7.125 11149865 Marketing 97,236.70 97,500.00 8.8 11187451 Marketing 200,252.47 200,800.00 6.5 11123292 Marketing 45,853.66 46,000.00 9.99 11159830 Marketing 53,849.97 54,000.00 8.99 11137718 Marketing 83,786.26 84,900.00 9.25 11155647 Marketing 31,139.02 31,500.00 10.75 11158960 Additional 63,271.83 63,400.00 10.5 11130873 Additional 58,274.43 58,400.00 11.125 11128094 Additional 113,185.28 114,658.00 9.5 11159212 Marketing 73,993.84 74,200.00 8.99 11159256 Marketing 107,689.84 107,920.00 10.25 11166547 Additional 28,147.36 28,200.00 10.875 11152371 Marketing 14,974.20 15,000.00 11.25 11165289 Marketing 41,446.65 41,600.00 10 11180445 Marketing 79,654.78 79,800.00 10.99 11170934 Additional 96,686.45 97,000.00 8.25 11172338 Marketing 24,524.43 24,600.00 8.5 11157501 Marketing 57,855.05 58,000.00 9.5 11167988 Marketing 14,962.50 15,000.00 9.5 11171304 Marketing 89,832.11 90,000.00 10.875 11132450 Marketing 33,617.73 33,750.00 8.99 11169134 Marketing 50,683.40 50,810.00 10.5 11169869 Marketing 42,830.22 43,000.00 7.25 11181813 Marketing 14,959.18 15,000.00 11.25 11173409 Marketing 26,948.92 27,000.00 10.875 11173326 Additional 48,840.34 49,400.00 10.875 11175177 Marketing 99,708.11 100,000.00 8.75 11183229 Marketing 59,922.21 60,000.00 11.5 11174724 Marketing 16,496.80 16,536.00 9.75 11176053 Marketing 38,916.82 39,000.00 10.25 11182499 Marketing 135,666.93 136,000.00 8.5 11170222 Marketing 35,529.15 35,600.00 11.25 11176454 Marketing 128,677.69 129,000.00 9.5 11184006 Marketing 169,434.68 169,800.00 10.5 11159336 Additional 20,929.32 21,000.00 10.25 11176883 Marketing 127,645.13 128,000.00 9 11183308 Marketing 39,928.18 40,000.00 9.99 11173336 Additional 163,673.47 164,000.00 9.5 11184666 Marketing 161,677.47 162,000.00 9.5 11186169 Marketing 79,881.16 80,000.00 10.875 11160161 Marketing 21,459.38 21,500.00 9.75 11188601 Marketing 111,788.45 112,000.00 9.75 11166411 Marketing 27,832.05 27,880.00 11.25 11174278 Marketing 60,896.36 61,000.00 10.25 11125459 Marketing 49,910.21 50,000.00 9.99 11182326 Marketing 81,437.52 81,600.00 9.5 11167651 Additional 28,932.54 29,000.00 8.75 11186471 Marketing 17,969.41 18,000.00 10.25 11148174 Marketing 161,634.87 162,000.00 9.99 11161108 Marketing 164,350.28 164,800.00 7.99 11183055 Marketing 53,898.01 54,000.00 9.75 11176646 Additional 49,941.04 51,000.00 7.95 11186962 Marketing 47,514.73 47,600.00 10 11190775 Marketing 127,809.83 128,000.00 10.875 11195274 Marketing 84,839.44 85,000.00 9.75 11170954 Marketing 84,748.35 85,000.00 8.25 11183747 Marketing 14,961.35 15,000.00 8.25 11182256 Marketing 75,883.99 76,000.00 10.75 11141764 Additional 46,160.60 46,300.00 10.25 11186231 Marketing 14,973.10 15,000.00 10 11182579 Marketing 54,934.57 55,000.00 11.99 11198828 Marketing 17,363.48 17,400.00 9.25 11192858 Marketing 111,748.57 112,000.00 9.99 11191021 Marketing 79,656.72 79,800.00 9.99 11201289 Marketing 17,177.69 17,200.00 11.5 11197928 Marketing 114,745.36 115,000.00 8.99 11188322 Marketing 81,502.56 81,600.00 11.875 11191691 Marketing 24,766.04 24,800.00 11.25 11195632 Additional 115,791.69 116,000.00 9.99 11181321 Marketing 46,822.64 47,000.00 10.875 11188365 Marketing 73,832.73 73,980.00 9.5 11194484 Marketing 135,780.95 136,000.00 10.5 11191262 Marketing 46,893.19 47,000.00 9.9 11198830 Additional 19,024.78 19,050.00 11.99 11185138 Additional 99,399.66 99,560.00 10.5 11185465 Marketing 50,903.66 51,000.00 9.75 11198814 Marketing 15,706.95 15,800.00 11.75 11168534 Marketing 159,728.17 160,000.00 10.25 11205880 Marketing 94,810.85 95,000.00 9.5 11155628 Marketing 82,873.31 83,000.00 10.75 11196933 Marketing 112,597.44 112,800.00 9.99 11201376 Marketing 15,376.48 15,400.00 10.75 11185208 Marketing 86,121.87 86,250.00 10.875 11190757 Marketing 31,948.45 32,000.00 10.5 11203092 Marketing 15,685.49 15,800.00 11.5 11196886 Marketing 40,341.47 40,400.00 10.99 11231516 Marketing 30,778.67 30,820.00 9.99 11196279 Marketing 29,596.97 30,000.00 8.25 11210551 Marketing 69,928.44 70,000.00 11.25 11230853 Marketing 71,387.05 71,473.00 10.5 11205372 Marketing 27,958.40 28,000.00 10.875 11210106 Marketing 50,528.34 50,600.00 9.75 11147830 Marketing 52,456.62 52,548.00 8.75 11197298 Marketing 38,358.46 38,400.00 10.99 11231085 Marketing 52,916.28 52,980.00 10.5 11221580 Marketing 48,934.28 49,000.00 9.99 11206061 Marketing 117,865.52 118,000.00 10.75 11202632 Marketing 54,922.42 55,000.00 9.75 11206537 Marketing 63,067.42 63,200.00 9.25 11193140 Marketing 22,966.67 23,000.00 10.99 11201773 Marketing 89,855.03 90,000.00 10.5 11216957 Additional 20,952.93 21,000.00 7.5 11193325 Marketing 126,672.71 127,000.00 8.25 11204449 Marketing 37,954.30 38,000.00 10.5 11235683 Marketing 74,866.00 75,000.00 9.99 11220273 Marketing 37,949.03 38,000.00 9.99 11201644 Marketing 57,718.46 57,800.00 9.75 11212030 Marketing 59,919.72 60,000.00 10 11209695 Marketing 41,906.02 42,000.00 9.99 11225740 Marketing 70,882.31 71,000.00 8.99 11229891 Marketing 85,834.34 86,000.00 8.25 11197353 Marketing 49,109.48 49,200.00 9.875 11222661 Marketing 55,932.64 56,000.00 10.5 11227925 Marketing 82,489.24 82,600.00 9.99 11198287 Marketing 24,957.50 25,000.00 10.25 11209961 Marketing 90,534.47 90,635.00 10.875 11198841 Marketing 57,904.06 58,000.00 8.99 11225488 Marketing 48,511.05 48,600.00 8.5 11220189 Marketing 43,940.98 44,000.00 9.99 11194001 Marketing 199,353.64 200,000.00 11.25 11180263 Additional 96,774.30 97,000.00 8.75 11202571 Marketing 58,540.04 58,941.00 10.5 11230909 Marketing 112,981.96 113,200.00 8.25 11198541 Marketing 58,912.32 59,000.00 10.875 11220939 Marketing 108,638.17 108,800.00 9.5 11223083 Additional 14,984.67 15,000.00 11.25 11221711 Marketing 81,878.05 82,000.00 9.5 11229518 Marketing 81,301.89 81,400.00 10.49 11220886 Marketing 51,704.51 51,790.00 9 11211753 Marketing 38,924.89 39,000.00 8.25 11218525 Marketing 92,876.86 92,980.00 10.875 11220711 Marketing 60,065.12 60,200.00 7.5 11199161 Marketing 40,531.01 40,600.00 10.25 11208750 Marketing 87,623.71 87,800.00 9.5 11214610 Marketing 34,957.91 35,000.00 10.5 11204869 Marketing 105,753.38 106,000.00 8.75 11210573 Marketing 39,418.97 40,000.00 10.25 11193027 Marketing 38,348.52 38,400.00 9.99 11208713 Marketing 35,962.18 36,000.00 11.125 11212228 Additional 45,948.98 46,000.00 10.875 11208052 Marketing 99,820.45 100,000.00 9.99 11183460 Marketing 45,409.40 45,500.00 9.5 11210361 Marketing 28,636.09 28,676.00 9.99 11212894 Marketing 127,858.02 128,000.00 10.875 11226735 Marketing 69,822.47 69,900.00 10.875 11202377 Marketing 25,729.62 26,000.00 9.5 11213310 Marketing 56,120.72 56,200.00 9.75 11205326 Marketing 79,668.00 79,800.00 8.99 11186007 Additional 62,661.32 62,775.00 9.95 11208926 Marketing 37,429.75 37,500.00 8.75 11227452 Marketing 17,499.91 17,600.00 9.5 11216789 Marketing 94,872.60 95,000.00 9.99 11221837 Marketing 33,967.08 34,000.00 11.5 11214424 Marketing 22,268.54 22,300.00 9.75 11196937 Marketing 68,914.76 69,000.00 10.375 11204699 Marketing 69,843.99 70,000.00 9.99 11220570 Marketing 82,281.10 82,375.00 10.75 11218091 Additional 44,343.66 44,400.00 10.25 11184945 Marketing 19,549.31 19,580.00 9.25 11221499 Marketing 39,961.27 40,000.00 11.5 11192047 Marketing 40,952.00 41,000.00 10.625 11215648 Marketing 64,128.77 64,200.00 10.875 11225273 Marketing 43,752.60 43,800.00 10.99 11201319 Marketing 32,760.57 32,800.00 10.5 11223850 Marketing 60,839.49 60,935.00 9.25 11214564 Marketing 29,349.95 29,380.00 11.25 11210315 Marketing 23,075.02 23,100.00 10.99 11229638 Marketing 118,803.14 119,000.00 8.99 11203311 Marketing 62,730.34 62,800.00 10.875 11220663 Marketing 50,735.54 50,800.00 10.25 11199801 Marketing 24,766.76 24,800.00 9.99 11219666 Marketing 63,920.94 64,000.00 10.375 11182225 Marketing 32,953.55 33,000.00 11.125 11207833 Marketing 81,465.29 81,600.00 9 11198226 Marketing 74,882.44 75,000.00 9.25 11192473 Marketing 36,949.30 37,000.00 11.25 11210564 Marketing 121,776.75 122,000.00 8.501 11201093 Marketing 39,640.21 39,700.00 10.99 11224392 Marketing 48,941.08 49,000.00 10.5 11230817 Marketing 73,906.12 74,000.00 10.25 11222120 Marketing 129,825.67 130,000.00 9.99 11210345 Marketing 51,930.40 52,000.00 10 11202100 Marketing 54,107.90 54,200.00 10.25 11210248 Marketing 55,937.88 56,000.00 10.875 11216697 Marketing 43,486.71 43,535.00 10.875 11222427 Marketing 75,915.69 76,000.00 10.875 11210657 Marketing 52,939.58 53,000.00 10.75 11213162 Marketing 48,824.82 49,000.00 9.25 11186579 Marketing 39,935.56 40,000.00 10.5 11225308 Marketing 53,198.45 53,250.00 11.5 11223636 Marketing 19,780.83 19,800.00 11.5 11223574 Marketing 131,822.97 132,000.00 9.99 11219669 Marketing 89,900.18 90,000.00 10.875 11219350 Marketing 78,644.37 78,750.00 9.99 11222809 Marketing 27,803.42 27,825.00 12.5 11210153 Marketing 69,839.09 69,980.00 9.5 11215744 Marketing 47,940.56 47,980.00 12.24 11219640 Marketing 50,931.75 51,000.00 10 11211852 Marketing 91,876.39 92,000.00 9.99 11229716 Marketing 97,691.51 97,800.00 10.875 11207753 Marketing 46,510.25 46,600.00 8.25 11180576 Marketing 20,351.52 20,400.00 9.99 11201377 Marketing 48,694.43 48,750.00 10.75 11229246 Marketing 21,051.47 21,105.00 9.99 11199304 Marketing 30,566.07 30,600.00 10.875 11212781 Marketing 26,562.45 26,600.00 9.75 11212481 Marketing 75,903.56 76,000.00 10.25 11231199 Marketing 51,522.70 51,585.00 11.24 11196778 Marketing 59,917.81 60,000.00 11.25 11218979 Marketing 32,813.55 32,850.00 10.875 11223738 Marketing 73,891.05 73,980.00 10.5 11207108 Marketing 78,815.57 79,000.00 9.5 11227071 Marketing 74,289.33 74,400.00 9.5 11195347 Marketing 17,981.42 18,000.00 11.25 11212150 Marketing 105,881.89 106,000.00 10.875 11220517 Marketing 58,897.43 59,000.00 8.75 11231448 Marketing 61,437.82 61,500.00 11.3 11212161 Marketing 123,800.65 123,995.00 9.25 11217311 Marketing 23,367.00 23,400.00 9.75 11236897 Marketing 88,440.25 88,559.00 9.99 11203125 Marketing 61,801.55 63,000.00 9.5 11207021 Marketing 169,806.14 170,000.00 11.125 11205450 Marketing 44,906.89 45,000.00 10.5 11215486 Marketing 60,399.92 60,500.00 8.99 11197234 Marketing 33,950.10 34,000.00 10.99 11203298 Marketing 59,496.38 59,600.00 8.75 11208827 Marketing 72,659.70 72,800.00 8.25 11198010 Additional 149,819.60 150,000.00 10.5 11222990 Marketing 51,942.33 52,000.00 10.875 11222010 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45,938.44 46,000.00 10 11215332 Marketing 75,693.05 75,800.00 9.75 11215780 Marketing 51,930.27 52,000.00 9.99 11238130 Additional 56,446.47 56,600.00 8.75 11158719 Marketing 51,331.02 51,398.00 10.125 11230582 Marketing 22,660.54 22,700.00 8.75 11188566 Marketing 45,950.23 46,000.00 10.99 11219578 Marketing 35,965.17 36,000.00 11.5 11230439 Marketing 35,960.07 36,000.00 10.875 11161271 Marketing 48,403.23 48,500.00 9.49 11214738 Marketing 42,948.28 43,000.00 10.5 11227112 Marketing 40,154.18 40,200.00 10.75 11216599 Marketing 89,879.30 90,000.00 9.99 11211258 Marketing 62,742.46 62,800.00 11.75 11222974 Marketing 85,035.81 85,150.00 9.99 11214651 Additional 71,903.34 72,000.00 10 11221513 Marketing 53,923.82 54,000.00 9.75 11213375 Marketing 101,870.59 102,000.00 10.25 11183934 Marketing 95,818.61 96,000.00 9.749 11216478 Marketing 27,834.28 28,040.00 9.99 11188981 Marketing 38,950.52 39,000.00 10.25 11230213 Additional 153,782.70 154,000.00 9.75 11205821 Marketing 119,801.28 120,000.00 8.99 11228001 Marketing 36,820.71 36,900.00 9.5 11216452 Marketing 75,853.62 76,000.00 8.25 11209663 Marketing 71,713.68 72,200.00 10.875 11226467 Marketing 53,620.23 53,980.00 10.99 11210169 Marketing 56,860.20 57,000.00 11.375 11211097 Marketing 149,764.92 150,000.00 9.25 11211794 Marketing 38,502.83 38,800.00 9.5 11203872 Additional 69,506.64 69,600.00 9.99 11216345 Marketing 31,932.42 31,980.00 9.5 11202208 Marketing 28,548.30 28,580.00 10.875 11199120 Marketing 54,939.22 55,000.00 10.99 11221455 Marketing 68,712.70 68,800.00 10.25 11196504 Marketing 44,933.14 45,000.00 10.875 11217831 Marketing 62,878.65 63,000.00 8.25 11217912 Marketing 19,336.76 19,380.00 11.5 11209652 Marketing 52,154.66 52,200.00 11.99 11219800 Marketing 67,518.71 67,600.00 10.5 11213397 Marketing 53,903.84 53,980.00 9.75 11210397 Marketing 89,416.81 91,000.00 10.875 11216908 Marketing 235,172.47 235,650.00 8 11219439 Marketing 125,569.75 125,800.00 8.5 11216108 Marketing 68,905.17 69,000.00 9.875 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29,000.00 10.5 11215850 Marketing 89,085.44 89,250.00 10.25 11201834 Marketing 27,172.20 27,200.00 11.25 11204785 Marketing 85,845.56 86,000.00 9.99 11185458 Marketing 39,869.04 39,900.00 12.5 11209759 Marketing 105,882.44 106,000.00 10.875 11223348 Additional 81,915.99 82,000.00 11.24 11219038 Marketing 65,911.67 66,000.00 10 11208689 Marketing 31,198.11 31,240.00 9.99 11204293 Marketing 65,896.52 66,000.00 9.25 11190209 Marketing 55,725.34 55,800.00 10 11202456 Marketing 103,868.02 104,000.00 10.25 11165269 Marketing 153,745.23 154,000.00 8.99 11203294 Marketing 32,726.12 32,771.00 11.25 11213402 Marketing 108,329.95 108,500.00 9.25 11222775 Marketing 62,930.13 63,000.00 10.875 11168771 Marketing 26,055.66 26,100.00 10.25 11219428 Marketing 45,941.63 46,000.00 10.25 11212636 Marketing 52,941.22 53,000.00 10.875 11196048 Marketing 17,579.39 17,600.00 10.625 11217852 Marketing 41,365.01 41,760.00 9.99 11219471 Marketing 159,762.02 160,000.00 9.5 11233414 Marketing 65,312.29 65,400.00 9.99 11218252 Marketing 51,680.36 51,750.00 9.99 11197574 Marketing 48,346.31 48,400.00 10.875 11221819 Marketing 68,380.79 68,500.00 8.75 11223994 Marketing 35,027.99 35,400.00 9.5 11214796 Marketing 70,515.08 70,600.00 10.5 11200918 Marketing 26,354.47 26,400.00 10.25 11207518 Marketing 160,821.43 161,000.00 10.875 11210825 Marketing 27,964.48 28,000.00 10.25 11209656 Marketing 52,627.67 52,683.00 11.125 11207741 Marketing 37,937.87 37,980.00 10.875 11223241 Marketing 94,280.22 94,400.00 10.25 11215356 Marketing 26,575.07 26,600.00 9.75 11208804 Marketing 80,441.57 80,600.00 10.875 11200624 Marketing 37,951.30 38,000.00 10.25 11231053 Marketing 38,960.14 39,000.00 11.25 11226405 Marketing 71,913.42 72,000.00 10.5 11214586 Marketing 89,902.64 90,000.00 10.99 11215806 Marketing 107,802.32 108,000.00 8.5 11184499 Marketing 68,703.15 68,800.00 11.125 11136727 Marketing 58,737.17 58,800.00 11.25 11197359 Marketing 58,934.54 59,000.00 10.875 11217435 Marketing 39,949.25 40,000.00 10.25 11224049 Marketing 30,435.00 30,478.00 9.75 11226420 Marketing 27,968.94 28,000.00 10.875 11213108 Marketing 62,817.22 62,887.00 10.875 11233210 Marketing 30,538.98 30,580.00 9.99 11235512 Marketing 38,947.72 39,000.00 9.99 11205675 Marketing 72,460.17 72,600.00 8.25 11226316 Marketing 35,965.17 36,000.00 11.5 11216261 Marketing 121,327.00 123,000.00 8.25 11204121 Marketing 21,958.46 22,000.00 9.75 11192147 Marketing 50,931.63 51,000.00 9.99 11214916 Marketing 41,921.28 42,000.00 9.75 11200965 Additional 42,153.20 42,200.00 10.875 11221502 Marketing 23,161.61 23,200.00 8.99 11206688 Marketing 16,355.41 16,400.00 8.99 11212926 Marketing 90,631.99 90,800.00 8.5 11210706 Marketing 104,870.28 105,000.00 10.375 11197867 Marketing 39,355.11 39,400.00 10.75 11170187 Marketing 86,077.91 86,200.00 9.99 11190474 Marketing 86,059.02 86,250.00 8.99 11191672 Marketing 71,890.09 72,000.00 10.75 11207839 Marketing 46,924.30 47,000.00 10.5 11214317 Marketing 22,469.82 22,500.00 9.99 11205095 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123,000.00 8.99 11211608 Marketing 34,552.60 34,600.00 11.25 11208745 Marketing 71,920.14 72,000.00 10.875 11215928 Marketing 47,939.09 48,000.00 10.25 11221630 Marketing 42,993.54 43,074.00 9.99 11195249 Marketing 69,328.74 69,432.00 9.5 11199584 Marketing 23,973.39 24,000.00 10.875 11213975 Marketing 59,923.88 60,000.00 10.25 11191096 Marketing 33,541.59 33,600.00 8.75 11203370 Marketing 45,356.05 45,400.00 11.5 11218563 Marketing 30,679.14 31,000.00 10.5 11221342 Marketing 86,856.36 87,000.00 9 11199864 Marketing 125,840.12 126,000.00 10.25 11202102 Marketing 69,521.54 69,600.00 10.8 11191010 Marketing 63,914.18 64,000.00 9.99 11164064 Marketing 57,585.85 57,680.00 11.49 11216391 Marketing 79,881.02 80,000.00 9.5 11194527 Marketing 54,514.38 54,580.00 10.5 11169215 Marketing 134,651.94 135,000.00 9.35 11217860 Marketing 23,663.31 23,700.00 9.5 11215560 Marketing 53,927.58 54,000.00 9.99 11212948 Marketing 40,939.01 41,000.00 9.5 11196158 Marketing 34,335.02 34,400.00 9.75 11207365 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29,000.00 8.99 11210592 Marketing 95,901.86 96,000.00 11.25 11199992 Marketing 86,692.45 87,980.00 8.5 11218302 Additional 38,921.89 39,000.00 8.25 11205446 Marketing 199,640.87 200,000.00 9.99 11203216 Marketing 74,923.32 75,000.00 11.25 11230468 Marketing 21,972.10 22,000.00 10.25 11205728 Marketing 78,891.42 79,000.00 9.875 11209884 Marketing 119,830.67 120,000.00 9.75 11189091 Marketing 58,613.62 58,700.00 10.99 11181432 Marketing 52,880.54 53,000.00 9.99 11211314 Marketing 43,923.49 44,000.00 8.75 11205910 Marketing 39,930.46 40,000.00 8.75 11206633 Marketing 27,935.64 28,000.00 8.81 11213579 Additional 105,672.77 105,800.00 10.5 11227963 Marketing 115,009.79 115,200.00 9 11206148 Marketing 127,745.16 128,000.00 9.5 11196462 Marketing 81,836.75 82,000.00 9.5 11213294 Marketing 36,342.98 36,400.00 10.99 11218286 Marketing 74,494.74 74,600.00 9.75 11176608 Marketing 49,452.09 49,500.00 11.5 11204312 Marketing 108,879.10 109,000.00 10.875 11214716 Marketing 50,931.03 51,000.00 9.95 11221013 Marketing 130,315.85 130,500.00 9.75 11219845 Marketing 65,926.79 66,000.00 10.875 11212212 Marketing 52,910.66 53,000.00 8.9 11209398 Marketing 55,445.88 55,500.00 11.5 11222069 Marketing 19,765.57 19,800.00 8.75 11218528 Marketing 65,628.92 65,700.00 10.99 11218352 Marketing 46,943.47 47,000.00 10.5 11207916 Marketing 19,473.86 19,500.00 9.99 11211473 Marketing 66,914.36 67,000.00 10.25 11201157 Marketing 31,954.85 32,000.00 9.75 11204501 Marketing 47,676.79 48,200.00 10.75 11209116 Marketing 70,305.59 70,400.00 9.99 11184408 Marketing 71,870.72 72,000.00 9.99 11207910 Marketing 51,294.45 51,400.00 9 11198614 Marketing 42,936.13 43,000.00 10.875 11232987 Marketing 42,646.51 42,750.00 10.5 11223474 Marketing 46,949.26 47,000.00 11 11222631 Marketing 58,403.22 58,500.00 8.99 11175947 Marketing 122,859.83 123,000.00 10.75 11208792 Marketing 23,023.33 23,080.00 10.99 11210736 Marketing 71,920.14 72,000.00 10.875 11212602 Marketing 79,636.97 81,648.00 9.25 11224210 Marketing 118,649.26 118,800.00 10.25 11177979 Marketing 42,926.96 43,000.00 10.25 11198866 Marketing 20,978.55 21,000.00 11.25 11221058 Marketing 114,560.15 114,750.00 8.99 11228962 Marketing 45,705.72 45,750.00 11.5 11208977 Marketing 68,676.58 69,800.00 10.25 11202734 Marketing 26,893.22 26,986.00 9.9 11206093 Marketing 46,489.76 46,600.00 9.25 11203899 Marketing 71,920.14 72,000.00 10.875 11207563 Marketing 24,966.47 25,000.00 9.99 11224132 Marketing 58,022.08 58,100.00 9.99 11220296 Marketing 85,665.51 85,800.00 9.25 11210020 Marketing 126,829.68 127,000.00 9.99 11200665 Marketing 65,424.88 65,508.00 10.25 11210026 Marketing 50,185.63 50,240.00 10.99 11189671 Marketing 92,829.78 93,000.00 8.5 11199717 Marketing 58,904.96 59,000.00 10.5 11227613 Marketing 36,460.52 36,500.00 10.99 11229961 Marketing 25,735.44 25,770.00 9.99 11209552 Marketing 84,886.23 85,000.00 10 11229219 Marketing 46,673.45 46,750.00 9.5 11190698 Marketing 39,465.67 39,500.00 11.99 11214257 Marketing 16,981.15 17,000.00 10.875 11223343 Marketing 29,360.58 29,400.00 9.99 11231680 Marketing 29,961.93 30,000.00 10.25 11217173 Marketing 24,972.85 25,000.00 10.99 11218114 Marketing 27,951.38 27,980.00 11.25 11210059 Marketing 99,851.28 100,000.00 9.5 11182471 Marketing 47,531.00 47,600.00 10.99 11205379 Marketing 159,822.54 160,000.00 10.875 11210658 Marketing 45,938.44 46,000.00 10 11192033 Marketing 138,676.15 139,000.00 8.25 11222593 Additional 24,775.94 25,000.00 7.75 11225060 Marketing 32,962.38 33,000.00 10.75 11184938 Marketing 37,277.87 37,500.00 11 11212666 Marketing 81,290.84 81,400.00 9.99 11179969 Marketing 161,326.06 162,000.00 8.75 11200994 Marketing 36,051.29 36,100.00 10 11232652 Marketing 40,548.48 40,600.00 10.25 11209029 Marketing 67,930.47 68,000.00 11.25 11236404 Marketing 66,910.15 67,000.00 9.99 11209459 Marketing 123,725.45 124,000.00 8.99 11209568 Marketing 91,863.30 91,980.00 10.25 11211113 Marketing 33,088.88 33,200.00 8.5 11211597 Marketing 53,528.12 53,600.00 9.99 11213863 Marketing 50,943.45 51,000.00 10.875 11220487 Marketing 59,953.47 60,000.00 12.5 11220260 Marketing 111,865.30 112,000.00 10.5 11199210 Marketing 48,547.62 48,650.00 8.74 11219764 Marketing 63,319.55 63,400.00 10.25 11200686 Marketing 32,479.85 32,527.00 10.99 11213848 Marketing 49,946.02 50,000.00 11 11193688 Marketing 31,243.79 31,300.00 9.99 11223667 Marketing 50,943.45 51,000.00 10.875 11138352 Marketing 66,848.99 67,000.00 9.99 11217493 Marketing 37,958.88 38,000.00 10.99 11211144 Marketing 14,902.42 15,000.00 11.25 11211684 Marketing 112,423.53 112,600.00 9.25 11218010 Marketing 63,723.28 63,800.00 10.5 11214135 Marketing 25,945.16 25,980.00 9.99 11209199 Marketing 108,411.78 108,621.00 8.25 11234095 Marketing 125,844.35 126,000.00 10.375 11217932 Marketing 26,969.63 27,000.00 10.875 11204580 Marketing 59,910.77 60,000.00 9.5 11217113 Marketing 20,931.90 20,960.00 9.99 11206122 Marketing 67,713.97 67,800.00 10.25 11203814 Marketing 31,967.09 32,010.00 9.99 11189727 Marketing 56,647.17 58,000.00 9.5 11210924 Marketing 51,930.27 52,000.00 9.99 11207194 Marketing 146,053.86 146,250.00 9.99 11223457 Marketing 84,880.07 85,000.00 9.75 11224081 Marketing 19,979.56 20,000.00 11.25 11214301 Marketing 69,906.13 70,000.00 9.99 11210669 Marketing 81,496.46 81,600.00 10.25 11206306 Marketing 179,800.35 180,000.00 10.875 11206571 Marketing 62,651.08 62,772.00 8.25 11206994 Marketing 135,788.12 135,980.00 9.75 11174170 Marketing 51,464.18 51,600.00 9.25 11193339 Marketing 115,177.73 115,400.00 8.25 11230425 Marketing 47,147.66 47,200.00 10.875 11216092 Marketing 49,322.58 49,400.00 9.25 11188338 Marketing 79,361.77 79,500.00 8.75 11195272 Marketing 32,949.62 33,000.00 10.75 11199847 Marketing 94,858.70 95,000.00 9.5 11216295 Marketing 60,327.37 60,400.00 10.5 11194661 Marketing 86,356.47 86,450.00 10.99 11233114 Marketing 81,906.57 82,000.00 10.75 11211324 Marketing 72,919.03 73,000.00 10.875 11222136 Marketing 33,794.06 34,000.00 9 11202035 Marketing 49,903.70 50,000.00 8.25 11204148 Marketing 32,341.07 32,380.00 10.5 11224850 Marketing 43,608.06 43,740.00 8.75 11194530 Marketing 33,938.96 34,000.00 9.99 11181591 Marketing 113,816.40 114,000.00 10.5 11215858 Marketing 102,829.59 103,000.00 8.99 11216988 Marketing 98,453.35 98,600.00 9.5 11198316 Marketing 31,565.80 31,600.00 10.99 11223234 Marketing 51,631.67 51,701.00 9.99 11200667 Marketing 74,888.57 75,000.00 10.875 11201391 Marketing 93,873.94 94,000.00 9.99 11192412 Marketing 20,736.33 20,800.00 12.5 11210922 Marketing 33,949.43 34,000.00 9.5 11215182 Marketing 37,948.21 38,000.00 9.99 11219555 Marketing 15,783.85 15,800.00 11.25 11224031 Marketing 104,843.82 105,000.00 9.5 11194439 Marketing 70,900.10 71,000.00 11.125 11228352 Marketing 83,485.92 83,600.00 9.99 11220425 Marketing 32,168.84 32,200.00 11.5 11206979 Marketing 48,934.28 49,000.00 9.99 11197926 Marketing 36,160.82 36,200.00 10.99 11207240 Marketing 39,751.63 40,000.00 11.75 11198563 Marketing 34,361.86 34,400.00 10.875 11194730 Marketing 37,761.35 37,800.00 11.25 11213660 Marketing 53,435.65 53,500.00 10.5 11214500 Marketing 59,890.17 60,000.00 8.5 11234758 Marketing 14,979.90 15,000.00 9.99 11194557 Marketing 95,837.39 95,980.00 10.875 11221381 Marketing 62,878.65 63,000.00 8.25 11232953 Marketing 14,977.68 15,000.00 9.5 11199361 Additional 86,883.34 87,000.00 9.99 11224434 Marketing 67,539.81 67,600.00 9.99 11210276 Marketing 15,884.19 15,900.00 11.375 11200830 Marketing 28,951.93 28,995.00 10.875 11220594 Marketing 22,775.33 22,800.00 10.99 11190990 Marketing 87,312.91 87,450.00 10.625 11225845 Marketing 45,911.41 46,000.00 8.25 11220569 Marketing 37,749.42 37,800.00 10 11199875 Marketing 54,911.41 55,000.00 10.5 11212795 Marketing 33,738.15 33,800.00 8.5 11198579 Marketing 59,938.65 60,000.00 11.25 11209628 Marketing 31,145.76 31,200.00 8.75 11189808 Marketing 34,939.13 35,000.00 8.75 11180398 Marketing 41,949.49 42,000.00 10.5 11207098 Marketing 21,581.25 21,600.00 11.99 11212582 Marketing 22,974.50 23,000.00 10.875 11222416 Marketing 39,546.88 39,600.00 9.99 11212767 Marketing 106,460.04 106,603.00 9.99 11217639 Marketing 119,830.67 120,000.00 9.75 11198854 Marketing 125,773.75 126,000.00 9.99 11217664 Marketing 71,913.42 72,000.00 10.5 11211626 Marketing 17,656.31 17,680.00 9.99 11201201 Marketing 58,894.08 59,000.00 9.99 11221971 Marketing 73,299.13 73,400.00 9.875 11200099 Additional 41,924.58 42,000.00 9.99 11215805 Marketing 21,921.89 22,000.00 9.5 11234400 Marketing 71,272.63 71,400.00 8.625 11221350 Marketing 21,970.51 22,000.00 9.99 11214792 Additional 16,877.35 16,900.00 9.99 11215227 Marketing 21,168.47 21,200.00 9.5 11230246 Marketing 90,265.55 90,400.00 9.5 11228384 Marketing 64,044.30 64,100.00 11.99 11219075 Marketing 34,962.13 35,000.00 10.99 11202132 Marketing 79,867.15 79,980.00 9.75 11212941 Marketing 32,965.32 33,000.00 11.125 11196318 Marketing 36,752.27 36,800.00 11.5 11218683 Marketing 133,601.00 133,800.00 9.5 11223867 Marketing 60,913.94 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10.99 11210725 Marketing 27,958.29 27,980.00 12.5 11204082 Marketing 32,183.07 32,235.00 10.5 11183962 Marketing 28,961.12 29,000.00 9.99 11220795 Marketing 50,499.69 50,650.00 8.99 11199083 Additional 19,072.31 19,100.00 10.99 11211948 Marketing 89,873.00 90,000.00 9.75 11188098 Marketing 78,655.28 78,750.00 10.5 11213036 Marketing 32,966.26 33,000.00 11.25 11207729 Marketing 61,930.83 62,000.00 10.875 11232237 Marketing 64,886.98 65,000.00 8.75 11231436 Marketing 68,517.50 68,600.00 10.5 11222167 Marketing 43,940.98 44,000.00 9.99 11210991 Marketing 61,293.26 61,400.00 8.75 11190668 Marketing 57,722.49 57,800.00 9.99 11200162 Marketing 127,609.92 127,800.00 9.5 11209678 Marketing 115,691.79 115,990.00 9.5 11219448 Marketing 57,899.15 58,000.00 8.75 11197536 Marketing 74,856.42 75,000.00 9.5 11217937 Marketing 81,764.77 81,900.00 9 11225914 Marketing 31,762.68 31,810.00 9.5 11204680 Marketing 72,907.39 73,000.00 10.25 11212726 Marketing 59,783.74 60,000.00 8.25 11226611 Marketing 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95,000.00 9.99 11217987 Marketing 47,950.91 48,000.00 11.25 11210661 Marketing 58,321.68 58,400.00 9.99 11215903 Marketing 90,633.19 90,721.00 11.5 11217397 Marketing 78,910.95 79,000.00 10.8 11222132 Marketing 69,906.13 70,000.00 9.99 11190589 Marketing 63,115.24 63,200.00 9.99 11202593 Marketing 19,953.21 19,980.00 9.99 11200508 Marketing 30,965.60 31,000.00 10.875 11201552 Marketing 55,710.19 55,785.00 9.99 11230636 Marketing 18,053.79 18,200.00 10 11188932 Marketing 59,655.38 59,720.00 10.99 11228522 Additional 38,348.52 38,400.00 9.99 11210073 Marketing 43,551.64 43,600.00 10.875 11229984 Marketing 151,493.92 151,708.00 9.75 11199232 Marketing 22,569.71 22,600.00 9.99 11210093 Marketing 70,855.82 71,000.00 7.99 11210010 Marketing 82,101.13 82,200.00 10.5 11213328 Marketing 37,228.16 37,300.00 8.25 11211337 Marketing 27,780.20 27,845.00 8.75 11220604 Marketing 96,883.33 97,000.00 10.5 11218201 Marketing 68,565.51 68,701.00 9.99 11195608 Marketing 85,671.06 85,800.00 9.45 11222368 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31,000.00 8.99 11193110 Marketing 61,107.40 61,200.00 10.79 11218762 Marketing 64,903.31 65,000.00 9.5 11232732 Marketing 28,835.11 29,000.00 9.5 11204576 Marketing 15,978.55 16,000.00 9.99 11223226 Marketing 49,756.88 49,831.00 9.5 11189755 Marketing 14,837.16 15,000.00 10 11221033 Marketing 127,029.42 127,200.00 9.99 11216018 Marketing 77,495.93 77,600.00 9.99 11201413 Marketing 25,455.66 25,500.00 8.75 11222829 Marketing 56,913.79 57,000.00 9.5 11182197 Marketing 21,569.62 21,600.00 11.13 11182071 Marketing 43,925.27 44,000.00 10.25 11209775 Marketing 59,778.64 59,900.00 8 11222636 Marketing 22,769.34 22,800.00 9.99 11215675 Marketing 100,858.97 101,000.00 9.8 11188184 Marketing 23,751.42 24,000.00 10.25 11219239 Marketing 84,406.28 84,500.00 10.875 11209491 Marketing 20,966.16 21,000.00 10.5 11228709 Marketing 43,935.19 44,000.00 11.5 11219730 Marketing 98,836.23 99,000.00 8.99 11197892 Marketing 75,908.61 76,000.00 10.5 11204327 Marketing 24,952.77 25,000.00 9.75 11217145 Marketing 56,185.02 56,300.00 10.99 11204276 Marketing 24,946.51 24,980.00 9.99 11222270 Marketing 89,993.43 90,234.00 8.25 11176090 Marketing 35,733.25 35,800.00 10.875 11225888 Marketing 50,494.88 51,000.00 8.5 11220354 Marketing 16,890.17 17,000.00 10.5 11202426 Marketing 55,920.97 56,000.00 9.75 11219921 Marketing 95,857.22 96,000.00 9.5 11169594 Marketing 37,143.72 37,200.00 11.25 11212079 Marketing 123,425.61 123,600.00 9.75 11228287 Marketing 80,891.39 81,000.00 9.99 11208281 Marketing 45,862.50 45,951.00 8.25 11197284 Marketing 133,601.00 133,800.00 9.5 11221370 Marketing 30,035.26 30,080.00 9.5 11227288 Marketing 30,958.43 31,000.00 9.99 11212160 Marketing 60,338.98 60,420.00 9.99 11206320 Marketing 44,751.54 44,800.00 10.99 11203436 Marketing 85,594.51 85,900.00 9.99 11211879 Marketing 28,959.10 29,000.00 9.75 11203598 Marketing 27,944.13 28,000.00 10.25 11214035 Additional 87,884.66 88,030.00 9 11206361 Marketing 101,812.92 102,000.00 8.49 11194458 Marketing 33,146.54 33,200.00 10.5 11193817 Marketing 56,513.61 56,600.00 10.75 11191011 Additional 96,863.14 97,000.00 9.75 11203201 Marketing 54,933.85 55,000.00 10.5 11215262 Marketing 56,977.39 57,046.00 10.5 11192331 Marketing 59,933.46 60,000.00 10.875 11227058 Marketing 129,773.98 130,000.00 8.75 11216251 Marketing 25,768.91 25,800.00 10.49 11218374 Additional 84,056.67 84,150.00 10.875 11187059 Marketing 76,123.31 76,320.00 8.25 11220441 Marketing 41,949.49 42,000.00 10.5 11218821 Marketing 91,900.48 92,000.00 10.99 11225674 Marketing 45,438.98 45,500.00 9.99 11153249 Marketing 137,155.23 137,600.00 8.25 11151786 Marketing 95,783.64 96,000.00 9.99 11180461 Marketing 24,935.57 25,000.00 8.25 11183049 Marketing 15,358.94 15,380.00 11.25 11181291 Marketing 26,458.31 26,520.00 8.75 11163975 Marketing 89,755.53 90,000.00 7.99 11159155 Marketing 15,726.58 15,750.00 10.875 11176545 Marketing 67,884.46 68,000.00 10.25 11162826 Marketing 111,846.63 112,000.00 11.25 11188418 Marketing 31,956.17 32,000.00 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35,763.41 35,800.00 11.25 11191533 Marketing 18,974.51 19,000.00 9.99 11223255 Marketing 85,876.61 85,980.00 10.5 11218043 Marketing 47,336.43 47,400.00 9.99 11222338 Marketing 66,877.38 67,000.00 8.5 11211401 Marketing 189,658.85 190,000.00 9.99 11215890 Marketing 62,915.51 63,000.00 9.99 11227197 Marketing 51,444.28 51,500.00 10.99 11198569 Marketing 71,053.21 71,600.00 9.5 11211862 Marketing 24,367.17 24,400.00 9.99 11217624 Marketing 69,073.34 69,200.00 8.5 11214148 Marketing 119,839.07 120,000.00 9.99 11198637 Marketing 54,926.24 55,000.00 9.99 11227390 Additional 69,915.81 70,000.00 10.5 11229859 Marketing 97,905.13 98,000.00 11.5 11211275 Marketing 37,942.04 38,000.00 9.5 11218169 Marketing 19,976.36 20,000.00 10.875 11220495 Marketing 53,724.08 53,800.00 9.75 11164647 Marketing 109,818.02 110,000.00 8.99 11210938 Marketing 73,887.74 74,000.00 11.25 11213223 Marketing 119,870.18 120,000.00 10.99 11193331 Marketing 49,932.94 50,000.00 9.99 11191374 Marketing 28,408.88 28,460.00 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34,922.12 34,980.00 8.99 11218478 Marketing 108,861.70 109,000.00 10.25 11227448 Marketing 121,860.97 122,000.00 10.75 11211956 Marketing 116,643.36 116,800.00 9.99 11228968 Marketing 24,965.67 25,000.00 9.99 11220047 Marketing 63,892.13 64,000.00 8.9 11196775 Marketing 71,699.33 71,798.00 9.875 11211504 Marketing 45,944.68 46,000.00 10.5 11210905 Marketing 51,904.81 52,000.00 8.5 11221573 Marketing 114,729.24 115,000.00 7.25 11212270 Additional 65,926.79 66,000.00 10.875 11209304 Marketing 62,135.36 62,250.00 8.5 11178483 Marketing 19,578.78 19,600.00 10.99 11211185 Marketing 56,137.68 56,200.00 10.875 11220051 Marketing 53,121.68 53,193.00 9.99 11224028 Marketing 17,375.46 17,400.00 9.75 11208371 Marketing 19,179.23 19,200.00 10.99 11192444 Marketing 49,838.39 50,000.00 8.25 11200433 Marketing 87,847.00 88,000.00 8.75 11211602 Marketing 47,536.17 47,600.00 9.99 11214482 Marketing 61,907.78 62,000.00 9.5 11202164 Marketing 134,719.73 135,000.00 10.5 11213736 Marketing 25,671.45 25,756.00 9.99 11227379 Marketing 55,336.86 55,400.00 10.75 11194348 Additional 164,815.63 165,200.00 8.75 11189636 Marketing 77,364.95 77,500.00 8.75 11212214 Marketing 78,072.25 78,150.00 11.375 11198236 Marketing 47,623.79 47,700.00 10.875 11219971 Marketing 39,943.57 40,000.00 9.75 11194508 Marketing 61,931.24 62,000.00 10.875 11228979 Marketing 56,276.96 56,400.00 10.875 11220965 Marketing 40,939.01 41,000.00 9.5 11217320 Marketing 55,421.70 55,500.00 9.75 11202255 Marketing 103,893.68 104,000.00 11.25 11228234 Marketing 89,879.30 90,000.00 9.99 11183576 Marketing 60,286.22 60,420.00 8.99 11226764 Marketing 38,193.09 38,250.00 9.5 11198222 Marketing 19,163.72 19,200.00 9.75 11208128 Additional 30,332.68 30,400.00 8.99 11209190 Marketing 47,706.12 47,800.00 8.25 11226069 Marketing 51,947.44 52,510.00 11.25 11199257 Additional 25,932.93 26,000.00 8.25 11219543 Marketing 82,869.92 83,000.00 9.25 11203241 Marketing 19,873.31 19,900.00 9.99 11209478 Marketing 20,179.37 20,200.00 11.25 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Marketing 23,946.24 24,000.00 7.5 11227232 Marketing 199,826.20 200,000.00 11.99 11205589 Marketing 70,914.62 71,000.00 10.5 11210017 Additional 68,921.37 69,000.00 10.75 11176190 Marketing 76,297.54 76,400.00 9.99 11222224 Marketing 49,944.53 50,000.00 10.875 11166335 Marketing 30,345.18 30,400.00 10.5 11206216 Marketing 43,039.17 43,100.00 9.75 11212534 Additional 136,749.26 137,000.00 8.5 11216649 Marketing 36,739.10 36,800.00 8.99 11222844 Marketing 27,170.57 27,200.00 10.99 11211077 Marketing 44,034.98 44,200.00 8.75 11220830 Marketing 89,900.18 90,000.00 10.875 11215809 Marketing 28,768.06 28,800.00 10.875 11229795 Marketing 33,663.54 33,700.00 10.99 11224556 Marketing 34,162.98 34,200.00 10.99 11213899 Marketing 62,820.19 62,900.00 10.25 11219013 Marketing 20,752.12 20,780.00 9.99 11211264 Marketing 112,813.05 113,000.00 8.99 11190255 Marketing 29,749.25 29,800.00 10.24 11214931 Marketing 36,950.00 36,990.00 10.99 11216199 Marketing 38,929.02 39,000.00 8.75 11196304 Marketing 59,107.23 59,200.00 9.25 11211240 Marketing 37,954.30 38,000.00 10.5 11210458 Marketing 73,118.80 73,200.00 10.875 11216596 Marketing 14,983.38 15,000.00 10.875 11212878 Marketing 29,936.13 30,000.00 10.5 11153745 Marketing 68,848.64 69,000.00 10.99 11208292 Marketing 42,952.31 43,000.00 10.875 11203507 Marketing 57,888.30 58,000.00 8.25 11212084 Marketing 31,968.82 32,000.00 11.5 11226918 Marketing 171,744.18 172,000.00 9.5 11232097 Additional 114,845.77 115,000.00 9.99 11225229 Marketing 70,807.76 70,980.00 10.875 11209147 Marketing 28,944.14 29,000.00 8.25 11208319 Marketing 97,829.60 98,000.00 8.75 11201324 Marketing 61,876.55 62,000.00 9.5 11206406 Marketing 96,855.36 97,000.00 9.5 11217897 Marketing 71,880.88 72,000.00 8.99 11207282 Marketing 56,532.11 56,600.00 10.875 11221951 Marketing 47,543.00 48,000.00 7 11192696 Marketing 62,744.09 62,840.00 10.75 11151867 Marketing 132,743.83 133,000.00 8.25 11203457 Marketing 15,978.55 16,000.00 9.99 11206246 Marketing 76,048.28 76,200.00 9.5 11215974 Marketing 73,915.67 74,000.00 10.75 11210138 Marketing 69,264.53 69,400.00 11.5 11175070 Additional 74,854.89 75,025.00 8.875 11223328 Marketing 14,979.90 15,000.00 9.99 11217631 Marketing 75,069.61 75,160.00 10.5 11142123 Marketing 70,863.24 71,000.00 8.25 11228341 Marketing 86,768.01 86,900.00 9.4 11220787 Marketing 65,901.84 66,000.00 9.5 11232230 Marketing 35,754.58 35,800.00 10.25 11216126 Marketing 27,367.04 27,400.00 10.5 11172866 Marketing 64,251.45 64,500.00 10.875 11196848 Marketing 67,358.38 67,500.00 9.25 11223637 Marketing 54,918.20 55,000.00 9.5 11207312 Marketing 14,983.38 15,000.00 10.875 11212907 Marketing 123,833.71 124,000.00 9.99 11192104 Marketing 71,140.99 71,220.00 10.875 11202721 Marketing 59,846.94 59,919.00 10.5 11230007 Marketing 59,305.59 59,400.00 10.875 11221063 Marketing 67,587.25 67,678.00 9.99 11226964 Marketing 42,912.18 43,000.00 7.99 11200439 Marketing 34,761.39 34,800.00 10.875 11192323 Marketing 71,802.70 71,979.00 8.5 11216715 Marketing 42,914.25 43,000.00 8.25 11216851 Marketing 57,737.45 57,800.00 10.99 11200199 Marketing 46,915.62 47,000.00 9.99 11222321 Marketing 93,946.85 94,073.00 9.99 11214341 Marketing 77,908.68 78,000.00 10.625 11185313 Marketing 29,933.02 29,980.00 9.25 11221913 Marketing 134,837.64 135,000.00 10.5 11158407 Marketing 68,206.47 68,300.00 11.25 11192907 Marketing 31,752.76 31,800.00 10.875 11188063 Marketing 32,919.81 33,000.00 10 11227220 Marketing 37,849.18 37,900.00 9.99 11204036 Marketing 313,260.49 313,900.00 5.975 11202076 Marketing 774,932.81 775,000.00 5.625 11210273 Marketing 131,643.52 132,000.00 6.55 11204341 Marketing 295,196.78 296,000.00 6.525 11231754 Marketing 156,000.00 156,000.00 6.45 11210946 Marketing 71,741.58 71,920.00 7 11211833 Marketing 169,536.43 170,000.00 6.5 11196101 Additional 241,666.10 242,400.00 7.46 11215521 Marketing 200,891.98 201,400.00 6.9 11204604 Marketing 95,768.32 96,000.00 7.125 11203685 Marketing 398,029.78 399,500.00 6.451 11208161 Marketing 79,786.04 80,000.00 6.6 11178601 Additional 454,063.74 456,000.00 5.7 11153440 Marketing 251,236.38 252,000.00 5.95 11214567 Marketing 223,488.95 224,100.00 6.5 11197535 Marketing 436,000.00 436,000.00 6 11191761 Marketing 208,800.00 208,800.00 6.4 11210988 Marketing 120,182.05 121,000.00 7.625 11182314 Marketing 149,591.00 150,000.00 6.5 11209899 Marketing 387,552.69 388,000.00 6.99 11192995 Marketing 201,450.00 201,450.00 7.2 11232573 Marketing 636,415.37 637,500.00 6.25 11227349 Additional 259,204.65 260,000.00 5.9 11191231 Marketing 264,559.49 265,600.00 6.125 11220105 Marketing 465,903.01 468,000.00 7.325 11220381 Marketing 110,864.77 111,120.00 7.375 11226856 Marketing 551,842.26 552,500.00 6.875 11207774 Marketing 300,000.00 300,000.00 5.375 11210323 Marketing 167,804.14 168,000.00 6.95 11178017 Marketing 275,181.15 276,000.00 7.55 11207966 Marketing 67,831.47 68,000.00 6.99 11210704 Marketing 286,933.26 288,400.00 6.05 11187410 Marketing 83,769.96 84,000.00 7.95 11219250 Marketing 234,260.39 235,000.00 5.75 11222414 Marketing 344,000.00 344,000.00 6.25 11189745 Marketing 378,683.06 382,500.00 5.99 11230727 Marketing 239,643.49 240,300.00 6.49 11203478 Marketing 140,000.00 140,000.00 8.375 11213849 Marketing 199,467.71 200,000.00 6.625 11192284 Additional 139,923.30 140,000.00 9.55 11216474 Marketing 370,914.97 372,000.00 6.15 11139525 Marketing 260,776.30 261,600.00 7.25 11204268 Marketing 169,255.63 169,600.00 7.99 11205701 Marketing 184,800.00 184,800.00 5.95 11202973 Marketing 411,973.59 413,100.00 6.5 11217560 Marketing 64,423.78 64,515.00 9.74 11209772 Marketing 249,749.59 250,400.00 6.75 11227025 Marketing 125,600.00 125,600.00 5.925 11208465 Marketing 287,558.04 288,000.00 5.95 11210050 Marketing 350,811.40 352,000.00 5.375 11205391 Marketing 346,400.00 346,400.00 5.25 11197424 Marketing 339,483.59 340,000.00 9.4 11218362 Marketing 119,682.86 119,990.00 6.825 11218221 Marketing 118,081.80 118,400.00 6.575 11214945 Marketing 264,000.00 264,000.00 7.25 11175147 Marketing 31,886.13 32,000.00 6.625 11212309 Marketing 307,309.96 308,000.00 7.5 11209362 Marketing 268,000.00 268,000.00 6.3 11193604 Marketing 371,386.90 372,000.00 6.75 11192132 Marketing 175,585.61 176,000.00 7.25 11218781 Marketing 151,347.76 152,000.00 7.375 11199149 Marketing 115,740.11 116,000.00 7.5 11201160 Marketing 416,014.27 417,900.00 5.375 11209833 Marketing 106,234.93 106,650.00 6.125 11204502 Marketing 180,500.00 180,500.00 6.855 11216208 Marketing 292,249.08 294,000.00 6.49 11206399 Marketing 204,000.00 204,000.00 5.75 11171642 Marketing 612,728.54 613,337.00 7.525 11217261 Marketing 409,182.25 409,500.00 8.375 11222330 Marketing 440,000.00 440,000.00 5.5 11206834 Marketing 256,000.00 256,000.00 6.425 11211379 Marketing 311,535.51 311,920.00 6.75 11224781 Marketing 148,000.00 148,000.00 6.7 11222331 Marketing 360,593.62 361,000.00 7.075 11221471 Marketing 320,800.00 320,800.00 5.99 11227083 Marketing 359,069.45 360,000.00 6.775 11211868 Additional 299,749.67 300,000.00 8.125 11210494 Marketing 420,946.39 424,000.00 6.575 11222706 Marketing 83,744.25 84,000.00 5.925 11182533 Marketing 41,694.30 41,850.00 8.875 11199782 Marketing 370,970.58 372,000.00 6.5 11221432 Marketing 415,887.33 416,000.00 6.5 11218503 Marketing 363,519.23 364,000.00 6.5 11214443 Marketing 213,600.00 213,600.00 5.99 11216610 Marketing 220,121.33 220,800.00 5.875 11181577 Marketing 287,147.79 288,000.00 6 11221531 Marketing 318,628.80 319,500.00 6.5 11199950 Marketing 67,289.28 67,500.00 8.75 11216700 Marketing 40,789.25 40,850.00 9.5 11229897 Marketing 171,096.22 171,500.00 7.25 11198752 Marketing 159,537.77 160,000.00 6.2 11205436 Additional 398,158.21 399,000.00 7.8 11203186 Marketing 69,819.83 70,000.00 7.55 11220240 Marketing 260,000.00 260,000.00 5.9 11189056 Marketing 133,248.24 133,600.00 5.675 11229962 Marketing 176,953.76 177,300.00 8.2 11200937 Marketing 108,777.00 109,200.00 7.4 11175206 Marketing 236,000.00 236,000.00 7.085 11206568 Marketing 492,000.00 492,000.00 6.65 11200435 Marketing 470,535.45 472,000.00 5.825 11232431 Marketing 364,004.49 366,000.00 6.875 11181735 Marketing 67,288.98 67,450.00 8.625 11223862 Marketing 276,148.30 276,800.00 7.25 11230326 Marketing 280,900.11 281,500.00 7.75 11225536 Marketing 352,296.76 352,750.00 6.6 11187510 Marketing 279,755.98 280,400.00 7.375 11215765 Marketing 459,384.01 460,000.00 6.45 11214359 Marketing 97,450.21 97,600.00 9.35 11216631 Marketing 350,096.27 352,000.00 6.49 11218424 Marketing 162,170.28 162,400.00 6.25 11192981 Marketing 84,563.05 84,800.00 7.85 11208331 Marketing 319,576.22 319,920.00 7.24 11201460 Marketing 120,623.74 120,800.00 6.15 11214639 Marketing 679,998.33 680,000.00 5.75 11215211 Additional 524,306.76 525,000.00 6.501 11207040 Marketing 219,728.81 220,000.00 6.75 11215941 Marketing 259,587.12 260,000.00 6.25 11218838 Marketing 115,989.75 116,000.00 6.825 11218876 Marketing 284,206.17 285,000.00 6.39 11202303 Marketing 396,404.88 399,200.00 5.95 11210996 Marketing 214,096.84 214,400.00 9.74 11183201 Additional 318,653.97 320,000.00 5.75 11223291 Additional 252,219.73 252,500.00 7.125 11210985 Marketing 88,273.28 88,400.00 9.675 11202251 Marketing 223,437.74 224,000.00 6.925 11224733 Marketing 115,668.09 116,000.00 6.25 11217649 Marketing 200,000.00 200,000.00 5 11204018 Marketing 297,000.00 297,000.00 6.41 11206473 Marketing 374,033.44 375,000.00 6.076 11202913 Marketing 248,051.82 248,800.00 5.99 11198715 Marketing 173,103.26 173,600.00 6.25 11189801 Marketing 125,685.95 125,990.00 7.125 11226707 Marketing 123,617.86 124,000.00 6.425 11228576 Marketing 460,000.00 460,000.00 6.5 11218935 Marketing 349,589.08 350,000.00 6.925 11230874 Marketing 399,394.44 400,000.00 6 11198790 Additional 137,196.73 137,600.00 6.125 11217354 Marketing 295,436.64 296,100.00 7.5 11181411 Marketing 415,613.00 416,000.00 8.75 11200693 Marketing 225,999.99 226,000.00 6.375 11184269 Marketing 91,714.52 92,000.00 5.825 11188462 Marketing 275,554.50 276,000.00 6.825 11193885 Marketing 143,707.61 144,000.00 7.99 11194670 Marketing 98,002.70 98,320.00 7.125 11218903 Marketing 136,331.38 136,500.00 7.99 11193375 Additional 543,964.09 544,500.00 7.55 11205057 Marketing 254,778.77 255,000.00 7.99 11214928 Marketing 264,000.00 264,000.00 5.95 11228372 Marketing 63,748.21 63,920.00 6.575 11221988 Marketing 187,714.61 188,000.00 5.99 11214016 Marketing 83,685.59 83,920.00 6.375 11211410 Marketing 141,600.00 141,600.00 6.825 11155077 Marketing 88,496.64 88,800.00 6.835 11199604 Marketing 113,553.38 114,000.00 6.125 11209268 Marketing 507,329.02 508,000.00 6.5 11107768 Marketing 240,447.09 242,000.00 7.35 11214283 Marketing 162,327.30 163,120.00 6.825 11197141 Marketing 131,240.45 131,600.00 6.49 11211246 Marketing 317,404.50 319,200.00 6.75 11193662 Marketing 147,485.96 148,000.00 6.75 11195232 Marketing 121,074.31 121,600.00 5.99 11206438 Marketing 238,500.00 238,500.00 6.9 11203238 Marketing 116,601.34 116,850.00 8.78 11220777 Marketing 315,200.00 315,200.00 7.45 11174320 Additional 226,545.97 228,000.00 8.49 11222240 Marketing 337,098.20 337,500.00 6.875 11195112 Marketing 61,215.12 61,360.00 7.25 11203291 Additional 527,227.26 528,000.00 6.125 11196699 Additional 650,000.00 650,000.00 6.5 11202479 Marketing 184,000.00 184,000.00 6.25 11203405 Marketing 286,000.00 286,000.00 5.625 11228259 Marketing 399,373.64 400,000.00 5.875 11211375 Marketing 74,862.53 75,050.00 6.95 11216354 Marketing 100,497.44 100,800.00 6 11235829 Additional 350,063.13 350,910.00 7.125 11175041 Marketing 44,897.97 45,000.00 8.875 11226095 Marketing 293,217.68 294,000.00 6.626 11211914 Marketing 130,221.89 130,500.00 7.75 11202130 Marketing 555,072.59 556,800.00 7.325 11224624 Additional 67,845.32 68,000.00 7.451 11121508 Additional 236,291.82 237,600.00 7.99 11163582 Marketing 140,694.78 145,000.00 7.875 11191154 Marketing 201,600.00 201,600.00 7.125 11172989 Additional 199,442.88 200,000.00 7.865 11223854 Marketing 220,504.88 221,000.00 7.5 11215567 Marketing 279,720.06 280,000.00 7.5 11190970 Marketing 73,600.00 73,600.00 6.425 11212838 Marketing 187,688.14 188,000.00 5.66 11192886 Additional 374,886.82 375,275.00 7.375 11218314 Marketing 192,945.74 193,500.00 6.25 11225008 Marketing 239,823.06 240,000.00 8.55 11177707 Marketing 112,351.98 114,400.00 6.25 11228302 Marketing 393,762.50 394,000.00 7.5 11221482 Marketing 327,750.00 327,750.00 6.875 11217552 Marketing 80,609.60 80,750.00 8.75 11212501 Marketing 265,491.31 265,500.00 6.65 11200418 Marketing 231,671.82 232,000.00 6.25 11185069 Additional 119,187.37 119,480.00 7.05 11174134 Marketing 207,594.64 207,600.00 5.325 11215313 Marketing 234,951.89 235,250.00 6.65 11214620 Marketing 63,856.60 64,000.00 7.5 11222524 Additional 407,037.49 408,000.00 7.24 11211567 Marketing 108,999.08 109,250.00 7.375 11175036 Marketing 187,518.77 188,000.00 6.825 11166719 Marketing 628,947.22 630,000.00 6.7 11190350 Additional 139,500.00 139,500.00 8.49 11190902 Marketing 275,223.45 276,000.00 4.75 11214352 Marketing 59,279.88 59,415.00 7.425 11194935 Marketing 174,309.83 174,560.00 7.25 11192798 Marketing 298,983.14 300,000.00 6.875 11216355 Marketing 337,412.97 338,400.00 6.15 11212177 Marketing 162,312.17 162,800.00 7.5 11205155 Marketing 303,683.91 304,500.00 6.75 11220774 Marketing 419,296.76 420,000.00 5.625 11163096 Marketing 180,231.31 180,500.00 7.115 11198425 Additional 275,040.82 276,000.00 6.75 11173532 Marketing 558,433.03 560,000.00 6.375 11163714 Marketing 180,390.03 180,975.00 8.25 11198548 Marketing 324,076.42 324,800.00 6.15 11208308 Marketing 239,920.00 239,920.00 6.115 11225453 Marketing 211,539.29 212,000.00 7.875 11202735 Marketing 264,457.56 265,000.00 7.95 11177200 Marketing 373,885.55 375,200.00 7.89 11149574 Marketing 286,897.17 286,900.00 7.415 11214447 Additional 76,400.00 76,400.00 6.8 11224981 Marketing 219,531.15 220,000.00 7.75 11197709 Marketing 424,976.99 426,000.00 7.15 11150931 Marketing 89,529.99 90,250.00 8.99 11228953 Additional 445,118.84 446,250.00 6.875 11210379 Marketing 288,800.00 288,800.00 5.875 11219546 Marketing 539,999.98 540,000.00 5.875 11210190 Marketing 255,919.59 256,500.00 7.45 11199767 Marketing 65,532.12 65,600.00 7.45 11211932 Additional 189,962.06 190,400.00 7.375 11225182 Marketing 254,202.38 255,000.00 6.875 11193634 Marketing 446,573.02 447,920.00 5.99 11208695 Marketing 611,542.16 612,000.00 8.5 11217296 Marketing 499,396.40 500,000.00 6.825 11186582 Marketing 167,573.59 168,000.00 8.325 11193196 Marketing 131,562.55 132,000.00 6.99 11202078 Marketing 211,450.56 212,000.00 6.775 11204417 Marketing 577,824.34 579,000.00 7.99 11219621 Marketing 275,714.51 276,000.00 7.375 11182236 Marketing 109,203.17 109,500.00 8 11186369 Marketing 121,127.50 121,500.00 7.385 11227309 Marketing 78,631.33 78,800.00 7.75 11206357 Marketing 193,364.66 193,600.00 6.8 11179757 Marketing 95,999.00 96,000.00 6.95 11216307 Marketing 619,999.67 620,000.00 5.5 11209401 Marketing 340,000.00 340,000.00 5.875 11210024 Marketing 197,759.30 198,000.00 6.8 11210789 Additional 248,620.00 248,620.00 5.25 11213980 Marketing 610,757.35 612,000.00 7.99 11210757 Marketing 171,522.50 171,900.00 7.6 11230794 Marketing 130,349.91 130,696.00 6.651 11204035 Additional 49,389.11 49,500.00 7.5 11209819 Marketing 211,436.32 212,000.00 6.63 11210590 Marketing 166,391.21 167,000.00 6.5 11221175 Marketing 297,500.00 297,500.00 5.85 11209861 Marketing 226,364.79 226,400.00 6.35 11190947 Marketing 258,223.88 259,000.00 7.5 11220461 Marketing 351,200.00 351,200.00 6.24 11216000 Marketing 100,539.45 100,800.00 6.775 11194958 Marketing 239,081.97 240,000.00 6.25 11223820 Marketing 471,441.42 472,500.00 7.5 11202922 Marketing 103,871.81 104,000.00 6.75 11219660 Additional 365,000.00 365,000.00 5.575 11220501 Marketing 93,356.87 93,600.00 6.75 11185524 Marketing 475,121.35 477,000.00 6.375 11211214 Marketing 175,356.81 175,750.00 8.45 11163247 Marketing 244,000.00 244,000.00 6.625 11226828 Marketing 446,165.97 446,500.00 8.5 11190642 Marketing 298,956.04 300,000.00 6.74 11219852 Marketing 195,749.91 196,000.00 6.625 11214764 Marketing 459,371.20 460,000.00 6.375 11201072 Marketing 446,382.50 448,000.00 6.55 11214821 Marketing 235,144.18 236,000.00 4.99 11210525 Marketing 132,000.00 132,000.00 7.45 11196870 Marketing 156,162.65 156,600.00 6.99 11211323 Marketing 149,525.67 150,000.00 5.725 11203623 Marketing 116,671.48 117,000.00 7.825 11200021 Marketing 271,135.05 272,000.00 7.2 11230881 Marketing 453,660.40 455,000.00 6.101 11217063 Marketing 175,432.84 175,750.00 8.6 11209343 Marketing 354,618.98 355,500.00 6.99 11190506 Marketing 159,603.46 160,000.00 6.99 11211765 Marketing 172,305.56 172,800.00 6.25 11229472 Marketing 99,780.39 99,920.00 6.3 11211870 Marketing 300,000.00 300,000.00 5.875 11225354 Additional 204,445.86 204,720.00 6.45 11228692 Marketing 267,251.39 267,600.00 6.55 11228369 Marketing 165,380.10 166,000.00 6.375 11198016 Marketing 143,514.20 143,960.00 5.99 11189651 Marketing 172,801.95 173,600.00 5.275 11210061 Marketing 83,771.84 85,000.00 5.5 11208955 Marketing 245,853.44 246,500.00 6.7 11199228 Marketing 212,255.01 212,500.00 6.99 11212686 Marketing 330,697.22 331,200.00 5.99 11217094 Marketing 581,441.88 581,600.00 6.49 11214569 Marketing 430,198.95 431,250.00 7.075 11205868 Marketing 950,000.00 950,000.00 6.5 11233175 Marketing 144,784.53 145,200.00 6.25 11179100 Marketing 339,183.51 340,000.00 7.15 11210818 Marketing 327,539.19 328,000.00 6.275 11202827 Marketing 201,974.01 202,500.00 6.75 11214697 Marketing 130,818.94 131,090.00 7.9 11176972 Marketing 119,529.89 120,000.00 6.125 11184111 Marketing 115,518.42 116,000.00 7.65 11216100 Marketing 72,095.71 72,250.00 7.74 11210639 Marketing 136,000.00 136,000.00 6.425 11210428 Marketing 243,425.52 244,000.00 7.25 11220085 Marketing 206,186.25 206,750.00 6.5 11198736 Marketing 136,800.00 136,800.00 6.375 11178338 Marketing 546,799.33 548,800.00 6.5 11226371 Marketing 150,121.90 150,400.00 8.45 11222181 Marketing 237,004.19 237,450.00 6.75 11232012 Marketing 219,320.34 219,920.00 6.5 11198592 Marketing 368,000.00 368,000.00 6.575 11193679 Marketing 224,826.68 225,000.00 8.4 11222398 Additional 313,202.25 313,500.00 7.675 11214427 Marketing 151,200.00 151,200.00 6.4 11192739 Marketing 355,509.65 356,250.00 7.875 11176865 Marketing 547,229.62 550,000.00 5.99 11225277 Marketing 238,999.46 239,000.00 5.45 11188891 Marketing 324,001.06 325,000.00 5.875 11200154 Marketing 431,200.00 431,200.00 6.75 11203661 Marketing 283,408.02 284,000.00 7.86 11205705 Marketing 165,250.61 165,600.00 7.8 11198797 Marketing 238,642.53 239,275.00 8.125 11166661 Marketing 44,895.62 45,000.00 7.325 11207511 Marketing 324,873.29 326,000.00 5.25 11228776 Marketing 254,434.03 255,200.00 6 11214571 Marketing 200,000.00 200,000.00 5.99 11205666 Marketing 145,311.70 145,750.00 5.99 11173048 Marketing 239,166.44 240,000.00 6.75 11195582 Marketing 138,721.23 139,200.00 6.8 11217093 Marketing 187,434.64 188,000.00 5.99 11203380 Marketing 219,099.02 220,000.00 6.75 11226602 Marketing 239,710.26 240,000.00 6.825 11183535 Marketing 510,000.00 510,000.00 6.575 11217710 Marketing 596,000.00 596,000.00 6.075 11210146 Marketing 304,761.62 305,000.00 8.35 11157603 Marketing 540,000.00 540,000.00 6.625 11223858 Marketing 342,000.00 342,000.00 5.5 11220363 Marketing 281,275.34 281,600.00 6.99 11195486 Marketing 260,170.01 261,000.00 7.2 11221749 Marketing 232,000.00 232,000.00 6.55 11227714 Marketing 143,567.79 144,000.00 6 11232820 Marketing 431,257.18 431,920.00 5.95 11191490 Marketing 55,115.28 55,300.00 6.95 11182257 Marketing 272,269.17 272,800.00 8.2 11200307 Additional 80,905.39 81,000.00 6.99 11212052 Marketing 191,763.32 192,000.00 6.75 11228798 Marketing 418,400.00 418,400.00 5.55 11171134 Marketing 647,513.69 650,000.00 6.25 11205325 Marketing 168,800.00 168,800.00 6.5 11216532 Marketing 392,000.00 392,000.00 5.6 11201248 Marketing 91,811.68 92,000.00 7.95 11206875 Marketing 235,260.76 236,000.00 5.775 11222460 Marketing 512,000.00 512,000.00 5.575 11204709 Marketing 160,241.85 160,550.00 9.675 11224196 Additional 255,332.71 256,000.00 6.875 11212094 Marketing 296,456.41 297,000.00 8.5 11230068 Marketing 495,999.89 496,000.00 5.575 11161762 Marketing 899,746.87 900,000.00 6.75 11231248 Additional 57,692.57 57,800.00 8.425 11196941 Marketing 81,600.00 81,600.00 6.025 11194822 Marketing 109,302.29 109,600.00 7.99 11191149 Marketing 235,358.19 235,900.00 7.375 11204359 Marketing 299,354.45 299,840.00 5.75 11193937 Marketing 359,639.61 360,000.00 8.5 11222542 Marketing 378,995.70 380,000.00 6.701 11194724 Marketing 461,102.29 462,000.00 6.15 11190777 Marketing 460,000.00 460,000.00 6.25 11218350 Marketing 209,426.28 210,000.00 6.49 11198209 Marketing 130,176.59 130,500.00 6.99 11223513 Marketing 511,388.97 511,900.00 7.5 11191355 Additional 114,465.63 114,750.00 6.99 11187047 Marketing 117,803.87 118,000.00 6.375 11195155 Marketing 138,050.90 138,400.00 6.9 11197594 Marketing 184,558.38 185,000.00 8.625 11203401 Marketing 115,698.11 116,000.00 6.74 11215579 Marketing 520,000.00 520,000.00 5.875 11222640 Marketing 159,584.40 160,000.00 6.75 11221958 Marketing 176,000.00 176,000.00 6.4 11224285 Additional 298,293.73 298,800.00 8.875 11176188 Marketing 291,305.67 292,000.00 7.2 11173268 Marketing 116,586.73 116,955.00 7.25 11199208 Marketing 217,786.87 218,500.00 7.125 11199281 Marketing 82,627.92 82,800.00 7.875 11200619 Marketing 462,358.75 464,000.00 5.125 11197913 Marketing 299,317.85 300,000.00 7.99 11213714 Marketing 244,000.00 244,000.00 6.525 11201828 Marketing 77,764.15 78,000.00 5.975 11217529 Marketing 127,656.01 128,000.00 6.575 11214373 Marketing 442,400.00 442,400.00 6.05 11229325 Marketing 376,000.00 376,000.00 5.75 11228426 Marketing 148,000.00 148,000.00 7.325 11225724 Marketing 91,015.20 91,200.00 8 11223331 Marketing 191,305.77 192,000.00 6.75 11179423 Marketing 279,552.63 280,000.00 5.8 11211993 Marketing 319,118.95 320,000.00 6.45 11173407 Marketing 302,069.21 303,000.00 7.375 11200570 Marketing 370,000.00 370,000.00 6.49 11203043 Marketing 60,509.72 60,640.00 7.71 11207275 Marketing 269,466.47 270,000.00 8.125 11193873 Marketing 534,000.00 534,000.00 7.1 11214886 Marketing 398,514.98 399,000.00 6.8 11210820 Marketing 227,434.94 228,000.00 6.99 11196213 Marketing 154,346.34 154,800.00 6.125 11220040 Marketing 215,694.45 216,000.00 6.25 11182098 Additional 68,828.98 69,000.00 6.99 11205596 Marketing 180,073.23 180,800.00 5.99 11200858 Marketing 74,811.58 75,000.00 8.375 11207167 Marketing 267,669.64 268,000.00 6.75 11204250 Additional 177,439.80 178,000.00 5.75 11218131 Marketing 219,507.12 220,000.00 7.5 11166955 Marketing 153,429.83 154,000.00 7.625 11212904 Marketing 119,920.00 119,920.00 6.99 11203529 Marketing 209,430.70 210,000.00 8 11207999 Marketing 348,238.77 349,200.00 6.95 11182004 Marketing 77,705.90 78,000.00 6.325 11200932 Marketing 377,464.35 378,000.00 6.25 11217246 Marketing 258,458.17 258,800.00 6.5 11189955 Marketing 598,727.77 600,000.00 7.775 11187013 Marketing 49,953.58 50,100.00 7.625 11198342 Marketing 195,279.44 196,000.00 6.951 11214278 Additional 431,413.50 432,000.00 6.4 11215623 Marketing 91,010.48 91,200.00 7.875 11218203 Marketing 59,857.34 60,000.00 7.2 11209339 Marketing 112,045.80 112,200.00 9.875 11210394 Marketing 89,792.73 90,000.00 8.8 11167827 Marketing 370,355.78 370,500.00 6.7 11203447 Marketing 354,870.38 357,500.00 6.1 11216048 Marketing 292,163.28 292,500.00 6.995 11216325 Marketing 238,400.00 238,400.00 6.96 11220797 Marketing 249,439.89 250,000.00 7.5 11180420 Marketing 112,778.11 112,965.00 8.99 11209253 Marketing 172,634.99 173,000.00 7.8 11168102 Marketing 328,000.00 328,000.00 6.575 11166200 Marketing 107,506.53 108,000.00 6.5 11172092 Marketing 437,680.94 440,000.00 5.75 11193730 Marketing 150,384.23 150,660.00 8.5 11206036 Marketing 115,632.71 115,920.00 6.99 11201363 Marketing 229,700.00 230,000.00 7.825 11206432 Marketing 123,685.69 124,000.00 6.875 11221375 Marketing 391,248.76 392,000.00 8.275 11209246 Marketing 268,000.00 268,000.00 6.99 11201108 Marketing 181,324.33 181,600.00 5.99 11199069 Marketing 89,723.51 90,000.00 7.375 11204768 Marketing 268,318.13 269,000.00 6.875 11216584 Marketing 118,580.63 119,000.00 6.675 11212631 Marketing 51,906.17 52,000.00 8.57 11232612 Additional 599,600.00 599,600.00 5.99 11189380 Marketing 122,499.71 122,550.00 6.975 11206062 Additional 315,915.05 316,800.00 6.375 11186842 Marketing 229,241.30 230,000.00 5.5 11213283 Marketing 71,310.16 71,500.00 7.35 11210429 Marketing 220,270.99 221,000.00 5.5 11212066 Marketing 274,285.70 275,000.00 6.75 11180157 Marketing 117,525.70 118,000.00 5.99 11201551 Marketing 64,293.84 64,395.00 9.24 11229491 Marketing 349,105.47 349,600.00 6.25 11176429 Marketing 46,830.15 47,000.00 8.5 11201224 Marketing 205,047.46 205,600.00 6.575 11169653 Marketing 366,467.51 367,920.00 7.25 11183098 Marketing 209,469.70 210,000.00 8.35 11187593 Marketing 209,679.59 210,000.00 6.25 11202980 Marketing 389,083.47 389,600.00 7.525 11186952 Marketing 291,203.79 292,000.00 6.5 11191964 Marketing 122,019.74 122,320.00 5.275 11198326 Marketing 312,000.00 312,000.00 6.95 11205160 Marketing 63,043.30 63,200.00 8.44 11205471 Marketing 274,285.48 275,500.00 5.5 11211955 Marketing 192,723.68 193,500.00 6 11162584 Marketing 123,748.23 124,000.00 7.99 11212499 Marketing 474,785.00 474,785.00 6.8 11198033 Marketing 145,296.71 145,520.00 5.95 11224270 Marketing 254,566.20 255,000.00 7.625 11215968 Marketing 169,360.08 169,600.00 6.25 11212502 Marketing 418,976.36 420,000.00 7.075 11210466 Marketing 50,855.60 51,000.00 7.3 11202168 Marketing 203,745.02 204,000.00 6.7 11219028 Marketing 184,285.38 184,800.00 6.451 11198993 Marketing 84,972.72 85,500.00 7.675 11213153 Marketing 480,000.00 480,000.00 6.125 11179400 Marketing 207,163.91 208,000.00 5.99 11210562 Marketing 287,563.97 288,000.00 6 11201620 Marketing 306,000.00 306,000.00 6.075 11203820 Marketing 117,210.42 117,300.00 8.43 11219892 Marketing 307,160.16 308,000.00 6.5 11202243 Marketing 399,103.84 400,000.00 7.5 11193105 Marketing 114,024.50 114,400.00 6.5 11204662 Marketing 70,163.72 70,400.00 6.925 11187920 Marketing 424,168.55 425,000.00 6.125 11213645 Marketing 380,000.00 380,000.00 6.99 11224239 Marketing 371,124.13 372,000.00 7.25 11211639 Marketing 39,923.91 40,000.00 8.375 11232655 Marketing 92,157.63 92,400.00 6.7 11198147 Marketing 326,604.62 328,000.00 5.69 11216983 Marketing 181,591.81 182,000.00 7.5 11211056 Marketing 358,926.84 360,000.00 7.526 11217775 Marketing 399,008.69 400,000.00 6.99 11206779 Marketing 179,511.06 180,000.00 7.99 11201805 Marketing 175,200.60 175,500.00 6.625 11208698 Marketing 247,200.00 247,200.00 6.65 11201225 Marketing 79,606.92 79,920.00 6.125 11199983 Marketing 241,507.75 242,400.00 6.45 11142827 Additional 279,147.52 280,000.00 5.925 11179741 Marketing 164,611.53 165,000.00 7.25 11222607 Marketing 119,229.57 119,700.00 6.55 11186973 Marketing 80,811.54 81,000.00 8.75 11172170 Marketing 293,496.90 294,500.00 6.85 11213913 Additional 199,598.80 200,000.00 8.05 11220862 Marketing 283,708.30 284,000.00 7.4 11208204 Marketing 291,203.79 292,000.00 6.5 11210471 Marketing 285,609.06 286,000.00 6.375 11213870 Marketing 173,115.07 173,600.00 6.375 11216669 Marketing 199,814.09 200,000.00 7.75 11209936 Marketing 343,975.85 344,850.00 6.875 11175895 Marketing 123,193.93 123,500.00 6.99 11186260 Marketing 738,229.87 740,000.00 4.25 11197564 Marketing 211,062.68 211,500.00 7.9 11211590 Marketing 99,816.97 100,000.00 8.5 11193373 Marketing 495,900.00 495,900.00 6.99 11165579 Additional 217,592.20 218,500.00 6.99 11200698 Additional 145,199.40 145,200.00 6.4 11193132 Marketing 356,115.26 357,000.00 6.99 11229460 Additional 373,991.67 375,000.00 7.275 11203025 Marketing 363,400.08 364,000.00 6.75 11222018 Additional 139,827.43 140,000.00 6.75 11226892 Marketing 108,680.73 108,880.00 8.5 11205645 Marketing 49,382.30 49,500.00 7.2 11195320 Marketing 390,459.09 391,000.00 7.375 11206389 Marketing 224,470.24 225,000.00 7.25 11206900 Marketing 78,189.32 78,400.00 6.575 11197587 Marketing 272,462.20 273,000.00 8.375 11158318 Marketing 270,460.70 271,360.00 6.99 11190118 Additional 577,560.00 577,560.00 4.99 11207804 Marketing 218,781.54 220,000.00 7.575 11214023 Marketing 80,514.57 82,000.00 7.725 11222155 Marketing 91,799.01 92,000.00 7.65 11225336 Marketing 139,808.63 140,000.00 6.375 11223413 Marketing 295,072.81 296,000.00 5.775 11195476 Marketing 64,244.56 64,750.00 6.16 11210360 Marketing 152,035.02 152,363.00 7.7 11201113 Marketing 165,987.59 166,400.00 6.99 11210889 Marketing 398,878.10 400,000.00 6.375 11191125 Marketing 102,307.52 102,600.00 7.75 11188240 Marketing 95,743.26 96,000.00 6.6 11227927 Marketing 129,659.02 130,000.00 6.7 11139377 Marketing 143,750.20 144,000.00 7.375 11208224 Marketing 213,328.35 214,000.00 6.74 11191335 Additional 363,979.83 364,000.00 5.375 11209046 Marketing 147,693.43 148,200.00 7.125 11200272 Marketing 383,002.55 384,000.00 6.75 11190681 Marketing 254,070.40 255,000.00 6.5 11207197 Marketing 155,438.24 156,000.00 6.6 11202436 Marketing 408,000.00 408,000.00 5.7 11207564 Marketing 215,411.01 216,000.00 6.5 11221717 Marketing 591,249.78 592,000.00 6.65 11165776 Marketing 252,840.07 253,600.00 7.5 11202748 Marketing 259,999.90 260,000.00 6.375 11226886 Marketing 150,436.07 150,800.00 7.125 11194353 Marketing 66,258.00 66,400.00 8.375 11216093 Additional 290,134.91 292,800.00 6.49 11208940 Marketing 360,000.00 360,000.00 6.75 11192129 Marketing 154,655.71 155,200.00 6.7 11200504 Marketing 98,446.31 98,600.00 6.95 11165076 Marketing 637,410.43 640,000.00 7.125 11225921 Marketing 320,800.00 320,800.00 6.15 11149373 Marketing 105,957.93 106,400.00 6.99 11221680 Marketing 534,652.33 536,150.00 6.375 11203558 Marketing 274,961.25 275,200.00 7.99 11193119 Marketing 103,857.14 104,000.00 7.4 11205430 Additional 488,000.00 488,000.00 5.5 11219894 Marketing 104,235.11 104,500.00 6.875 11190945 Marketing 337,866.61 340,000.00 6 11184330 Marketing 76,891.60 77,200.00 7.19 11204253 Marketing 323,693.62 325,000.00 5.99 11216047 Marketing 326,700.00 327,000.00 5.99 11194776 Marketing 453,800.88 455,200.00 5.875 11220331 Marketing 174,800.00 174,800.00 6.3 11229565 Marketing 363,042.46 364,000.00 6.685 11220822 Marketing 215,696.52 216,000.00 6.275 11215745 Marketing 295,693.83 296,000.00 7.375 11195512 Marketing 277,352.69 278,350.00 7.5 11219488 Marketing 256,000.00 256,000.00 6.375 11220356 Marketing 140,903.12 141,100.00 6.3 11209097 Marketing 233,449.07 234,000.00 7.25 11207158 Marketing 92,484.41 94,500.00 5.75 11213385 Marketing 160,458.46 160,600.00 7.935 11172740 Marketing 121,126.78 121,500.00 8.501 11217055 Marketing 380,627.17 382,500.00 6.2 11212712 Marketing 156,800.00 156,800.00 6.99 11200655 Marketing 176,800.00 176,800.00 6.99 11186660 Marketing 137,345.15 137,700.00 8.25 11217294 Marketing 464,639.21 465,000.00 8.375 11184127 Marketing 189,529.89 190,000.00 8.45 11188670 Marketing 194,232.00 194,232.00 6.025 11199955 Marketing 276,000.00 276,000.00 6.7 11202496 Marketing 200,000.00 200,000.00 5.5 11225167 Marketing 126,242.02 126,400.00 6.7 11205916 Marketing 104,109.77 104,400.00 7.875 11203022 Marketing 384,800.00 384,800.00 5.75 11210756 Marketing 357,879.22 358,200.00 7.89 11195676 Marketing 258,598.71 259,200.00 7.325 11216752 Marketing 183,497.29 184,000.00 6.49 11205443 Marketing 159,588.44 160,000.00 6.8 11215826 Marketing 157,920.03 158,400.00 5.95 11212157 Marketing 410,733.65 412,000.00 5.875 11199381 Marketing 287,491.41 288,000.00 6.5 11221107 Marketing 436,620.87 437,000.00 7.99 11194753 Marketing 244,236.14 245,000.00 7.3 11209373 Marketing 276,244.69 277,000.00 6.5 11208823 Marketing 284,744.42 285,000.00 7.875 11204897 Marketing 80,577.92 80,750.00 7.75 11227912 Marketing 91,783.45 91,999.00 7.275 11200465 Marketing 110,140.08 110,400.00 7.25 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186,000.00 6.875 11226074 Marketing 260,669.65 261,200.00 7.99 11167776 Marketing 161,996.98 162,000.00 7.4 11210762 Marketing 77,392.43 77,600.00 6.599 11212822 Marketing 176,864.47 177,115.00 6.25 11217405 Marketing 190,782.21 191,200.00 7.625 11199006 Marketing 319,309.75 320,000.00 5.125 11205913 Marketing 377,860.27 379,000.00 5.99 11208228 Marketing 690,095.48 692,000.00 7.125 11208464 Marketing 335,524.73 336,000.00 6.25 11202701 Marketing 39,533.86 40,000.00 6.75 11198159 Marketing 374,313.62 375,000.00 8.5 11196513 Marketing 244,000.00 244,000.00 6.85 11198704 Marketing 253,780.11 254,400.00 8.525 11219663 Marketing 95,414.83 95,640.00 7.25 11192693 Marketing 335,129.00 336,000.00 7.5 11225145 Marketing 183,500.70 184,000.00 6.525 11206371 Additional 180,343.56 180,500.00 8.99 11202924 Marketing 233,368.10 234,000.00 6.55 11221097 Additional 391,548.10 392,000.00 6.99 11207892 Marketing 216,000.00 216,000.00 6.49 11233599 Marketing 210,932.36 211,200.00 6.65 11195446 Marketing 420,000.00 420,000.00 6 11174851 Marketing 278,476.13 279,000.00 8.375 11210335 Marketing 226,173.98 226,400.00 7.5 11191983 Marketing 164,000.00 164,000.00 6.45 11233863 Marketing 239,631.70 240,000.00 5.95 11196452 Marketing 372,000.00 372,000.00 5.75 11182768 Marketing 390,465.15 391,500.00 8.125 11180032 Marketing 432,824.19 433,500.00 6.95 11229492 Marketing 143,660.28 144,000.00 7.24 11159251 Marketing 311,968.77 313,300.00 6.875 11220967 Marketing 99,660.46 99,920.00 6.75 11188608 Marketing 83,293.75 84,000.00 7.725 11220963 Marketing 630,000.00 630,000.00 5.99 11217743 Additional 297,000.00 297,000.00 5.875 11205304 Marketing 179,675.74 179,920.00 6.4 11230940 Marketing 403,477.31 404,000.00 6.575 11203242 Marketing 276,000.00 276,000.00 5.95 11208560 Marketing 375,100.00 375,200.00 6.3 11200940 Marketing 207,872.72 208,250.00 8.55 11216542 Marketing 139,418.96 139,650.00 8.99 11188514 Marketing 837,653.55 840,000.00 6.375 11225207 Additional 207,754.09 208,000.00 6.9 11151900 Marketing 73,322.30 73,600.00 7.5 11209720 Marketing 146,780.46 147,000.00 6.05 11188591 Additional 108,530.78 108,800.00 8.45 11215342 Marketing 246,441.09 247,000.00 7.45 11217739 Additional 452,800.00 452,800.00 5.9 11188049 Marketing 191,455.42 192,000.00 7.775 11212063 Marketing 437,000.00 437,000.00 6.5 11201839 Marketing 388,013.06 388,350.00 7.99 11221104 Marketing 455,314.28 456,000.00 6.025 11184264 Marketing 252,000.00 252,000.00 5.45 11195212 Marketing 48,744.07 48,870.00 8.25 11175834 Marketing 55,570.96 55,750.00 7.15 11203865 Marketing 215,200.00 215,200.00 5.99 11208343 Marketing 204,786.13 204,800.00 6.95 11197017 Marketing 274,692.58 275,000.00 7.1 11168849 Marketing 84,501.80 84,600.00 7.99 11179285 Marketing 49,861.21 50,400.00 9 11189257 Marketing 62,807.43 63,000.00 7.4 11189336 Marketing 136,000.00 136,000.00 7.695 11225176 Marketing 276,269.30 276,500.00 8.125 11220010 Marketing 230,537.98 231,200.00 6.25 11195688 Marketing 547,549.46 548,000.00 8.176 11204648 Additional 238,340.56 239,200.00 6.575 11164175 Marketing 359,993.99 360,000.00 5.99 11228337 Marketing 207,200.00 207,200.00 6.325 11191117 Marketing 259,651.82 260,000.00 6.45 11219303 Marketing 99,365.49 99,600.00 7.25 11216025 Marketing 191,732.10 192,000.00 6.3 11194102 Additional 174,448.96 175,000.00 7.25 11222749 Marketing 400,000.00 400,000.00 6.325 11209501 Marketing 289,333.92 290,000.00 7.375 11201083 Marketing 116,400.00 116,400.00 6.875 11225276 Additional 317,211.89 318,000.00 6.99 11194782 Marketing 167,673.09 168,000.00 8.2 11205835 Additional 197,600.00 197,600.00 6.25 11186216 Marketing 259,579.70 260,000.00 6.15 11155595 Marketing 454,416.26 456,000.00 6.75 11224580 Marketing 179,873.77 181,500.00 5.375 11232762 Additional 201,395.85 201,600.00 7.45 11178570 Marketing 58,371.88 58,500.00 9.25 11171068 Marketing 103,708.67 104,000.00 8.95 11187639 Marketing 359,107.82 360,000.00 6.99 11217253 Marketing 200,959.50 201,600.00 5.7 11220350 Marketing 315,508.06 316,350.00 6.625 11210695 Marketing 209,702.96 210,000.00 6.25 11169346 Marketing 127,140.06 127,500.00 7.99 11221321 Marketing 87,338.30 87,600.00 6.025 11165169 Marketing 272,853.95 273,600.00 6.5 11192884 Marketing 68,475.02 69,550.00 7.375 11198323 Additional 359,364.30 360,000.00 6.5 11208953 Marketing 283,262.30 284,000.00 6.75 11203247 Additional 147,615.55 148,000.00 6.75 11199928 Marketing 369,223.29 370,000.00 7.825 11203215 Marketing 119,017.63 120,000.00 8.74 11169420 Marketing 345,606.07 346,018.00 6.875 11211787 Marketing 167,754.13 168,000.00 6.125 11193008 Marketing 148,000.00 148,000.00 6.5 11213582 Marketing 635,243.86 636,030.00 6.74 11204387 Marketing 144,800.00 144,800.00 7.45 11226253 Marketing 229,727.52 229,900.00 8.49 11199492 Marketing 256,271.63 256,500.00 7.9 11210849 Marketing 211,581.16 212,000.00 8.125 11220033 Marketing 186,497.70 186,900.00 7.7 11189558 Marketing 64,975.30 66,000.00 9.45 11205427 Marketing 233,162.98 233,750.00 7.75 11224163 Marketing 313,931.37 315,000.00 5.35 11202950 Marketing 408,000.00 408,000.00 7.28 11227537 Marketing 291,645.04 292,000.00 6.8 11160441 Additional 518,441.79 520,000.00 7.5 11212198 Marketing 161,166.56 161,600.00 6.585 11203136 Marketing 108,755.81 109,000.00 7.5 11186143 Marketing 68,781.66 69,000.00 7.225 11225342 Marketing 269,315.60 270,000.00 6.875 11223524 Marketing 100,050.39 100,320.00 6.575 11227472 Marketing 359,507.88 360,000.00 6.375 11213719 Marketing 620,923.93 622,250.00 7.75 11217975 Marketing 268,641.76 268,800.00 5.99 11193661 Marketing 212,499.99 212,500.00 7.325 11156412 Marketing 99,692.79 100,000.00 8.5 11203656 Marketing 175,513.94 175,950.00 6.99 11186533 Additional 66,859.46 67,000.00 9.25 11201106 Marketing 268,821.29 269,600.00 6.201 11220619 Marketing 189,827.43 190,400.00 5.99 11199718 Marketing 83,782.07 84,000.00 7.5 11201923 Marketing 456,000.00 456,000.00 7.5 11178516 Marketing 399,258.73 400,000.00 7.14 11207107 Marketing 160,000.00 160,000.00 6.25 11159265 Marketing 165,210.00 165,210.00 6.025 11212297 Additional 205,489.46 206,000.00 6.99 11198056 Marketing 387,246.27 388,000.00 6.151 11221547 Marketing 224,339.64 225,000.00 7.25 11223289 Marketing 267,607.79 268,000.00 6.125 11178316 Marketing 199,406.64 200,000.00 7.55 11229116 Additional 348,764.06 349,575.00 7.325 11194224 Marketing 359,063.08 360,000.00 6.74 11207508 Marketing 258,229.99 259,000.00 6.05 11210054 Marketing 129,859.40 130,500.00 8.25 11160331 Marketing 232,000.00 232,000.00 6.99 11193671 Marketing 73,904.14 74,100.00 8.125 11213471 Marketing 101,348.87 101,520.00 5.6 11208884 Marketing 148,378.76 148,500.00 8.2 11181979 Marketing 160,462.36 161,000.00 9 11225121 Additional 439,311.01 440,000.00 5.875 11217409 Marketing 260,000.00 260,000.00 5.75 11197905 Marketing 158,853.79 160,000.00 6.75 11195982 Marketing 255,600.00 255,600.00 7.15 11189961 Marketing 255,564.95 256,500.00 6.5 11218930 Marketing 207,533.99 208,000.00 7.5 11214756 Marketing 410,865.66 412,000.00 6.45 11195847 Marketing 367,588.63 368,000.00 7.1 11211675 Marketing 293,108.41 293,600.00 5.625 11201029 Marketing 100,716.34 100,960.00 7.125 11206637 Additional 237,978.84 238,500.00 7.625 11231562 Marketing 712,749.72 715,000.00 5.75 11177909 Marketing 502,163.02 504,000.00 6.501 11168747 Marketing 86,831.29 87,200.00 6.9 11193363 Additional 370,687.01 371,200.00 6.375 11212306 Marketing 146,774.81 147,160.00 6.625 11177593 Marketing 567,431.35 568,000.00 7.49 11215634 Marketing 197,605.95 198,000.00 8.25 11178387 Marketing 203,232.17 203,920.00 6.9 11211942 Additional 199,769.43 200,000.00 6.99 11217209 Marketing 306,906.75 308,550.00 8.5 11158111 Marketing 223,103.41 223,920.00 7.65 11175086 Marketing 341,174.11 342,000.00 7.125 11227745 Additional 128,055.23 128,392.00 6.7 11220841 Marketing 198,119.34 198,400.00 6.25 11171249 Marketing 219,998.24 220,000.00 6.375 11208376 Marketing 168,421.84 168,800.00 7.5 11192074 Marketing 193,645.65 194,400.00 6.175 11222945 Marketing 231,960.00 231,960.00 6.75 11112558 Marketing 656,955.75 660,000.00 6.5 11221399 Marketing 161,558.27 162,000.00 6.5 11174707 Marketing 527,243.40 529,600.00 5.45 11230546 Marketing 360,846.39 361,800.00 6.675 11209987 Marketing 378,943.63 380,000.00 6.4 11205074 Marketing 424,967.71 425,000.00 7.25 11216277 Marketing 237,978.84 238,500.00 7.625 11203926 Additional 249,698.62 250,000.00 6.83 11221943 Marketing 259,355.65 260,000.00 6.99 11213926 Marketing 405,960.00 408,000.00 6 11188723 Marketing 137,497.66 137,750.00 9.925 11208297 Marketing 648,002.13 650,000.00 5.875 11204848 Marketing 125,545.04 126,000.00 7.7 11184424 Marketing 687,200.00 687,200.00 7.125 11164712 Marketing 189,064.59 189,500.00 7.375 11181039 Marketing 146,247.48 146,880.00 5.625 11226776 Marketing 153,373.43 153,750.00 7.05 11190011 Marketing 58,723.20 59,200.00 6.125 11209493 Marketing 161,598.22 162,000.00 6.99 11213034 Marketing 131,727.22 132,000.00 7.99 11195855 Marketing 76,299.84 76,500.00 8.175 11222000 Marketing 340,745.31 341,700.00 6.375 11210168 Marketing 342,000.00 342,000.00 7.625 11206462 Marketing 300,669.90 301,500.00 6.45 11212271 Marketing 311,663.60 315,000.00 5.75 11179444 Marketing 71,575.24 71,920.00 6.25 11193148 Marketing 787,114.46 790,000.00 6.49 11213987 Marketing 267,437.43 268,000.00 7.825 11190703 Marketing 159,659.02 160,000.00 7.75 11211243 Marketing 112,517.07 112,800.00 5.5 11200216 Marketing 298,767.55 300,000.00 5.875 11193361 Marketing 331,050.04 332,000.00 6.25 11217489 Additional 134,910.87 135,000.00 8.925 11213370 Marketing 65,543.01 65,700.00 7.175 11216029 Marketing 341,563.60 342,000.00 6.625 11215461 Marketing 95,697.75 96,000.00 6.175 11191569 Marketing 119,811.76 120,000.00 6.65 11215050 Marketing 155,594.79 156,000.00 6.75 11203573 Marketing 144,000.00 144,000.00 6.7 11174209 Marketing 121,243.58 121,600.00 7.99 11215414 Marketing 463,821.29 465,000.00 6.875 11207945 Marketing 256,163.58 256,800.00 6.99 11186342 Marketing 132,423.01 132,752.00 6.99 11194786 Additional 66,448.99 66,600.00 8.875 11180648 Marketing 126,757.99 127,120.00 6.275 11213744 Marketing 269,075.16 269,500.00 5.85 11173816 Marketing 179,491.99 180,000.00 7.8 11215696 Marketing 223,683.14 224,000.00 6.25 11199363 Marketing 508,000.00 508,000.00 7.45 11192628 Marketing 185,500.50 185,965.00 6.95 11198639 Marketing 215,698.83 216,000.00 7.8 11181153 Marketing 592,672.40 594,150.00 8.425 11175138 Marketing 50,902.63 51,000.00 9.7 11204752 Marketing 223,272.10 224,000.00 5.58 11214787 Marketing 69,497.29 70,000.00 6 11203664 Marketing 211,387.55 212,000.00 6.2 11215224 Marketing 161,732.00 162,000.00 8.99 11202503 Marketing 197,365.39 198,000.00 7.16 11166010 Marketing 97,276.54 97,600.00 6.99 11198017 Marketing 54,599.84 54,750.00 6.47 11160565 Marketing 116,000.00 116,000.00 6.625 11214336 Marketing 441,500.00 441,600.00 5.75 11178725 Marketing 95,666.61 96,000.00 6.75 11229641 Marketing 279,927.67 280,000.00 6.2 11211320 Marketing 330,400.00 330,400.00 5.95 11165065 Marketing 265,549.84 270,000.00 7.675 11217010 Marketing 115,833.67 116,000.00 6.2 11191304 Marketing 248,000.00 248,000.00 5.99 11151453 Marketing 114,504.99 115,000.00 7.425 11203857 Marketing 148,000.00 148,000.00 7.05 11178111 Marketing 408,714.49 410,000.00 8.4 11179566 Marketing 520,000.00 520,000.00 5.99 11234538 Additional 311,679.52 312,000.00 6.99 11222521 Marketing 496,000.00 496,000.00 5.75 11168774 Marketing 158,308.00 158,950.00 7.45 11203630 Marketing 181,120.98 183,000.00 6.125 11156549 Marketing 599,840.62 600,000.00 6.375 11164416 Marketing 284,475.00 284,750.00 5.55 11197132 Marketing 247,124.19 247,920.00 5.875 11207094 Marketing 95,057.90 96,000.00 7.25 11117371 Marketing 518,701.12 520,000.00 6.95 11204299 Marketing 817,100.75 820,000.00 6.99 11192724 Marketing 46,700.55 46,750.00 11.125 11162384 Marketing 52,116.69 52,250.00 9.4 11221645 Marketing 158,915.60 159,276.00 7.45 11204262 Marketing 102,400.00 102,400.00 6.6 11213509 Marketing 375,756.40 377,000.00 5.5 11202328 Marketing 170,490.11 171,000.00 7.525 11205340 Marketing 101,932.18 102,000.00 8.99 11228181 Marketing 76,439.87 76,640.00 6.775 11194622 Marketing 93,880.45 94,300.00 6.875 11214321 Marketing 386,004.53 387,000.00 6.8 11201296 Marketing 346,092.24 346,750.00 8.325 11180491 Marketing 157,668.46 158,400.00 5.25 11227649 Marketing 408,627.32 409,500.00 7.75 11216944 Marketing 339,946.67 340,000.00 7.7 11220234 Marketing 79,775.44 80,000.00 6.35 11210692 Marketing 107,886.69 108,000.00 7.325 11215474 Marketing 134,689.94 135,000.00 7.375 11157378 Marketing 103,663.80 104,000.00 8.25 11220252 Marketing 255,864.31 256,500.00 6.99 11183688 Marketing 185,797.18 186,200.00 7.675 11200711 Marketing 374,949.69 376,000.00 6.375 11208690 Marketing 480,000.00 480,000.00 6.2 11201354 Marketing 113,798.82 114,300.00 6.99 11197973 Marketing 62,602.24 62,800.00 7.25 11207560 Marketing 81,338.06 81,500.00 6.375 11201577 Marketing 102,398.90 102,600.00 9.575 11174696 Marketing 193,711.96 194,400.00 7.8 11207029 Marketing 311,169.62 312,000.00 6.625 11219533 Marketing 224,409.83 225,000.00 6.7 11222296 Marketing 375,513.66 376,000.00 6.576 11232327 Marketing 163,468.00 163,468.00 6.5 11195426 Marketing 285,559.03 286,400.00 6.175 11196625 Marketing 267,127.04 267,750.00 8.75 11202144 Marketing 63,598.60 63,750.00 7.5 11203541 Marketing 360,230.66 361,200.00 8.05 11222461 Marketing 406,995.77 408,000.00 7.025 11217619 Marketing 179,670.56 180,000.00 8.5 11218825 Marketing 106,187.80 106,400.00 8.125 11232366 Marketing 382,500.00 382,500.00 6.5 11217637 Marketing 123,697.78 124,000.00 7.075 11206883 Marketing 198,000.00 198,000.00 7.2 11208337 Marketing 184,295.21 184,500.00 7.125 11212022 Marketing 28,526.04 28,800.00 10.875 11192178 Marketing 141,506.50 141,750.00 6.6 11208742 Marketing 208,000.00 208,000.00 5.875 11177009 Marketing 149,558.18 150,000.00 8.4 11211968 Marketing 187,000.00 187,000.00 6.375 11213393 Marketing 60,586.99 60,800.00 5.875 11214141 Marketing 219,482.02 220,000.00 7.25 11214644 Marketing 156,581.21 156,800.00 6.3 11213644 Additional 240,261.16 240,750.00 7.99 11196437 Marketing 670,000.00 670,000.00 5.725 11217836 Additional 636,500.00 636,500.00 8.5 11197831 Marketing 750,000.00 750,000.00 5.625 11059190 Marketing 298,404.98 301,000.00 6.875 11216709 Marketing 328,000.00 328,000.00 6.975 11223101 Marketing 156,838.51 157,196.00 7.425 11175166 Marketing 103,017.13 103,300.00 7.95 11219213 Marketing 444,410.62 445,000.00 6.49 11220182 Marketing 55,929.02 56,000.00 6.65 11205819 Marketing 104,480.15 104,800.00 6.59 11209835 Marketing 439,696.78 441,000.00 6.085 11214033 Marketing 285,300.00 285,300.00 6.725 11194925 Marketing 756,800.00 756,800.00 5.5 11196990 Marketing 151,137.87 151,300.00 7.25 11176855 Marketing 168,000.00 168,000.00 6.25 11222450 Marketing 349,012.86 350,000.00 6.325 11213457 Marketing 138,661.54 139,085.00 5.925 11175405 Marketing 144,554.54 145,000.00 8.5 11214345 Marketing 267,465.05 268,000.00 5.75 11210616 Marketing 395,250.00 395,250.00 7.05 11213780 Marketing 39,550.33 40,000.00 8.475 11210618 Marketing 173,735.85 174,000.00 5.99 11191208 Marketing 135,625.54 136,000.00 6.45 11199279 Marketing 169,477.49 170,000.00 5.875 11207126 Marketing 323,366.04 325,000.00 6 11210667 Marketing 72,810.38 73,000.00 6.75 11184760 Marketing 175,254.01 175,750.00 7.8 11203718 Marketing 301,196.23 301,600.00 6.451 11222242 Additional 159,707.16 160,000.00 8.5 11211111 Additional 235,678.70 236,000.00 6.39 11226752 Marketing 139,532.38 140,005.00 6.05 11201863 Marketing 243,348.87 244,000.00 6.7 11230108 Marketing 203,764.82 204,000.00 6.99 11216314 Marketing 398,734.60 399,200.00 6.95 11205652 Marketing 267,196.96 268,000.00 7.5 11168761 Additional 171,760.69 171,900.00 9.225 11217884 Marketing 476,969.96 476,970.00 5.95 11193842 Marketing 340,783.02 342,000.00 6.625 11213271 Marketing 100,209.41 100,300.00 7.85 11231418 Marketing 75,825.45 76,000.00 7.375 11186921 Marketing 316,699.91 317,600.00 6.3 11157449 Marketing 59,841.40 60,000.00 8.125 11216731 Marketing 323,589.41 324,000.00 6.65 11198160 Marketing 147,554.95 148,000.00 5.99 11231334 Marketing 248,540.06 248,792.00 7.45 11220169 Marketing 304,531.97 305,000.00 5.95 11197761 Marketing 98,041.30 98,400.00 6.5 11183250 Marketing 134,595.46 135,000.00 7.5 11193669 Marketing 184,000.00 184,000.00 6.5 11217245 Marketing 344,614.35 345,000.00 7.1 11196824 Marketing 365,750.00 365,750.00 7.25 11107986 Marketing 136,437.06 137,200.00 7.25 11197130 Marketing 557,742.57 560,000.00 5.975 11196827 Marketing 235,267.70 236,000.00 5.825 11210686 Marketing 137,267.92 137,600.00 7.125 11188227 Marketing 82,328.36 84,000.00 6.75 11217705 Additional 64,980.56 65,075.00 9.8 11207028 Marketing 132,306.49 133,000.00 6.375 11216592 Additional 118,400.00 118,400.00 5.99 11230682 Marketing 439,487.03 439,920.00 7.55 11216688 Marketing 326,364.86 327,000.00 8.926 11223129 Marketing 93,723.68 93,900.00 8.375 11183964 Marketing 387,942.18 390,150.00 6.87 11179503 Marketing 418,468.86 420,000.00 6.5 11210520 Marketing 335,540.70 336,000.00 6.375 11175424 Additional 336,000.00 336,000.00 5.99 11203076 Marketing 268,000.00 268,000.00 6.2 11213680 Marketing 360,783.32 362,000.00 5.4 11200070 Marketing 425,000.00 425,000.00 6.425 11211894 Marketing 244,423.16 245,000.00 7.25 11222370 Marketing 76,817.13 77,000.00 8.65 11212725 Additional 59,889.60 60,000.00 8.475 11175513 Marketing 219,113.24 220,000.00 5.99 11211882 Marketing 162,443.61 163,000.00 6.375 11196499 Marketing 225,000.00 225,000.00 6.725 11218680 Marketing 108,889.77 109,600.00 6.125 11198051 Marketing 427,042.26 428,000.00 5.625 11155169 Marketing 49,215.24 49,457.00 6.5 11205171 Marketing 231,757.15 232,400.00 7.9 11215854 Marketing 307,533.70 308,000.00 6 11221632 Marketing 113,340.38 113,600.00 7.4 11179610 Marketing 332,541.78 333,115.00 8.8 11178481 Marketing 591,358.75 592,500.00 8.25 11210080 Marketing 53,912.24 54,000.00 9.075 11212516 Marketing 91,796.79 91,920.00 6.45 11218672 Marketing 224,722.68 225,000.00 6.75 11218185 Marketing 224,000.00 224,000.00 6.875 11221929 Marketing 78,203.23 78,400.00 6.926 11218113 Marketing 519,327.23 520,000.00 6.575 11209944 Marketing 83,678.70 84,000.00 6.25 11210261 Marketing 66,063.71 66,240.00 6.625 11189694 Marketing 206,426.23 207,200.00 6.375 11204923 Marketing 212,000.00 212,000.00 7.05 11207260 Marketing 549,009.39 550,000.00 6.5 11192800 Additional 88,535.99 88,800.00 6.05 11211355 Marketing 506,229.63 506,250.00 6.85 11207189 Additional 420,000.00 420,000.00 5.25 11220080 Marketing 203,524.44 204,000.00 7.3 11217338 Marketing 172,000.00 172,000.00 6.125 11214386 Marketing 94,684.78 94,950.00 6.375 11163598 Additional 350,065.17 351,920.00 5.75 11230553 Marketing 67,879.93 68,000.00 8.675 11217776 Marketing 279,210.28 280,000.00 6.325 11213595 Additional 71,117.92 71,200.00 6.99 11194213 Marketing 352,000.00 352,000.00 5.5 11220565 Marketing 307,097.34 308,000.00 6.125 11217309 Marketing 184,808.52 185,250.00 7.45 11140686 Marketing 157,681.60 158,400.00 7.49 11199815 Additional 650,000.00 650,000.00 5.875 11231783 Marketing 195,452.65 196,000.00 7.15 11194873 Marketing 99,696.97 100,000.00 5.95 11181762 Marketing 362,741.95 364,000.00 5.25 11187599 Marketing 39,849.19 40,000.00 6.325 11220502 Marketing 288,000.00 288,000.00 5.99 11176174 Marketing 153,560.00 153,560.00 6.125 11196292 Marketing 750,000.00 750,000.00 6 11205024 Marketing 238,907.21 239,200.00 6.775 11198410 Marketing 359,232.83 360,000.00 7.75 11211520 Marketing 120,298.21 120,800.00 6.99 11206982 Marketing 179,520.93 180,000.00 6.625 11191687 Marketing 407,800.00 408,000.00 5.9 11223703 Marketing 469,932.46 470,600.00 9.725 11208997 Marketing 91,772.00 92,000.00 6.99 11203690 Marketing 343,881.10 344,250.00 7.25 11187055 Marketing 154,677.88 155,000.00 7.875 11212854 Marketing 388,000.00 388,000.00 5.875 11210431 Marketing 110,848.47 111,150.00 6.9 11203423 Marketing 471,718.29 472,500.00 8.99 11219647 Marketing 178,157.38 178,600.00 6.99 11227378 Marketing 444,000.00 444,000.00 6.7 11221002 Marketing 498,741.72 499,500.00 5.99 11192892 Marketing 259,999.95 260,000.00 6.35 11206837 Marketing 220,000.00 220,000.00 6.99 11211277 Marketing 269,600.00 269,600.00 5.99 11214964 Marketing 66,529.08 66,720.00 6.25 11190459 Marketing 233,371.86 233,600.00 5.8 11219103 Marketing 226,628.00 227,050.00 8.425 11197418 Marketing 602,268.42 604,000.00 6.24 11212289 Marketing 63,863.62 64,000.00 7.75 11212155 Marketing 192,000.00 192,000.00 7.2 11228243 Marketing 211,372.72 212,000.00 6.075 11214901 Marketing 60,277.36 60,400.00 7.99 11210067 Marketing 191,403.15 192,000.00 6.375 11214015 Additional 86,623.45 86,800.00 7.99 11204959 Marketing 296,669.40 297,000.00 7.115 11179407 Marketing 139,569.71 140,000.00 5.875 11204499 Marketing 129,631.59 130,000.00 6.3 11196043 Marketing 155,328.21 156,000.00 5.625 11217918 Marketing 227,760.80 228,000.00 7.325 11212862 Marketing 324,000.00 324,000.00 5.875 11208494 Marketing 480,306.69 481,500.00 6.99 11178707 Additional 119,719.59 119,920.00 6.7 11230114 Marketing 475,022.69 476,100.00 7.45 11226551 Marketing 74,802.54 75,000.00 6.875 11225211 Marketing 415,303.45 416,000.00 5.625 11201900 Marketing 277,200.00 277,200.00 6.2 11199253 Marketing 243,717.62 244,000.00 8 11204208 Marketing 99,790.08 100,000.00 7.825 11197561 Marketing 214,546.54 215,100.00 6.99 11214119 Marketing 389,173.57 389,600.00 7.175 11184850 Marketing 75,714.82 76,000.00 6.35 11198798 Marketing 139,645.12 140,000.00 6.875 11171348 Marketing 40,425.87 40,500.00 8.5 11202895 Marketing 229,416.98 230,000.00 6.875 11179638 Marketing 131,496.23 131,750.00 8.25 11217814 Marketing 162,983.78 163,400.00 6.85 11186588 Marketing 239,406.97 240,000.00 5.25 11208145 Marketing 269,124.31 270,000.00 7.1 11220669 Marketing 398,770.55 400,000.00 5.875 11176110 Marketing 648,754.37 650,000.00 6.201 11182064 Marketing 94,850.19 95,120.00 7.775 11200183 Marketing 143,492.55 144,000.00 6.675 11233315 Marketing 476,000.00 476,000.00 6.5 11216179 Marketing 142,371.11 142,500.00 7.85 11216279 Marketing 307,198.39 308,000.00 6.74 11215044 Marketing 75,892.50 76,000.00 6.25 11201600 Marketing 135,695.31 136,000.00 7.5 11195276 Marketing 98,882.98 99,200.00 7.175 11221084 Marketing 307,641.86 307,920.00 7.85 11215791 Marketing 427,336.02 428,000.00 6.7 11198694 Marketing 149,954.89 150,260.00 7.99 11189654 Marketing 103,122.69 103,500.00 6.5 11183650 Marketing 146,600.69 147,000.00 7.99 11208286 Marketing 193,154.81 193,500.00 8.625 11225278 Marketing 69,378.84 69,520.00 7.99 11213142 Marketing 660,000.00 660,000.00 5.85 11218956 Marketing 499,183.31 500,000.00 5.99 11224938 Marketing 284,800.00 284,800.00 6.576 11211897 Marketing 318,382.41 319,000.00 8.225 11223286 Marketing 184,541.08 185,000.00 6.99 11192017 Additional 345,000.00 345,000.00 5.5 11190980 Additional 265,000.00 265,000.00 5.95 11228890 Marketing 251,375.46 252,000.00 6.99 11165861 Marketing 57,819.08 58,000.00 8.425 11145719 Marketing 576,000.00 576,000.00 6.85 11202687 Marketing 303,999.77 304,000.00 7.25 11216426 Additional 191,660.53 192,000.00 6.425 11203849 Marketing 185,600.00 185,600.00 5.875 11200027 Marketing 193,600.70 194,400.00 7.625 11228353 Marketing 310,326.49 311,200.00 6.35 11207030 Additional 268,711.73 269,000.00 7.25 11229361 Marketing 78,984.13 80,000.00 7.325 11214466 Marketing 315,913.76 316,000.00 6.55 11183506 Marketing 320,000.00 320,000.00 7.875 11206715 Marketing 82,224.41 82,400.00 7.75 11212833 Marketing 143,200.00 143,200.00 6.45 11172981 Marketing 311,998.99 312,000.00 6.125 11157508 Marketing 216,779.21 217,500.00 6.99 11196375 Marketing 256,000.00 256,000.00 5.62 11201468 Marketing 363,920.00 363,920.00 5.5 11185419 Marketing 215,455.14 216,000.00 6.9 11222059 Marketing 315,045.79 316,000.00 6.25 11168687 Marketing 168,663.27 169,600.00 5.5 11210501 Marketing 498,918.52 500,000.00 7.676 11210536 Marketing 146,782.50 147,000.00 9.525 11196641 Marketing 256,753.00 258,000.00 5.8 11205344 Marketing 193,869.25 194,400.00 6.625 11193374 Marketing 592,000.00 592,000.00 5.3 11193439 Marketing 458,662.72 459,800.00 7 11224250 Marketing 275,774.67 276,000.00 8.2 11218585 Marketing 327,590.05 328,000.00 6.7 11213126 Marketing 459,402.37 460,000.00 6.56 11153929 Marketing 21,682.65 21,720.00 11.25 11163599 Additional 87,811.44 87,980.00 10.751 11151901 Marketing 18,367.48 18,400.00 11.25 11169661 Marketing 91,821.77 91,980.00 11.25 11163868 Marketing 29,932.39 30,000.00 9.99 11154931 Marketing 36,487.57 36,600.00 8.5 11179504 Marketing 104,830.87 105,000.00 10.5 11146188 Marketing 36,731.36 36,800.00 10.875 11181194 Marketing 42,918.76 43,000.00 9.75 11145565 Marketing 164,525.75 165,000.00 9.75 11178059 Marketing 17,265.79 17,300.00 10.875 11179567 Marketing 129,741.18 130,000.00 9.5 11159266 Marketing 41,216.48 41,300.00 10.5 11165489 Additional 159,508.46 160,000.00 8.5 11177199 Marketing 93,647.24 93,800.00 11.5 11178967 Marketing 113,649.77 114,000.00 8.5 11173471 Marketing 199,726.10 200,000.00 11.25 11189890 Marketing 88,836.26 89,000.00 9.875 11152522 Marketing 37,294.88 37,400.00 9.75 11182561 Marketing 53,054.28 54,400.00 9.99 11155611 Additional 113,852.17 114,000.00 11.5 11195879 Marketing 14,972.92 15,000.00 11.5 11182551 Marketing 29,958.91 30,000.00 11.25 11195277 Additional 24,745.08 24,800.00 8.99 11185463 Marketing 50,698.88 50,800.00 9.5 11181047 Marketing 27,473.51 27,540.00 9.5 11190290 Marketing 24,475.69 24,660.00 10.25 11200926 Marketing 20,434.77 20,475.00 10.99 11195398 Marketing 153,693.37 154,000.00 9.5 11192714 Marketing 127,809.73 128,000.00 10.875 11191232 Marketing 35,947.92 36,000.00 11 11178603 Additional 113,713.60 114,000.00 8.375 11158319 Marketing 67,676.02 67,840.00 9.875 11186263 Marketing 62,907.66 63,000.00 10.99 11178940 Marketing 51,905.34 52,000.00 10.99 11205428 Marketing 114,799.75 115,000.00 8.75 11179101 Marketing 84,903.13 85,000.00 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9.75 11233602 Marketing 97,873.98 97,980.00 10.99 11203187 Marketing 17,472.45 17,500.00 10.99 11199269 Marketing 60,909.39 61,000.00 10.875 11213916 Marketing 25,342.26 25,380.00 9.5 11214694 Marketing 45,897.99 46,000.00 8.5 11204645 Marketing 71,271.80 71,400.00 9.99 11176856 Marketing 41,940.75 42,000.00 9.75 11219893 Marketing 76,885.46 77,000.00 9.5 11216378 Marketing 25,174.23 25,200.00 11.25 11171643 Marketing 153,143.86 153,334.00 10.375 11197740 Marketing 39,156.53 39,200.00 10.875 11205465 Marketing 64,883.47 65,000.00 10 11223865 Marketing 51,837.58 51,900.00 10.5 11224801 Marketing 115,644.72 115,800.00 9.99 11225168 Marketing 31,552.90 31,600.00 9.49 11219667 Marketing 55,924.88 56,000.00 9.99 11205319 Marketing 34,154.13 34,200.00 9.99 11193377 Marketing 110,778.99 111,000.00 9.5 11218208 Marketing 14,983.38 15,000.00 10.875 11180658 Marketing 31,737.48 31,780.00 10 11206144 Marketing 29,545.82 29,600.00 8.5 11222417 Marketing 85,884.65 86,000.00 9.99 11212324 Marketing 39,946.36 40,000.00 9.99 11226076 Marketing 65,229.37 65,300.00 10.99 11184657 Marketing 23,371.97 23,400.00 10.99 11221585 Marketing 35,211.86 35,250.00 10.99 11212015 Marketing 31,067.59 31,200.00 11.75 11162587 Marketing 30,956.26 31,000.00 9.75 11196883 Marketing 74,139.57 74,250.00 9.5 11175986 Marketing 77,906.48 77,993.00 10.875 11203853 Marketing 46,292.04 46,400.00 8.75 11217410 Marketing 64,912.84 65,000.00 9.99 11213596 Marketing 17,776.12 17,800.00 9.99 11213632 Marketing 84,836.27 85,000.00 8.25 11211872 Marketing 51,123.83 51,200.00 9.5 11221654 Marketing 39,786.07 39,819.00 12.5 11208692 Marketing 119,821.00 120,000.00 9.5 11189656 Marketing 42,726.07 43,400.00 9.75 11194777 Marketing 113,647.38 113,800.00 9.99 11227539 Marketing 72,916.81 73,000.00 10.75 11227250 Marketing 21,471.17 21,500.00 9.99 11195339 Marketing 31,423.34 31,500.00 10.5 11228695 Marketing 33,415.79 33,450.00 11.25 11227408 Marketing 28,174.18 28,200.00 11.75 11202169 Additional 50,931.63 51,000.00 9.99 11229475 Marketing 24,942.83 24,980.00 9.5 11211204 Marketing 54,946.75 55,000.00 11.5 11210671 Marketing 61,469.17 62,000.00 9 11209270 Marketing 126,767.55 127,000.00 8.5 11220227 Marketing 129,652.37 130,350.00 8 11221258 Marketing 29,947.57 29,980.00 10.99 11209975 Additional 64,856.40 65,000.00 9 11222862 Marketing 62,884.68 63,000.00 8.5 11211155 Additional 40,960.31 41,000.00 11.5 11164180 Marketing 89,757.94 90,000.00 8.375 11168105 Marketing 81,845.09 82,000.00 9.75 11221844 Marketing 45,998.93 46,050.00 10.875 11195156 Marketing 34,562.58 34,600.00 10.99 11187339 Marketing 65,926.79 66,000.00 10.875 11212054 Marketing 47,934.39 48,000.00 9.9 11221646 Marketing 21,276.96 21,300.00 10.99 11194317 Marketing 65,482.22 65,600.00 9.99 11210763 Marketing 26,943.73 27,000.00 9.75 11218684 Marketing 27,198.55 27,400.00 9.99 11220426 Marketing 83,499.47 83,600.00 10.5 11216326 Marketing 59,520.08 59,600.00 9.99 11220382 Marketing 27,742.76 27,780.00 9.99 11206430 Marketing 55,906.60 56,000.00 10.5 11209448 Marketing 64,903.31 65,000.00 9.5 11215277 Marketing 127,799.41 128,000.00 9.25 11212099 Additional 28,967.83 29,000.00 10.875 11212302 Marketing 51,430.94 51,500.00 9.99 11193952 Marketing 63,843.27 64,000.00 8.5 11195677 Marketing 48,546.11 48,600.00 10.875 11218284 Marketing 50,931.63 51,000.00 9.99 11193775 Marketing 59,758.97 59,858.00 8.99 11205836 Marketing 49,316.08 49,400.00 10.25 11203021 Marketing 39,702.18 39,750.00 10.5 11233402 Marketing 43,578.64 43,700.00 8.99 11224120 Marketing 109,874.65 110,000.00 10.75 11214284 Marketing 107,847.60 108,000.00 9.75 11217783 Additional 50,901.34 50,990.00 8.75 11214196 Marketing 47,935.62 48,000.00 9.99 11205302 Marketing 79,881.02 80,000.00 9.5 11229463 Marketing 124,825.87 125,000.00 11.99 11211518 Additional 32,535.02 32,595.00 9.875 11149974 Marketing 119,843.22 120,000.00 12.5 11206081 Marketing 43,942.00 44,000.00 10.25 11165170 Marketing 68,333.79 68,400.00 11.5 11217378 Marketing 84,886.00 85,000.00 9.99 11197990 Marketing 15,676.69 15,700.00 10.875 11221408 Marketing 52,309.62 52,400.00 10.25 11219360 Marketing 59,910.77 60,000.00 9.5 11208520 Marketing 40,768.20 40,820.00 10.25 11212403 Marketing 28,935.50 29,000.00 10 11206433 Marketing 30,962.71 31,000.00 10.5 11209863 Marketing 56,500.70 56,600.00 10.825 11213707 Marketing 36,155.15 36,300.00 11.5 11201729 Marketing 69,502.01 69,600.00 9.76 11212344 Marketing 73,903.57 74,000.00 10.125 11236632 Marketing 90,521.27 90,600.00 11.99 11191919 Marketing 73,481.62 73,600.00 9.125 11211594 Marketing 20,511.02 20,540.00 9.75 11214346 Marketing 66,925.68 67,000.00 10.875 11178502 Marketing 118,368.58 118,500.00 10.875 11203859 Marketing 36,964.18 37,000.00 11.5 11210032 Marketing 64,126.55 65,000.00 9.99 11198705 Marketing 63,525.94 63,600.00 11.99 11211244 Marketing 25,948.04 28,200.00 9.75 11199719 Marketing 20,953.38 21,000.00 8.5 11203454 Marketing 45,524.55 45,600.00 8.99 11206551 Marketing 81,878.05 82,000.00 9.5 11213659 Marketing 94,891.73 95,000.00 10.75 11182321 Marketing 37,461.66 37,500.00 11.25 11205175 Marketing 43,524.28 43,575.00 11.99 11216639 Marketing 87,128.24 88,000.00 8.5 11191654 Marketing 31,621.79 31,700.00 9.25 11215046 Marketing 18,961.43 19,000.00 7.99 11198149 Marketing 81,852.77 82,000.00 9.99 11227312 Marketing 19,673.31 19,700.00 9.99 11221113 Marketing 83,855.12 84,000.00 10.25 11200022 Marketing 67,911.62 68,000.00 11.49 11209928 Marketing 47,121.26 47,200.00 10.5 11212221 Marketing 120,386.32 120,520.00 10.875 11225415 Marketing 35,499.83 35,550.00 9.75 11210121 Marketing 90,079.05 90,200.00 9.99 11202304 Marketing 98,812.39 99,800.00 9.5 11202260 Marketing 85,828.79 86,000.00 9.5 11199375 Marketing 126,829.68 127,000.00 9.99 11188759 Marketing 52,939.58 53,000.00 10.75 11221862 Marketing 76,876.93 77,000.00 10.875 11206351 Marketing 48,347.77 48,400.00 11 11205971 Marketing 88,892.75 89,000.00 10.49 11207099 Marketing 23,852.01 24,000.00 10.875 11189057 Marketing 33,347.66 33,400.00 9.25 11195695 Marketing 57,937.24 58,000.00 10.99 11213697 Marketing 66,700.64 66,800.00 9.5 11194874 Marketing 24,946.73 25,000.00 7.75 11213360 Marketing 98,053.94 98,200.00 9.5 11199967 Marketing 39,321.77 40,000.00 10.875 11193107 Marketing 28,526.96 28,600.00 10.99 11221376 Marketing 97,868.56 98,000.00 9.99 11166020 Marketing 24,356.26 24,400.00 10 11137919 Marketing 69,299.77 69,403.00 9.5 11190157 Marketing 69,272.99 70,000.00 9.5 11200620 Marketing 115,808.08 116,000.00 8.99 11205655 Marketing 66,913.09 67,000.00 11.5 11213721 Marketing 60,913.94 61,000.00 9.75 11201223 Marketing 16,982.29 17,000.00 12.5 11220462 Marketing 87,662.39 87,800.00 9.25 11216097 Marketing 23,173.76 23,200.00 10.875 11212363 Marketing 21,982.93 22,000.00 12.5 11227678 Marketing 89,897.45 90,000.00 10.75 11193149 Marketing 199,637.81 200,000.00 9.95 11215984 Additional 59,553.30 59,625.00 10.5 11205598 Marketing 31,956.19 32,000.00 11.25 11223319 Marketing 20,377.38 20,400.00 10.875 11178409 Marketing 39,342.90 39,400.00 10.99 11182088 Marketing 73,887.08 74,000.00 10.75 11222157 Marketing 17,235.03 17,250.00 11.99 11220241 Marketing 64,903.31 65,000.00 9.5 11198593 Marketing 91,863.15 92,000.00 9.5 11210233 Marketing 74,128.17 74,200.00 11.5 11218382 Marketing 73,917.92 74,000.00 10.875 11221750 Marketing 43,447.69 43,500.00 10.5 11220632 Marketing 47,252.27 47,600.00 9.99 11205679 Marketing 56,919.57 57,000.00 9.75 11224636 Marketing 16,975.30 17,000.00 9.99 11202318 Marketing 64,874.81 65,000.00 8.25 11207204 Marketing 38,944.27 39,000.00 11.25 11201031 Marketing 25,206.16 25,240.00 9.99 11196103 Marketing 60,491.20 60,600.00 9.99 11208941 Marketing 89,838.40 90,000.00 9.99 11216732 Marketing 80,891.39 81,000.00 9.99 11212199 Marketing 40,345.82 40,400.00 9.99 11223493 Marketing 34,950.63 35,000.00 9.75 11198053 Marketing 106,827.67 107,000.00 10.5 11218363 Marketing 29,959.77 30,000.00 9.99 11202244 Marketing 99,865.56 100,000.00 9.99 11217527 Marketing 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20,000.00 9.99 11196439 Marketing 30,339.48 30,400.00 9.5 11212134 Marketing 46,936.98 47,000.00 9.99 11195705 Marketing 57,715.22 57,800.00 10.99 11197004 Marketing 80,879.66 81,000.00 10.875 11195425 Marketing 71,524.42 71,600.00 11.125 11214416 Marketing 105,852.79 106,000.00 9.875 11211248 Marketing 79,692.99 79,800.00 9.99 11196780 Marketing 57,544.24 57,600.00 11.5 11222824 Marketing 21,758.00 21,800.00 8.25 11192708 Marketing 41,949.49 42,000.00 10.5 11233320 Marketing 118,840.42 119,000.00 9.99 11198753 Marketing 39,926.65 40,000.00 8.49 11202480 Marketing 45,925.92 46,000.00 10.5 11208960 Marketing 54,344.37 54,400.00 11.25 11199352 Marketing 20,678.84 20,700.00 11.25 11220448 Marketing 72,260.53 72,400.00 8.25 11198057 Marketing 96,826.22 97,000.00 10 11216464 Marketing 96,847.96 97,000.00 9.25 11207046 Marketing 76,811.44 77,000.00 8.5 11179412 Marketing 26,220.88 26,250.00 10.875 11205431 Marketing 14,976.48 15,000.00 10.99 11208507 Additional 34,753.32 34,800.00 9.99 11201474 Marketing 30,024.55 30,200.00 10.25 11225131 Marketing 35,937.90 36,000.00 10.25 11214868 Marketing 62,617.53 63,000.00 11.99 11210543 Marketing 32,955.76 33,000.00 9.99 11180162 Marketing 29,431.35 29,500.00 8.75 11203866 Marketing 53,727.22 53,800.00 9.95 11221098 Marketing 97,888.33 98,000.00 10.75 11204045 Marketing 47,922.70 48,000.00 10.5 11192130 Marketing 38,737.51 38,800.00 10.5 11198161 Marketing 36,964.18 37,000.00 11.5 11227242 Marketing 29,932.48 29,980.00 10.875 11203547 Marketing 30,941.44 31,000.00 9.75 11212810 Marketing 70,505.33 70,600.00 9.99 11221567 Marketing 87,902.40 88,000.00 10.875 11220186 Marketing 13,980.25 14,000.00 9.75 11223272 Additional 78,894.05 79,000.00 9.99 11219382 Marketing 14,973.27 15,000.00 9.99 11144272 Marketing 107,726.80 107,990.00 10.5 11160332 Marketing 57,891.78 58,000.00 10.875 11149374 Marketing 26,540.05 26,600.00 9.99 11163004 Marketing 26,745.81 26,800.00 10.5 11173107 Marketing 41,902.72 42,400.00 10.5 11176868 Marketing 199,444.35 200,000.00 8.99 11166197 Marketing 26,939.18 27,000.00 9.99 11172375 Marketing 174,740.01 175,000.00 10.875 11172982 Marketing 67,871.41 68,000.00 10.875 11185710 Marketing 28,293.10 28,344.00 9.99 11186131 Marketing 43,407.38 44,200.00 8.25 11190648 Marketing 74,912.68 75,000.00 11.99 11203051 Marketing 14,773.43 14,800.00 9.99 11167232 Marketing 97,273.17 97,500.00 8.75 11198343 Marketing 48,890.00 49,000.00 9.99 11197778 Marketing 78,858.14 79,000.00 9.99 11177708 Marketing 27,436.15 28,600.00 9.99 11216094 Additional 73,101.84 73,200.00 9.99 11212855 Marketing 96,822.45 97,000.00 8.5 11191966 Marketing 30,534.55 30,580.00 10.875 11197131 Marketing 199,510.17 200,000.00 8.5 11204040 Marketing 72,900.03 73,000.00 11.25 11216792 Marketing 14,984.67 15,000.00 11.25 11200712 Marketing 93,860.20 94,000.00 9.5 11232850 Marketing 91,847.80 92,000.00 8.99 11218841 Marketing 28,712.90 29,000.00 10.99 11197142 Marketing 32,855.87 32,900.00 9.99 11206835 Marketing 63,914.18 64,000.00 9.99 11216672 Marketing 49,898.68 50,000.00 8 11214633 Marketing 81,690.30 81,800.00 9.99 11189382 Marketing 61,733.13 61,800.00 10.99 11177465 Marketing 69,720.46 69,800.00 10.75 11211242 Marketing 78,888.54 79,000.00 9.75 11199607 Marketing 104,807.82 105,000.00 8.5 11211057 Marketing 89,866.30 90,000.00 10.875 11228429 Marketing 25,555.48 25,600.00 8.75 11215766 Marketing 114,828.97 115,000.00 9.5 11206569 Marketing 122,817.06 123,000.00 9.5 11231190 Marketing 64,874.81 65,000.00 8.25 11200998 Marketing 68,424.01 68,500.00 10.875 11224780 Marketing 36,935.67 37,000.00 8.75 11201656 Marketing 37,334.96 37,400.00 8.75 11223414 Marketing 73,900.75 74,000.00 9.99 11209406 Marketing 84,836.27 85,000.00 8.25 11209247 Marketing 66,923.65 67,000.00 10.75 11202206 Marketing 90,020.41 90,200.00 9.5 11221089 Marketing 76,876.75 76,980.00 9.99 11199605 Marketing 28,448.81 28,500.00 9.99 11208562 Marketing 93,542.04 93,800.00 8.95 11198140 Marketing 66,993.12 68,000.00 9.5 11208703 Marketing 61,725.68 61,800.00 10.5 11188905 Marketing 130,688.60 131,800.00 10.875 11215599 Marketing 129,806.65 130,000.00 9.5 11165783 Marketing 47,431.19 47,500.00 10.99 11200751 Marketing 41,943.67 42,000.00 9.99 11207263 Marketing 56,887.79 57,000.00 10.25 11197822 Additional 199,678.25 200,000.00 9.125 11227995 Additional 22,968.17 22,999.00 9.99 11200546 Marketing 30,568.71 30,600.00 11.25 11208313 Marketing 59,918.58 59,980.00 11.25 11211633 Marketing 20,919.50 21,000.00 9.45 11224252 Marketing 68,890.35 69,000.00 10.875 11212668 Marketing 36,717.41 36,790.00 11.5 11234979 Additional 20,963.49 21,000.00 8.75 11193638 Marketing 111,752.62 111,980.00 7.99 11211321 Marketing 82,440.86 82,600.00 8.25 11230796 Marketing 32,629.11 32,674.00 9.875 11222333 Marketing 109,818.02 110,000.00 8.99 11221401 Marketing 40,456.20 40,500.00 10.99 11225338 Marketing 34,950.63 35,000.00 9.75 11214156 Marketing 48,941.08 49,000.00 10.5 11209722 Marketing 25,973.41 26,000.00 11.25 11228937 Marketing 44,624.32 44,670.00 11.25 11210500 Marketing 104,928.41 106,000.00 9.99 11203403 Marketing 28,961.12 29,000.00 9.99 11220879 Marketing 56,588.72 56,650.00 10.99 11222228 Marketing 40,882.15 40,924.00 11.25 11215724 Marketing 79,873.31 80,000.00 9.2 11212622 Marketing 74,934.84 75,000.00 11.99 11226884 Marketing 41,138.73 41,200.00 9.5 11187995 Marketing 72,925.37 73,000.00 11.25 11209900 Marketing 96,883.33 97,000.00 10.5 11194230 Marketing 66,309.05 66,400.00 11.25 11212782 Marketing 73,910.99 74,000.00 10.5 11216603 Marketing 74,167.63 74,250.00 10.875 11206608 Marketing 25,026.17 25,080.00 10.25 11216356 Marketing 84,501.47 84,600.00 10.875 11203237 Marketing 21,655.95 21,680.00 10.875 11213394 Marketing 15,071.64 15,200.00 8.75 11203005 Marketing 15,139.17 15,160.00 9.875 11234508 Marketing 61,801.00 62,000.00 9.5 11203860 Marketing 45,314.22 45,400.00 9.75 11222505 Marketing 129,749.59 130,000.00 8.25 11208954 Marketing 70,904.79 71,000.00 9.99 11209140 Marketing 25,953.87 26,000.00 8.75 11200697 Marketing 106,881.32 107,000.00 10.875 11204346 Marketing 36,156.45 36,200.00 10.5 11220124 Marketing 33,883.31 33,920.00 10.99 11216009 Marketing 93,852.69 94,000.00 9.25 11212153 Marketing 102,876.13 103,000.00 10.5 11216024 Marketing 25,948.24 26,000.00 9.5 11215619 Marketing 33,937.77 34,000.00 8.5 11212713 Marketing 39,147.43 39,200.00 9.99 11226789 Additional 87,869.12 88,000.00 9.5 11211941 Marketing 49,533.48 49,600.00 9.99 11202982 Marketing 72,938.50 73,050.00 10.75 11223312 Marketing 125,860.25 126,000.00 10.875 11182041 Marketing 19,464.12 19,500.00 9.875 11226658 Additional 47,796.93 47,850.00 10.875 11214125 Marketing 67,288.49 67,400.00 8.99 11211994 Marketing 79,881.02 80,000.00 9.5 11206469 Additional 155,398.50 155,800.00 8.25 11202437 Marketing 101,813.31 102,000.00 8.5 11205297 Marketing 44,909.50 44,980.00 9.25 11203645 Marketing 58,938.02 59,000.00 11.125 11207624 Marketing 44,951.30 45,000.00 10.99 11199668 Marketing 75,915.69 76,000.00 10.875 11223914 Marketing 66,900.36 67,000.00 9.5 11213574 Marketing 55,311.69 55,400.00 9.25 11200430 Marketing 57,930.24 58,000.00 10.5 11210766 Marketing 19,362.62 19,400.00 8.25 11215070 Marketing 31,439.32 31,500.00 8.25 11228957 Marketing 32,534.10 32,600.00 9.75 11184323 Marketing 26,970.80 27,000.00 10.99 11214967 Marketing 16,653.86 16,680.00 9.25 11199007 Marketing 79,835.25 80,000.00 8.99 11219547 Additional 134,799.19 135,000.00 9.5 11232610 Marketing 149,639.39 149,900.00 8.75 11216572 Marketing 94,872.60 95,000.00 9.99 11139942 Marketing 65,300.17 65,400.00 10.75 11167392 Marketing 53,929.96 54,000.00 11.5 11213978 Marketing 38,932.21 39,000.00 8.75 11211768 Marketing 43,127.19 43,200.00 8.9 11212807 Marketing 99,873.13 100,000.00 10.25 11229080 Marketing 107,655.43 107,800.00 9.99 11217779 Marketing 69,906.13 70,000.00 9.99 11231755 Marketing 38,935.49 39,000.00 8.99 11209570 Additional 15,357.14 15,380.00 9.5 11208332 Marketing 79,872.74 79,980.00 9.99 11233596 Marketing 61,533.34 61,600.00 10.99 11223525 Additional 25,051.40 25,080.00 10.75 11208694 Marketing 41,906.27 42,000.00 8.99 Loanid ORATE PANDI OTERM CORTERM FPDATE - ------------------------------------------------------------------------------------------------------------------------ 11169592 5.15 2,375.21 360 355 5/1/2005 11204530 0 1,548.54 360 357 7/1/2005 11210834 6.99 722.3 360 357 7/1/2005 11224524 5.75 868.36 360 357 7/1/2005 11216679 6.75 1,665.26 360 357 7/1/2005 11221148 0 332.65 360 357 7/1/2005 11204200 6.925 1,346.96 360 357 7/1/2005 11222367 6.95 1,378.94 360 357 7/1/2005 11188976 6.275 4,012.74 360 356 6/1/2005 11188236 6.475 534.19 360 356 6/1/2005 11169081 6.75 1,046.25 360 357 7/1/2005 11218752 6 3,069.70 360 357 7/1/2005 11211274 6.325 801.17 360 357 7/1/2005 11227400 5.375 1,091.94 360 356 6/1/2005 11202069 6.525 3,100.62 360 356 6/1/2005 11214149 8.35 341.24 360 357 7/1/2005 11207767 7.6 355.86 360 356 6/1/2005 11205586 6.825 2,331.88 360 356 6/1/2005 11190148 9.925 997.61 360 356 6/1/2005 11198856 8.2 2,206.59 360 357 7/1/2005 11231706 7.875 1,421.14 360 357 7/1/2005 11230373 9.075 482.77 360 356 6/1/2005 11215369 0 1,080.84 360 357 7/1/2005 11203652 6.8 2,268.70 360 356 6/1/2005 11210622 8.675 1,843.99 360 357 7/1/2005 11168652 7.99 2,024.13 360 356 6/1/2005 11213185 6.5 1,030.40 360 357 7/1/2005 11197395 7.275 1,652.52 360 356 6/1/2005 11178194 6.5 1,649.70 360 355 5/1/2005 11198203 7.3 1,398.56 360 357 7/1/2005 11198583 6.95 2,412.44 360 357 7/1/2005 11194055 6.7 1,858.40 360 356 6/1/2005 11197985 7.125 959.38 360 356 6/1/2005 11202684 6.65 731.84 360 357 7/1/2005 11227525 7 706.55 360 357 7/1/2005 11205496 6.9 1,351.20 360 357 7/1/2005 11210976 7.7 473.41 360 357 7/1/2005 11188238 6.55 1,096.00 360 357 7/1/2005 11202470 6.25 552.08 360 357 7/1/2005 11206820 7.825 2,434.14 360 357 7/1/2005 11212665 6.15 1,825.66 360 357 7/1/2005 11190748 7.275 875.36 360 356 6/1/2005 11229976 5.75 1,341.67 360 357 7/1/2005 11181528 6.8 2,555.55 360 356 6/1/2005 11212745 0 1,060.09 360 357 7/1/2005 11226417 6.825 732.02 360 357 7/1/2005 11206475 0 862.96 360 357 7/1/2005 11204139 0 1,301.79 360 357 7/1/2005 11200964 7.25 1,079.77 360 357 7/1/2005 11200997 5.99 1,323.59 360 356 6/1/2005 11187324 7.625 2,405.05 360 356 6/1/2005 11226229 6.65 1,345.56 360 357 7/1/2005 11230400 7.275 656.52 360 357 7/1/2005 11196182 6.45 962.04 360 356 6/1/2005 11225549 6.75 1,050.73 360 357 7/1/2005 11216937 5.8 1,150.04 360 357 7/1/2005 11210440 6.875 877.66 360 357 7/1/2005 11222184 6.875 1,313.86 360 357 7/1/2005 11219993 6.75 3,580.31 360 357 7/1/2005 11223735 6.625 1,758.90 360 357 7/1/2005 11226384 7.25 573.03 360 357 7/1/2005 11185470 6.25 1,235.99 360 357 7/1/2005 11228465 7.99 653.9 360 357 7/1/2005 11214041 6.67 512.98 360 357 7/1/2005 11228811 7.25 2,455.83 360 357 7/1/2005 11190878 0 4,128.28 360 356 6/1/2005 11210070 7.2 2,405.63 360 357 7/1/2005 11226006 7.375 1,459.92 360 357 7/1/2005 11213994 7.175 492.93 360 357 7/1/2005 11200733 8.5 525.94 360 357 7/1/2005 11224915 5.325 2,591.50 360 357 7/1/2005 11204287 5.9 593.14 360 356 6/1/2005 11210136 6.399 1,706.40 360 357 7/1/2005 11214648 6.05 1,734.33 360 357 7/1/2005 11217630 7.325 1,939.66 360 357 7/1/2005 11201105 6.126 2,755.98 360 357 7/1/2005 11205939 6.375 1,176.21 360 356 6/1/2005 11231196 6.475 1,734.42 360 357 7/1/2005 11221503 6.525 1,723.70 360 357 7/1/2005 11209790 7.99 1,219.82 360 357 7/1/2005 11214762 6.99 1,528.65 360 357 7/1/2005 11230208 6.5 1,703.54 360 357 7/1/2005 11197282 6.25 3,038.54 360 357 7/1/2005 11220104 0 919.76 360 357 7/1/2005 11206554 5.45 1,090.00 360 357 7/1/2005 11222843 6.525 689.48 360 357 7/1/2005 11176575 6.25 689.6 360 356 6/1/2005 11196148 5.95 720.38 360 357 7/1/2005 11222031 7.5 1,538.27 360 357 7/1/2005 11155550 0 1,107.24 360 356 6/1/2005 11210668 6.75 2,117.02 360 357 7/1/2005 11201777 7.575 1,774.98 360 356 6/1/2005 11179216 6.875 3,738.28 360 357 7/1/2005 11212949 5.5 931.17 360 357 7/1/2005 11203410 0 2,605.35 360 357 7/1/2005 11211767 0 993.76 360 357 7/1/2005 11206631 6.55 711.6 360 356 6/1/2005 11216258 7.75 1,045.96 360 357 7/1/2005 11220387 6.425 899.95 360 358 8/1/2005 11201930 8.6 749.97 360 356 6/1/2005 11226403 6.99 1,787.63 360 357 7/1/2005 11206772 10.55 487.71 360 356 6/1/2005 11211025 8.99 1,985.64 360 357 7/1/2005 11212101 0 1,080.84 360 356 6/1/2005 11183875 0 967 360 356 6/1/2005 11204783 6.37 1,982.20 360 356 6/1/2005 11220110 6.99 2,044.57 360 357 7/1/2005 11187427 6.25 608.82 360 357 7/1/2005 11174291 6.99 1,718.37 360 357 7/1/2005 11225660 7.55 1,572.36 360 357 7/1/2005 11215786 5.575 732.8 360 357 7/1/2005 11202714 6.525 801.01 360 357 7/1/2005 11214437 7.2 1,071.81 360 357 7/1/2005 11223302 5.625 2,406.55 360 357 7/1/2005 11224551 6.7 1,428.89 360 357 7/1/2005 11198804 7.575 1,098.80 360 357 7/1/2005 11215594 6.75 1,094.51 360 357 7/1/2005 11214300 6.85 1,709.59 360 357 7/1/2005 11225419 7 2,333.33 360 357 7/1/2005 11225609 6.901 2,579.86 360 357 7/1/2005 11168291 8.75 802.43 360 356 6/1/2005 11225989 0 766.97 360 357 7/1/2005 11183045 8.475 1,047.15 360 356 6/1/2005 11182753 7.25 1,855.52 360 357 7/1/2005 11200006 6.551 1,880.39 360 356 6/1/2005 11185286 8.175 1,171.11 360 357 7/1/2005 11191480 5.99 1,916.80 360 356 6/1/2005 11226162 6.95 1,527.21 360 357 7/1/2005 11165452 5.25 1,910.39 360 356 6/1/2005 11206701 5.625 704.66 360 357 7/1/2005 11210296 6.5 1,191.67 360 357 7/1/2005 11209767 7 2,128.97 360 357 7/1/2005 11203281 7.25 1,569.01 360 357 7/1/2005 11218559 7.925 2,010.78 360 357 7/1/2005 11192200 7.99 1,288.37 360 356 6/1/2005 11207307 5.95 238.54 360 357 7/1/2005 11202140 8.175 1,128.70 360 357 7/1/2005 11183348 5.625 1,087.50 360 356 6/1/2005 11203114 0 1,991.12 360 356 6/1/2005 11207740 7.4 1,051.86 360 357 7/1/2005 11176980 6.825 2,196.07 360 357 7/1/2005 11208038 7.875 2,066.45 360 357 7/1/2005 11201939 5.7 646 360 356 6/1/2005 11214505 6.875 3,793.76 360 357 7/1/2005 11226731 7.825 2,690.13 360 357 7/1/2005 11200652 7.25 1,812.50 360 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11226181 6.99 1,512.04 360 357 7/1/2005 11196149 5.675 2,116.47 360 357 7/1/2005 11196994 5.375 689.92 360 357 7/1/2005 11134605 9.615 560.51 360 353 3/1/2005 11213597 6.275 1,307.58 360 357 7/1/2005 11201579 5.625 2,495.68 360 357 7/1/2005 11171964 6.99 1,602.96 360 356 6/1/2005 11219754 0 1,978.45 360 357 7/1/2005 11206536 5.99 1,389.18 360 356 6/1/2005 11215790 0 443.34 360 357 7/1/2005 11174290 7.075 1,035.02 360 355 5/1/2005 11206254 5.675 860.71 360 356 6/1/2005 11197750 8.4 411.39 360 356 6/1/2005 11221876 5.625 1,582.03 360 357 7/1/2005 11216552 6.625 767.4 360 355 5/1/2005 11200606 5.5 1,397.92 360 357 7/1/2005 11196755 6.49 1,849.65 360 357 7/1/2005 11202099 6.05 1,306.80 360 356 6/1/2005 11186091 0 2,028.33 360 356 6/1/2005 11216188 10.05 486.9 360 357 7/1/2005 11224170 5.75 3,268.01 360 357 7/1/2005 11210921 5.951 1,137.35 360 357 7/1/2005 11217482 0 583.18 180 177 7/1/2005 11215973 6.99 1,724.20 360 357 7/1/2005 11207494 7.84 2,131.79 360 356 6/1/2005 11230131 9.5 340.55 360 357 7/1/2005 11230932 6.75 621 360 357 7/1/2005 11212482 6.375 1,615.00 360 357 7/1/2005 11229166 5.99 1,094.50 360 357 7/1/2005 11206486 6.6 648.88 360 357 7/1/2005 11231991 0 837.99 360 356 6/1/2005 11187955 7.825 809.64 360 356 6/1/2005 11219179 0 1,036.59 360 357 7/1/2005 11202498 0 1,748.64 360 357 7/1/2005 11222387 6.225 984.8 360 357 7/1/2005 11202732 5.99 646.46 360 357 7/1/2005 11148687 6.25 1,520.83 360 355 5/1/2005 11218368 7.075 2,813.47 360 357 7/1/2005 11217112 7.125 564.85 360 357 7/1/2005 11208159 0 1,537.29 360 357 7/1/2005 11187776 6.85 856.78 360 356 6/1/2005 11217822 6 2,096.00 360 357 7/1/2005 11224131 6.5 1,258.83 360 357 7/1/2005 11199288 6.7 973.05 360 356 6/1/2005 11217406 0 1,644.04 360 357 7/1/2005 11198496 7.25 545.74 360 357 7/1/2005 11203944 0 776.72 360 357 7/1/2005 11189520 7.875 1,925.06 360 357 7/1/2005 11212880 6.55 1,270.72 360 357 7/1/2005 11232688 6.35 1,078.18 360 357 7/1/2005 11192531 8.125 766.72 360 357 7/1/2005 11199366 6.25 687.5 360 357 7/1/2005 11217750 6.45 2,672.33 360 357 7/1/2005 11170117 7.45 417.48 360 356 6/1/2005 11199255 5.575 595.4 360 356 6/1/2005 11199301 6.775 795.92 360 357 7/1/2005 11215725 7.275 1,312.49 360 357 7/1/2005 11226610 6.65 1,258.25 360 357 7/1/2005 11204140 7.8 449.2 360 357 7/1/2005 11192810 8.125 458.49 360 356 6/1/2005 11175942 6.025 2,957.70 360 357 7/1/2005 11227511 5.375 1,967.25 360 357 7/1/2005 11186635 5.75 735.62 360 357 7/1/2005 11224048 6.25 750.63 360 357 7/1/2005 11225785 8.7 704.82 360 357 7/1/2005 11203486 7.25 2,175.00 360 357 7/1/2005 11214191 0 1,661.58 360 357 7/1/2005 11196749 5.99 1,777.03 360 356 6/1/2005 11157876 6.375 1,106.33 360 356 6/1/2005 11205605 6.99 1,378.44 360 357 7/1/2005 11229960 6.325 639.75 360 357 7/1/2005 11223341 7.99 862.09 360 357 7/1/2005 11201032 7.875 619.07 360 357 7/1/2005 11192823 6.825 1,789.27 360 357 7/1/2005 11220061 9.3 793.66 360 357 7/1/2005 11221344 5.374 1,218.11 360 357 7/1/2005 11171831 0 1,595.92 360 356 6/1/2005 11189580 8.575 1,540.73 360 356 6/1/2005 11207034 6.375 1,457.58 360 356 6/1/2005 11216268 6.99 1,871.43 360 357 7/1/2005 11220096 6.95 3,130.60 360 357 7/1/2005 11200119 0 1,091.63 360 356 6/1/2005 11187089 0 574.68 360 356 6/1/2005 11225117 6.875 2,791.95 360 357 7/1/2005 11212791 6.99 814.37 360 357 7/1/2005 11230236 6.725 1,656.09 360 357 7/1/2005 11204552 6.39 604.86 360 356 6/1/2005 11216319 7.4 1,015.08 360 357 7/1/2005 11196972 8.125 1,869.69 360 357 7/1/2005 11199619 6.99 3,567.81 360 356 6/1/2005 11226915 0 4,236.10 360 357 7/1/2005 11193448 0 409.4 360 357 7/1/2005 11180582 0 1,095.70 360 355 5/1/2005 11199610 5.925 3,784.10 360 357 7/1/2005 11182483 6.875 1,245.61 360 355 5/1/2005 11200125 6.775 1,066.43 360 357 7/1/2005 11227241 6.41 529.89 360 357 7/1/2005 11192128 8.1 925.93 360 356 6/1/2005 11218386 8.99 4,702.83 360 357 7/1/2005 11224518 6.075 688.5 360 357 7/1/2005 11221952 6 1,131.95 360 357 7/1/2005 11237207 8.075 461.14 360 357 7/1/2005 11130824 6.65 1,499.63 360 354 4/1/2005 11224487 6.5 1,109.93 360 357 7/1/2005 11179556 6.425 1,499.17 360 356 6/1/2005 11211255 6.4 1,596.24 360 357 7/1/2005 11223320 6.99 584.34 360 357 7/1/2005 11160535 6.325 943.32 360 356 6/1/2005 11230434 6.925 900.25 360 357 7/1/2005 11212002 6.25 3,725.79 360 357 7/1/2005 11180173 6.99 675.47 360 356 6/1/2005 11215682 6.5 1,662.70 360 357 7/1/2005 11225763 6.65 1,386.64 360 357 7/1/2005 11212465 0 1,185.72 180 177 7/1/2005 11178536 9.25 734.24 360 354 4/1/2005 11215649 6.075 1,488.61 360 357 7/1/2005 11207332 0 1,576.63 360 357 7/1/2005 11230507 0 263.96 180 175 5/1/2005 11189668 0 2,320.80 360 357 7/1/2005 11215363 6.75 716.05 360 357 7/1/2005 11161984 8.675 1,300.95 360 356 6/1/2005 11219541 6.875 2,033.08 360 357 7/1/2005 11211386 6.575 708.35 360 357 7/1/2005 11222634 6.7 588.49 360 357 7/1/2005 11218596 8.99 1,701.47 360 357 7/1/2005 11207835 6.525 1,419.52 360 357 7/1/2005 11225817 6 1,103.17 360 357 7/1/2005 11215307 6.875 1,478.09 360 357 7/1/2005 11210380 7.325 721.63 360 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248.53 180 176 6/1/2005 11186131 0 332.06 180 176 6/1/2005 11190648 0 770.88 180 176 6/1/2005 11203051 0 129.77 180 176 6/1/2005 11167232 0 767.03 180 176 6/1/2005 11198343 0 429.65 180 176 6/1/2005 11197778 0 692.7 180 176 6/1/2005 11177708 0 250.77 180 176 6/1/2005 11216094 0 641.84 180 177 7/1/2005 11212855 0 745.85 180 177 7/1/2005 11191966 0 288.34 180 176 6/1/2005 11197131 0 1,537.83 180 176 6/1/2005 11204040 0 709.02 180 176 6/1/2005 11216792 0 145.69 180 177 7/1/2005 11200712 0 790.4 180 177 7/1/2005 11232850 0 739.59 180 177 7/1/2005 11218841 0 275.95 180 177 7/1/2005 11197142 0 288.48 180 177 7/1/2005 11206835 0 561.17 180 177 7/1/2005 11216672 0 366.88 180 177 7/1/2005 11214633 0 717.25 180 177 7/1/2005 11189382 0 588.07 180 177 7/1/2005 11177465 0 651.57 180 177 7/1/2005 11211242 0 678.73 180 177 7/1/2005 11199607 0 807.36 180 177 7/1/2005 11211057 0 848.6 180 176 6/1/2005 11228429 0 201.4 180 177 7/1/2005 11215766 0 966.98 180 177 7/1/2005 11206569 0 1,034.25 180 177 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86,000.00 86,000.00 11197014 90 392,000.00 392,000.00 11213110 100 263,000.00 263,000.00 11209127 60 500,000.00 500,000.00 11226307 100 143,500.00 143,500.00 11211457 54.32 810,000.00 810,000.00 11230024 43.48 115,000.00 115,000.00 11198225 100 375,000.00 375,000.00 11200334 100 150,000.00 150,000.00 11203463 79.55 220,000.00 220,000.00 11219702 100 296,000.00 296,000.00 11193936 100 485,000.00 485,000.00 11197534 95 500,000.00 500,000.00 11200735 100 218,700.00 218,700.00 11214519 95 190,000.00 190,000.00 11199053 100 95,500.00 95,500.00 11231742 100 485,000.00 485,000.00 11235294 89.91 322,000.00 322,000.00 11191065 90 420,000.00 420,000.00 11176186 80 230,000.00 230,000.00 11199493 90 65,000.00 65,000.00 11205853 79.26 135,000.00 135,000.00 11200649 100 238,000.00 238,000.00 11226740 100 334,900.00 334,900.00 11216730 80 1,100,000.00 1,100,000.00 11205640 100 470,000.00 470,000.00 11184747 100 419,000.00 419,000.00 11237697 95 345,000.00 345,000.00 11219628 100 255,000.00 255,000.00 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280,000.00 280,000.00 11175735 95 199,950.00 199,950.00 11214630 89 850,000.00 850,000.00 11224133 90 500,000.00 500,000.00 11218964 100 185,000.00 185,000.00 11174043 100 80,000.00 80,000.00 11217931 100 135,000.00 135,000.00 11187668 100 93,500.00 93,500.00 11198999 80 190,000.00 190,000.00 11206020 100 215,000.00 215,000.00 11209745 90 136,700.00 136,700.00 11201153 100 160,000.00 160,000.00 11208688 100 156,200.00 156,200.00 11204561 74.26 202,000.00 202,000.00 11211322 100 365,000.00 365,000.00 11218089 100 600,000.00 600,000.00 11203871 95 464,000.00 464,000.00 11172903 59.25 400,000.00 400,000.00 11213630 100 175,000.00 175,000.00 11203997 100 122,234.00 122,234.00 11197049 80 240,000.00 240,000.00 11182578 100 275,000.00 275,000.00 11206702 100 365,000.00 365,000.00 11202395 100 300,000.00 300,000.00 11188291 100 369,900.00 369,900.00 11199666 85 340,000.00 340,000.00 11203808 100 140,000.00 140,000.00 11228526 80 195,000.00 195,000.00 11196389 100 479,177.00 479,177.00 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450,000.00 450,000.00 11230309 100 208,000.00 208,000.00 11219908 90 420,000.00 420,000.00 11204153 100 342,000.00 342,000.00 11216500 100 256,000.00 256,000.00 11151319 100 95,000.00 95,000.00 11207258 100 511,000.00 511,000.00 11206960 80 255,000.00 255,000.00 11197360 100 125,000.00 125,000.00 11182901 90 95,000.00 95,000.00 11201457 90 95,000.00 95,000.00 11223424 100 147,900.00 147,900.00 11205569 100 330,491.00 330,491.00 11192862 80 890,000.00 890,000.00 11208767 100 380,000.00 380,000.00 11198861 100 140,000.00 140,000.00 11195802 90 210,000.00 210,000.00 11196275 100 150,000.00 150,000.00 11232921 100 344,000.00 344,000.00 11204204 33.79 203,900.00 203,900.00 11187205 54 1,000,000.00 1,000,000.00 11192988 80.36 275,000.00 275,000.00 11188181 100 120,000.00 120,000.00 11218463 100 107,000.00 107,000.00 11200357 100 464,000.00 464,000.00 11206086 90 101,000.00 101,000.00 11173173 48.43 350,990.00 350,990.00 11165762 100 130,000.00 130,000.00 11203024 53.7 270,000.00 270,000.00 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575,000.00 575,000.00 11223993 100 177,000.00 177,000.00 11181143 75.29 340,000.00 340,000.00 11217026 100 775,000.00 775,000.00 11186146 42.55 235,000.00 235,000.00 11223583 90 220,000.00 220,000.00 11162886 100 382,000.00 382,000.00 11191344 100 155,000.00 155,000.00 11170933 100 485,000.00 485,000.00 11211507 100 210,000.00 210,000.00 11195976 100 185,000.00 185,000.00 11194720 85 300,000.00 300,000.00 11212049 100 437,000.00 437,000.00 11196240 79.49 156,000.00 156,000.00 11182725 85 177,000.00 177,000.00 11199800 100 124,000.00 124,000.00 11224650 87.48 535,000.00 535,000.00 11214029 80 328,000.00 328,000.00 11220162 100 560,000.00 560,000.00 11201369 94 330,000.00 330,000.00 11217896 100 360,000.00 360,000.00 11173833 100 398,000.00 398,000.00 11202639 85 256,000.00 256,000.00 11166406 100 139,407.00 139,407.00 11223007 100 263,000.00 263,000.00 11213799 90 485,000.00 485,000.00 11205847 95 159,000.00 159,000.00 11208360 100 215,000.00 215,000.00 11216274 100 410,000.00 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11205040 61.41 325,680.00 325,680.00 11220749 90 390,000.00 390,000.00 11221497 100 200,000.00 200,000.00 11221589 100 133,226.00 133,226.00 11233445 93.89 655,000.00 655,000.00 11167897 100 595,000.00 595,000.00 11204751 100 289,500.00 289,500.00 11172528 73.67 150,000.00 150,000.00 11225947 100 210,360.00 210,360.00 11220562 100 411,890.00 411,890.00 11208111 100 152,000.00 152,000.00 11212390 90 495,000.00 495,000.00 11208255 95 152,000.00 152,000.00 11192947 89.74 195,000.00 195,000.00 11194821 100 140,000.00 140,000.00 11224696 90 56,000.00 56,000.00 11223284 60 164,000.00 164,000.00 11216667 100 97,000.00 97,000.00 11202610 100 128,000.00 128,000.00 11195416 100 289,000.00 289,000.00 11184674 100 540,000.00 540,000.00 11196984 100 108,000.00 108,000.00 11204826 100 426,650.00 426,650.00 11179365 70.83 600,000.00 600,000.00 11222613 90 70,000.00 70,000.00 11207501 65 86,250.00 86,250.00 11194145 100 250,000.00 250,000.00 11172792 100 514,000.00 514,000.00 11216351 100 281,503.00 281,503.00 11227561 100 285,000.00 285,000.00 11228035 79.83 71,400.00 71,400.00 11204985 95 155,000.00 155,000.00 11206224 58.95 475,000.00 475,000.00 11212565 100 263,400.00 263,400.00 11201317 100 164,000.00 164,000.00 11218918 83.16 213,177.00 213,177.00 11204207 100 644,900.00 644,900.00 11209706 100 125,000.00 125,000.00 11186799 77.22 395,000.00 395,000.00 11198975 100 569,000.00 569,000.00 11198495 100 270,000.00 270,000.00 11211250 90 243,000.00 243,000.00 11168533 100 800,000.00 800,000.00 11182170 80 140,000.00 140,000.00 11189493 100 142,900.00 142,900.00 11222312 95 232,900.00 232,900.00 11224430 100 338,000.00 338,000.00 11175610 100 75,000.00 75,000.00 11232496 95 500,000.00 500,000.00 11171051 95 330,000.00 330,000.00 11199182 100 339,000.00 339,000.00 11217425 87.09 302,000.00 302,000.00 11163881 95 700,000.00 700,000.00 11206027 100 250,000.00 250,000.00 11196655 100 353,500.00 353,500.00 11223497 100 643,000.00 643,000.00 11225882 100 175,000.00 175,000.00 11183326 67.35 245,000.00 245,000.00 11201389 100 470,000.00 470,000.00 11180460 100 125,000.00 125,000.00 11188509 85 100,000.00 100,000.00 11178621 95 222,000.00 222,000.00 11210446 100 440,000.00 440,000.00 11213492 83.87 333,000.00 333,000.00 11210492 77.78 360,000.00 360,000.00 11177851 100 305,000.00 305,000.00 11224382 100 650,000.00 650,000.00 11078858 75 510,000.00 510,000.00 11187194 100 510,000.00 510,000.00 11204406 90 183,000.00 183,000.00 11219436 100 629,000.00 629,000.00 11228115 75 535,000.00 535,000.00 11195568 100 233,700.00 233,700.00 11194956 85 241,000.00 241,000.00 11196930 100 564,000.00 564,000.00 11231397 70.59 170,000.00 170,000.00 11210786 75 125,000.00 125,000.00 11214649 43.75 400,000.00 400,000.00 11212490 70.22 450,000.00 450,000.00 11184963 100 363,000.00 363,000.00 11201288 100 86,000.00 86,000.00 11219259 100 220,000.00 220,000.00 11178597 70 366,000.00 366,000.00 11196936 100 345,000.00 345,000.00 11205209 79.6 603,000.00 603,000.00 11177442 95 104,954.00 104,954.00 11223251 100 490,000.00 490,000.00 11200585 87.72 285,000.00 285,000.00 11175570 100 255,000.00 255,000.00 11221390 100 680,000.00 680,000.00 11205480 100 136,500.00 136,500.00 11206797 72.8 364,000.00 364,000.00 11223224 100 249,157.00 249,157.00 11207593 80 590,000.00 590,000.00 11208477 100 879,999.00 879,999.00 11223542 75 293,000.00 293,000.00 11204505 100 274,000.00 274,000.00 11175458 100 150,000.00 150,000.00 11215163 78.88 206,000.00 206,000.00 11156578 100 145,000.00 145,000.00 11152427 75 265,000.00 265,000.00 11235081 100 171,600.00 171,600.00 11217780 90 225,000.00 225,000.00 11179821 80 237,000.00 237,000.00 11183306 100 200,000.00 200,000.00 11197222 85 515,000.00 515,000.00 11211579 100 156,000.00 156,000.00 11231512 100 154,100.00 154,100.00 11220994 95 575,000.00 575,000.00 11220409 90 410,000.00 410,000.00 11227544 100 275,000.00 275,000.00 11221721 100 99,900.00 99,900.00 11205389 68.15 135,000.00 135,000.00 11201472 81.82 330,000.00 330,000.00 11222203 100 250,000.00 250,000.00 11206738 90 230,000.00 230,000.00 11199940 100 195,965.00 195,965.00 11218639 89.07 375,000.00 375,000.00 11204947 100 600,000.00 600,000.00 11209758 100 530,000.00 530,000.00 11212122 100 503,000.00 503,000.00 11215381 100 290,000.00 290,000.00 11206670 68.89 450,000.00 450,000.00 11199507 86.76 136,000.00 136,000.00 11179844 83.1 180,500.00 180,500.00 11186961 100 238,000.00 238,000.00 11214417 85 700,000.00 700,000.00 11224532 64.5 169,000.00 169,000.00 11207177 95 405,000.00 405,000.00 11212112 100 185,000.00 185,000.00 11231679 100 150,000.00 150,000.00 11192466 100 221,665.00 221,665.00 11155643 95 210,000.00 210,000.00 11185802 100 126,000.00 126,000.00 11181590 100 570,000.00 570,000.00 11206388 100 399,000.00 399,000.00 11202705 100 246,581.00 246,581.00 11191511 90 270,000.00 270,000.00 11169448 100 259,000.00 259,000.00 11211075 100 221,000.00 221,000.00 11198516 100 279,500.00 279,500.00 11173309 70 1,100,000.00 1,100,000.00 11215491 90 765,000.00 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83.12 237,000.00 237,000.00 11186189 80 355,000.00 355,000.00 11160457 90.98 410,000.00 410,000.00 11198375 100 185,500.00 185,500.00 11214671 100 236,000.00 236,000.00 11165745 90 585,000.00 585,000.00 11230467 100 110,000.00 110,000.00 11222918 57.47 716,000.00 716,000.00 11217805 55.56 360,000.00 360,000.00 11181257 95 370,000.00 370,000.00 11204715 80 280,000.00 280,000.00 11199209 100 81,800.00 81,800.00 11159787 90 345,000.00 345,000.00 11190407 100 469,000.00 469,000.00 11216535 100 362,000.00 362,000.00 11205091 78.89 727,000.00 727,000.00 11205577 55.56 180,000.00 180,000.00 11185777 85 440,000.00 440,000.00 11208051 100 500,000.00 500,000.00 11212581 100 115,000.00 115,000.00 11204497 100 241,000.00 241,000.00 11220204 85 168,000.00 168,000.00 11196176 85 525,000.00 525,000.00 11190188 83.8 284,000.00 284,000.00 11206681 74.8 254,000.00 254,000.00 11227314 100 490,000.00 490,000.00 11168885 100 190,000.00 190,000.00 11146755 90 66,000.00 66,000.00 11193981 90 237,000.00 237,000.00 11215710 100 359,000.00 359,000.00 11182207 100 108,000.00 108,000.00 11218989 100 155,200.00 155,200.00 11192740 90 119,900.00 119,900.00 11207802 100 300,000.00 300,000.00 11214533 100 131,000.00 131,000.00 11206280 100 220,000.00 220,000.00 11214793 100 77,000.00 77,000.00 11221091 95 200,000.00 200,000.00 11208250 100 340,000.00 340,000.00 11205623 100 620,000.00 620,000.00 11217926 100 320,000.00 320,000.00 11216249 80 209,900.00 209,900.00 11216489 100 119,000.00 119,000.00 11187962 90 315,000.00 315,000.00 11223157 89.94 315,000.00 315,000.00 11214172 90 110,000.00 110,000.00 11211854 100 122,000.00 122,000.00 11225020 100 180,990.00 180,990.00 11165163 100 640,000.00 640,000.00 11198770 100 79,000.00 79,000.00 11214370 100 273,083.00 273,083.00 11214652 95 208,000.00 208,000.00 11210395 100 455,000.00 455,000.00 11220723 100 280,211.00 280,211.00 11226763 95 255,000.00 255,000.00 11216217 76.92 130,000.00 130,000.00 11197987 100 200,000.00 200,000.00 11201077 75 150,000.00 150,000.00 11195700 100 324,900.00 324,900.00 11177356 100 288,000.00 288,000.00 11193776 100 154,500.00 154,500.00 11215105 100 260,000.00 260,000.00 11212167 100 425,000.00 425,000.00 11214585 100 450,000.00 450,000.00 11222732 84.55 246,000.00 246,000.00 11236512 100 168,900.00 168,900.00 11195873 75 450,000.00 450,000.00 11220791 93.16 585,000.00 585,000.00 11212115 100 123,000.00 123,000.00 11170671 90 195,000.00 195,000.00 11204828 100 420,000.00 420,000.00 11196391 100 270,000.00 270,000.00 11215045 80 145,000.00 145,000.00 11213602 66.32 475,000.00 475,000.00 11203421 90 305,000.00 305,000.00 11212186 90 485,000.00 485,000.00 11203581 95 420,000.00 420,000.00 11188010 100 159,900.00 159,900.00 11205974 93 285,000.00 285,000.00 11225146 88.71 619,990.00 619,990.00 11218004 100 401,000.00 401,000.00 11218293 90 214,000.00 214,000.00 11182572 95 83,500.00 83,500.00 11197669 100 562,500.00 562,500.00 11203671 38.17 262,000.00 262,000.00 11230294 100 264,900.00 264,900.00 11205702 100 130,000.00 130,000.00 11208317 100 490,000.00 490,000.00 11179402 85 81,000.00 81,000.00 11212487 100 220,000.00 220,000.00 11213896 100 314,500.00 314,500.00 11210367 100 165,000.00 165,000.00 11188423 100 63,000.00 63,000.00 11197890 95 280,000.00 280,000.00 11190628 95 155,000.00 155,000.00 11166045 89.03 155,000.00 155,000.00 11232231 100 325,000.00 325,000.00 11213113 66.36 535,000.00 535,000.00 11214893 90 130,000.00 130,000.00 11221430 68.97 725,000.00 725,000.00 11228791 69 465,000.00 465,000.00 11190994 100 157,000.00 157,000.00 11212120 100 565,000.00 565,000.00 11185453 100 255,000.00 255,000.00 11200634 100 132,500.00 132,500.00 11207904 100 340,000.00 340,000.00 11194497 87.7 315,000.00 315,000.00 11227057 100 650,000.00 650,000.00 11213977 37.5 480,000.00 480,000.00 11214137 86.84 114,000.00 114,000.00 11207119 100 369,678.00 369,678.00 11154528 100 204,000.00 204,000.00 11205826 100 128,500.00 128,500.00 11209782 64.01 464,000.00 464,000.00 11205309 97 141,000.00 141,000.00 11194829 57.01 301,700.00 301,700.00 11172274 80 132,000.00 132,000.00 11215198 67.88 358,000.00 358,000.00 11219563 85 227,000.00 227,000.00 11196081 100 220,000.00 220,000.00 11205914 90 412,500.00 412,500.00 11208787 98 186,000.00 186,000.00 11222831 80 912,214.00 912,214.00 11222014 100 110,300.00 110,300.00 11182668 57.68 560,000.00 560,000.00 11155517 100 415,000.00 415,000.00 11227067 100 372,000.00 372,000.00 11190873 95 600,000.00 600,000.00 11205012 85 360,000.00 360,000.00 11205246 100 94,000.00 94,000.00 11222588 83.25 285,000.00 285,000.00 11222851 78.77 292,000.00 292,000.00 11211230 100 300,000.00 300,000.00 11199703 100 162,500.00 162,500.00 11210356 80 132,000.00 132,000.00 11220328 75 286,000.00 286,000.00 11198700 90 130,000.00 130,000.00 11183171 90 340,000.00 340,000.00 11170942 90 1,000,000.00 1,000,000.00 11213374 100 510,000.00 510,000.00 11194156 100 298,275.00 298,275.00 11198757 100 170,000.00 170,000.00 11194356 53.66 410,000.00 410,000.00 11218285 100 373,000.00 373,000.00 11222310 100 187,000.00 187,000.00 11175276 100 799,500.00 799,500.00 11222019 89.7 165,000.00 165,000.00 11208627 80 304,000.00 304,000.00 11205704 100 215,000.00 215,000.00 11218085 100 62,000.00 62,000.00 11218507 70 850,000.00 850,000.00 11174786 100 320,000.00 320,000.00 11207256 83.19 235,000.00 235,000.00 11179172 90 583,000.00 583,000.00 11221435 11.52 217,000.00 217,000.00 11210019 100 635,000.00 635,000.00 11196414 100 182,000.00 182,000.00 11210401 80 785,000.00 785,000.00 11200210 83.58 239,000.00 239,000.00 11231579 84.92 252,000.00 252,000.00 11170940 100 300,000.00 300,000.00 11225247 84.97 153,000.00 153,000.00 11213307 100 282,500.00 282,500.00 11224416 72.22 144,000.00 144,000.00 11194155 85 220,000.00 220,000.00 11217859 100 118,500.00 118,500.00 11204169 80 188,000.00 188,000.00 11211710 100 159,000.00 159,000.00 11204809 100 320,000.00 320,000.00 11233410 100 327,000.00 327,000.00 11233289 94.97 283,250.00 283,250.00 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102,000.00 11185772 67.78 450,000.00 450,000.00 11214917 78.33 383,000.00 383,000.00 11224506 100 224,900.00 224,900.00 11206981 88.55 310,000.00 310,000.00 11181684 60 285,000.00 285,000.00 11207093 95 144,000.00 144,000.00 11208029 100 460,000.00 460,000.00 11193894 100 233,971.00 233,971.00 11234110 88.03 585,000.00 585,000.00 11220037 71.3 280,500.00 280,500.00 11206501 72.46 345,000.00 345,000.00 11195382 100 230,000.00 230,000.00 11209075 95 75,000.00 75,000.00 11225009 100 458,000.00 458,000.00 11214428 80 520,000.00 520,000.00 11193554 48.86 440,000.00 440,000.00 11221015 95 90,000.00 90,000.00 11217717 100 106,500.00 106,500.00 11224192 100 330,000.00 330,000.00 11215590 100 363,000.00 363,000.00 11196017 76.27 295,000.00 295,000.00 11213882 66.46 240,000.00 240,000.00 11210439 95 195,000.00 195,000.00 11208824 100 101,000.00 101,000.00 11210589 100 480,000.00 480,000.00 11181810 80 110,000.00 110,000.00 11209741 100 270,000.00 270,000.00 11206998 75.4 195,500.00 195,500.00 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255,000.00 255,000.00 11227909 80 141,000.00 141,000.00 11218297 60.62 485,000.00 485,000.00 11209725 100 429,500.00 429,500.00 11197648 95 657,750.00 657,750.00 11222490 60.44 455,000.00 455,000.00 11208101 75 225,000.00 225,000.00 11225736 100 355,000.00 355,000.00 11205877 100 475,000.00 475,000.00 11188667 79.81 317,000.00 317,000.00 11213122 85 360,000.00 360,000.00 11209755 90 400,000.00 400,000.00 11227388 100 350,000.00 350,000.00 11226207 100 610,000.00 610,000.00 11209200 100 476,500.00 476,500.00 11216738 68.75 160,000.00 160,000.00 11193129 100 750,000.00 750,000.00 11213408 95 116,000.00 116,000.00 11222539 100 354,000.00 354,000.00 11176015 100 419,900.00 419,900.00 11202664 100 73,000.00 73,000.00 11225063 90 900,000.00 900,000.00 11198004 100 600,000.00 600,000.00 11190370 86.5 237,000.00 237,000.00 11222372 90 187,500.00 187,500.00 11177899 44.78 335,000.00 335,000.00 11214458 92.31 390,000.00 390,000.00 11189979 100 124,000.00 124,000.00 11217996 100 400,000.00 400,000.00 11219553 100 180,000.00 180,000.00 11169662 100 255,000.00 255,000.00 11208948 100 430,000.00 430,000.00 11180766 100 376,000.00 376,000.00 11194390 95 741,000.00 741,000.00 11185611 100 250,000.00 250,000.00 11170534 85 118,000.00 118,000.00 11218779 90 330,000.00 330,000.00 11224944 87.45 255,000.00 255,000.00 11177619 100 795,000.00 795,000.00 11215263 84.75 295,000.00 295,000.00 11199020 100 186,000.00 186,000.00 11221581 100 575,000.00 575,000.00 11212509 90 220,000.00 220,000.00 11191822 100 133,328.00 133,328.00 11215860 100 144,900.00 144,900.00 11219763 100 317,000.00 317,000.00 11198185 80 228,000.00 228,000.00 11217829 100 160,000.00 160,000.00 11170466 90 172,000.00 172,000.00 11218246 100 310,000.00 310,000.00 11208476 90 400,000.00 400,000.00 11231440 95 410,000.00 410,000.00 11220813 100 290,000.00 290,000.00 11216698 100 217,675.00 217,675.00 11221732 84.07 455,000.00 455,000.00 11212188 95 298,000.00 298,000.00 11183759 100 749,990.00 749,990.00 11205350 95 270,000.00 270,000.00 11179080 75 138,000.00 138,000.00 11217098 75 405,000.00 405,000.00 11226194 80 270,000.00 270,000.00 11191655 100 360,000.00 360,000.00 11204482 100 165,000.00 165,000.00 11180135 100 525,000.00 525,000.00 11212203 100 169,000.00 169,000.00 11152773 90 226,939.00 226,939.00 11218578 90.24 205,000.00 205,000.00 11183261 71.53 137,000.00 137,000.00 11183896 100 410,000.00 410,000.00 11186353 100 214,000.00 214,000.00 11198565 100 358,000.00 358,000.00 11233385 100 375,000.00 375,000.00 11193138 100 115,000.00 115,000.00 11230617 80 165,000.00 165,000.00 11209027 77.33 150,000.00 150,000.00 11214056 90 170,000.00 170,000.00 11198559 100 172,000.00 172,000.00 11200255 44.94 445,000.00 445,000.00 11222651 100 40,000.00 40,000.00 11192452 90 135,000.00 135,000.00 11225831 70 320,000.00 320,000.00 11216117 100 345,000.00 345,000.00 11179278 80 552,500.00 552,500.00 11217477 100 215,000.00 215,000.00 11189252 90 80,000.00 80,000.00 11201217 95 167,000.00 167,000.00 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100 328,000.00 328,000.00 11209028 100 340,000.00 340,000.00 11217720 78.72 235,000.00 235,000.00 11224112 80 125,000.00 125,000.00 11168718 100 84,900.00 84,900.00 11220908 75 320,000.00 320,000.00 11214128 100 129,900.00 129,900.00 11215155 68.35 278,000.00 278,000.00 11229858 100 490,000.00 490,000.00 11194584 100 755,000.00 755,000.00 11225983 74.47 470,000.00 470,000.00 11209058 100 730,000.00 730,000.00 11216198 100 195,000.00 195,000.00 11205588 100 355,000.00 355,000.00 11218958 100 66,500.00 66,500.00 11224906 100 90,500.00 90,500.00 11210180 85 250,000.00 250,000.00 11220430 100 210,000.00 210,000.00 11202020 100 118,000.00 118,000.00 11219844 100 330,000.00 330,000.00 11203339 100 227,000.00 227,000.00 11219759 100 305,000.00 305,000.00 11196490 100 225,000.00 225,000.00 11222567 85 440,000.00 440,000.00 11223316 65.65 230,000.00 230,000.00 11214988 64.49 490,000.00 490,000.00 11156057 90 460,000.00 460,000.00 11177503 95 180,000.00 180,000.00 11159255 100 539,600.00 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485,000.00 485,000.00 11128000 95 80,000.00 80,000.00 11207222 100 200,000.00 200,000.00 11203515 100 374,000.00 374,000.00 11214741 100 215,000.00 215,000.00 11226057 95 267,000.00 267,000.00 11209595 100 743,000.00 743,000.00 11210845 100 179,000.00 179,000.00 11192634 95 465,000.00 465,000.00 11219589 58.57 350,000.00 350,000.00 11214634 90 705,000.00 705,000.00 11218128 100 91,900.00 91,900.00 11210094 80 145,900.00 145,900.00 11197056 90 333,000.00 333,000.00 11214432 88.59 320,000.00 320,000.00 11197033 95 503,000.00 503,000.00 11205541 68.64 625,000.00 625,000.00 11173857 95 241,500.00 241,500.00 11204192 83.22 149,000.00 149,000.00 11210936 100 370,000.00 370,000.00 11216267 100 103,900.00 103,900.00 11192322 100 359,895.00 359,895.00 11195654 80 585,000.00 585,000.00 11201604 85 153,000.00 153,000.00 11220429 90 180,000.00 180,000.00 11205657 80 200,000.00 200,000.00 11197836 88.07 352,000.00 352,000.00 11218562 90 310,000.00 310,000.00 11220605 100 98,000.00 98,000.00 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300,000.00 300,000.00 11218069 78.68 152,000.00 152,000.00 11194058 100 425,000.00 425,000.00 11217057 100 502,000.00 502,000.00 11232056 100 320,000.00 320,000.00 11222781 85 105,000.00 105,000.00 11219464 100 625,000.00 625,000.00 11163119 60.73 573,000.00 573,000.00 11219631 100 485,000.00 485,000.00 11208870 75 305,000.00 305,000.00 11231928 100 375,000.00 375,000.00 11212119 80 113,000.00 113,000.00 11205918 95 43,000.00 43,000.00 11220353 100 85,000.00 85,000.00 11203289 100 163,855.00 163,855.00 11210302 80 260,000.00 260,000.00 11189090 100 293,500.00 293,500.00 11211039 75 373,000.00 373,000.00 11209168 100 163,000.00 163,000.00 11205157 100 222,000.00 222,000.00 11214026 95 104,000.00 104,000.00 11215484 55.58 385,000.00 385,000.00 11227286 100 155,000.00 155,000.00 11184076 77.6 200,000.00 200,000.00 11216056 54.17 480,000.00 480,000.00 11237070 52.53 245,000.00 245,000.00 11182835 100 76,500.00 76,500.00 11206318 80 450,000.00 450,000.00 11197314 80 208,000.00 208,000.00 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250,000.00 11198372 80 200,000.00 200,000.00 11201818 80 360,000.00 360,000.00 11200235 100 90,000.00 90,000.00 11225137 100 624,900.00 624,900.00 11214139 95 144,213.00 144,213.00 11158273 90 400,000.00 400,000.00 11207788 90 318,986.00 318,986.00 11211333 100 170,000.00 170,000.00 11197194 46.14 420,000.00 420,000.00 11218830 78.97 270,000.00 270,000.00 11231435 100 343,000.00 343,000.00 11219990 100 262,000.00 262,000.00 11192856 100 560,000.00 560,000.00 11194660 100 432,250.00 432,250.00 11166696 85 255,000.00 255,000.00 11211601 100 238,000.00 238,000.00 11190399 100 435,000.00 435,000.00 11213542 70 230,000.00 230,000.00 11159211 100 371,000.00 371,000.00 11181631 95 368,000.00 368,000.00 11213038 100 325,000.00 325,000.00 11204594 100 340,000.00 340,000.00 11163759 100 288,400.00 288,400.00 11223651 100 400,000.00 400,000.00 11218589 100 454,000.00 454,000.00 11164315 85 390,000.00 390,000.00 11220849 80 530,000.00 530,000.00 11217851 100 208,800.00 208,800.00 11136710 90 588,000.00 588,000.00 11217633 100 75,000.00 75,000.00 11199029 100 167,500.00 167,500.00 11208759 100 140,000.00 140,000.00 11212111 74.32 370,000.00 370,000.00 11199110 100 390,000.00 390,000.00 11064967 75 132,000.00 132,000.00 11182063 100 220,000.00 220,000.00 11213166 100 600,000.00 600,000.00 11218691 75.68 740,000.00 740,000.00 11212696 95 212,000.00 212,000.00 11213053 100 178,000.00 178,000.00 11207629 89.52 346,300.00 346,300.00 11204863 75 380,000.00 380,000.00 11204793 100 250,000.00 250,000.00 11209751 90 330,000.00 330,000.00 11222341 80 115,000.00 115,000.00 11208773 100 299,900.00 299,900.00 11210982 89.72 535,000.00 535,000.00 11178405 80 600,000.00 600,000.00 11177975 100 215,000.00 215,000.00 11186591 90 322,500.00 322,500.00 11203159 55.56 360,000.00 360,000.00 11195107 100 390,000.00 390,000.00 11230906 100 566,000.00 566,000.00 11188353 90 95,000.00 95,000.00 11203601 91 420,000.00 420,000.00 11210981 95 165,000.00 165,000.00 11209184 57.21 402,000.00 402,000.00 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329,000.00 329,000.00 11220962 100 342,000.00 342,000.00 11222853 80 310,000.00 310,000.00 11214170 60 450,000.00 450,000.00 11206616 85 425,000.00 425,000.00 11228123 100 342,000.00 342,000.00 11196174 79.38 97,000.00 97,000.00 11183533 45.92 490,000.00 490,000.00 11224208 100 594,000.00 594,000.00 11149745 21.67 300,000.00 300,000.00 11198498 100 475,000.00 475,000.00 11219635 80 218,000.00 218,000.00 11197735 95 625,000.00 625,000.00 11209047 82.67 75,000.00 75,000.00 11210729 100 360,000.00 360,000.00 11194113 74.13 143,000.00 143,000.00 11190897 81.2 260,000.00 260,000.00 11191105 84.75 295,000.00 295,000.00 11216776 100 385,000.00 385,000.00 11215654 100 321,000.00 321,000.00 11181545 95 525,000.00 525,000.00 11195227 90 135,000.00 135,000.00 11223630 90 144,000.00 144,000.00 11213416 85 220,000.00 220,000.00 11209846 80.67 595,000.00 595,000.00 11209949 90 580,000.00 580,000.00 11201092 100 198,500.00 198,500.00 11212510 100 730,000.00 730,000.00 11195074 88.4 123,300.00 123,300.00 11207863 100 255,500.00 255,500.00 11204887 100 550,000.00 550,000.00 11176451 100 645,000.00 645,000.00 11194630 100 336,900.00 336,900.00 11198122 95 95,000.00 95,000.00 11166580 66.8 259,000.00 259,000.00 11201643 100 289,000.00 289,000.00 11231839 100 480,000.00 480,000.00 11222235 75.5 300,000.00 300,000.00 11227891 95 335,000.00 335,000.00 11202918 90 487,409.00 487,409.00 11231174 100 78,750.00 78,750.00 11218170 80 155,000.00 155,000.00 11216890 77.14 700,000.00 700,000.00 11198582 100 300,000.00 300,000.00 11208482 100 134,500.00 134,500.00 11193599 100 245,000.00 245,000.00 11194507 100 310,000.00 310,000.00 11210505 72.63 179,000.00 179,000.00 11223254 100 429,900.00 429,900.00 11198660 79.41 340,000.00 340,000.00 11203220 86.03 68,000.00 68,000.00 11190585 100 615,000.00 615,000.00 11193658 100 265,000.00 265,000.00 11212483 75 198,000.00 198,000.00 11212860 100 142,000.00 142,000.00 11205041 100 172,000.00 172,000.00 11179186 44.58 249,000.00 249,000.00 11172223 77.4 323,000.00 323,000.00 11193741 95 150,000.00 150,000.00 11171040 84.83 72,500.00 72,500.00 11188585 32.38 400,000.00 400,000.00 11215137 100 360,000.00 360,000.00 11202159 85 412,000.00 412,000.00 11197299 100 192,000.00 192,000.00 11202588 85 350,000.00 350,000.00 11185177 80 350,000.00 350,000.00 11204292 100 330,000.00 330,000.00 11223280 80 90,000.00 90,000.00 11201449 100 550,000.00 550,000.00 11212617 90 84,000.00 84,000.00 11200446 100 314,000.00 314,000.00 11222906 95 170,000.00 170,000.00 11222716 100 295,500.00 295,500.00 11196317 100 184,000.00 184,000.00 11205449 100 225,000.00 225,000.00 11228765 100 85,000.00 85,000.00 11228508 100 144,000.00 144,000.00 11190978 95 583,000.00 583,000.00 11205856 100 250,000.00 250,000.00 11215003 64.15 530,000.00 530,000.00 11192794 100 400,000.00 400,000.00 11194472 85 555,000.00 555,000.00 11182589 85 280,000.00 280,000.00 11214408 100 378,000.00 378,000.00 11222378 100 201,000.00 201,000.00 11216124 100 137,000.00 137,000.00 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313,875.00 313,875.00 11199246 70 345,000.00 345,000.00 11199988 100 749,941.00 749,941.00 11228103 90 315,000.00 315,000.00 11222958 90 275,000.00 275,000.00 11208235 100 319,588.00 319,588.00 11211950 100 434,000.00 434,000.00 11220803 80 56,000.00 56,000.00 11206700 79.8 396,000.00 396,000.00 11216195 73.95 430,000.00 430,000.00 11214864 100 240,000.00 240,000.00 11213752 80 365,000.00 365,000.00 11206966 100 137,000.00 137,000.00 11201276 100 286,000.00 286,000.00 11229206 90 200,000.00 200,000.00 11149356 90 180,000.00 180,000.00 11220572 67.6 250,000.00 250,000.00 11217661 100 380,000.00 380,000.00 11187740 45.77 395,000.00 395,000.00 11178474 28.57 1,050,000.00 1,050,000.00 11216569 100 257,825.00 257,825.00 11210196 100 500,000.00 500,000.00 11162825 94 725,000.00 725,000.00 11198311 100 158,000.00 158,000.00 11222485 59.7 335,000.00 335,000.00 11230947 35.04 685,000.00 685,000.00 11193300 80 250,000.00 250,000.00 11203792 100 149,850.00 149,850.00 11203456 100 80,000.00 80,000.00 11207914 100 97,500.00 97,500.00 11199854 100 275,000.00 275,000.00 11226781 82.99 735,000.00 735,000.00 11213616 95 154,900.00 154,900.00 11223632 100 99,000.00 99,000.00 11218117 100 68,000.00 68,000.00 11210362 100 143,379.00 143,379.00 11225192 100 687,500.00 687,500.00 11191902 100 180,000.00 180,000.00 11215146 100 147,000.00 147,000.00 11212110 90 185,000.00 185,000.00 11175679 100 189,000.00 189,000.00 11207311 34.78 575,000.00 575,000.00 11200637 73.33 225,000.00 225,000.00 11224433 77.32 485,000.00 485,000.00 11196115 80 265,000.00 265,000.00 11207562 100 125,000.00 125,000.00 11208915 95 432,000.00 432,000.00 11228000 100 182,500.00 182,500.00 11222299 100 241,000.00 241,000.00 11193324 100 635,000.00 635,000.00 11230438 100 180,000.00 180,000.00 11200845 100 113,990.00 113,990.00 11176139 80 200,000.00 200,000.00 11231432 97 978,499.00 978,499.00 11195874 100 145,000.00 145,000.00 11212654 70 431,000.00 431,000.00 11192032 100 695,000.00 695,000.00 11232540 100 357,000.00 357,000.00 11207605 85.33 375,000.00 375,000.00 11202692 100 550,000.00 550,000.00 11180770 100 110,500.00 110,500.00 11207424 57.29 288,000.00 288,000.00 11197882 74.03 385,000.00 385,000.00 11201408 61.33 450,000.00 450,000.00 11201898 100 450,000.00 450,000.00 11208527 100 239,000.00 239,000.00 11180317 80 781,500.00 781,500.00 11208570 100 295,000.00 295,000.00 11226927 80 203,000.00 203,000.00 11198510 95 340,500.00 340,500.00 11217308 55 370,000.00 370,000.00 11211966 100 470,000.00 470,000.00 11221894 100 283,140.00 283,140.00 11228549 90 140,000.00 140,000.00 11206848 100 145,000.00 145,000.00 11198280 100 175,000.00 175,000.00 11175176 80 107,905.00 107,905.00 11173981 100 96,000.00 96,000.00 11200256 90 281,000.00 281,000.00 11224070 80 282,000.00 282,000.00 11219301 56.99 310,000.00 310,000.00 11212533 100 685,000.00 685,000.00 11171429 100 168,500.00 168,500.00 11198284 100 125,000.00 125,000.00 11166504 100 355,000.00 355,000.00 11203614 95 499,000.00 499,000.00 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285,000.00 11195317 100 66,000.00 66,000.00 11216898 85 633,000.00 633,000.00 11223420 80 128,000.00 128,000.00 11226583 100 430,000.00 430,000.00 11210455 95 488,000.00 488,000.00 11207814 100 350,000.00 350,000.00 11192167 95 95,000.00 95,000.00 11207333 100 420,000.00 420,000.00 11219107 85 318,000.00 318,000.00 11214176 89.47 95,000.00 95,000.00 11196638 64.06 320,000.00 320,000.00 11217721 95 550,000.00 550,000.00 11205615 78.89 360,000.00 360,000.00 11143153 85 150,000.00 150,000.00 11192332 100 265,000.00 265,000.00 11196600 81.46 205,000.00 205,000.00 11235253 85 145,000.00 145,000.00 11216705 80 55,000.00 55,000.00 11197691 100 218,900.00 218,900.00 11217043 90 215,000.00 215,000.00 11231954 100 136,500.00 136,500.00 11228347 100 196,000.00 196,000.00 11197058 100 425,000.00 425,000.00 11209183 100 239,000.00 239,000.00 11194764 95 290,000.00 290,000.00 11221623 100 145,000.00 145,000.00 11181329 85 390,000.00 390,000.00 11214723 100 335,000.00 335,000.00 11230594 80 300,000.00 300,000.00 11201534 52.63 209,000.00 209,000.00 11206574 100 242,000.00 242,000.00 11208280 100 229,755.00 229,755.00 11198910 100 110,000.00 110,000.00 11198570 85.37 270,000.00 270,000.00 11195034 67.7 1,034,000.00 1,034,000.00 11212164 100 619,990.00 619,990.00 11215585 100 330,000.00 330,000.00 11179497 100 480,000.00 480,000.00 11230383 80 98,000.00 98,000.00 11209414 100 410,000.00 410,000.00 11184540 100 830,000.00 830,000.00 11205153 100 470,000.00 470,000.00 11194936 100 510,000.00 510,000.00 11194304 90 173,000.00 173,000.00 11216035 89.13 681,000.00 681,000.00 11210086 100 169,333.00 169,333.00 11194438 100 355,000.00 355,000.00 11206493 100 400,000.00 400,000.00 11221075 100 333,000.00 333,000.00 11210023 100 251,198.00 251,198.00 11198286 84.57 525,000.00 525,000.00 11189466 90 375,000.00 375,000.00 11210139 100 285,000.00 285,000.00 11195910 100 469,900.00 469,900.00 11222897 100 129,900.00 129,900.00 11180854 100 355,000.00 355,000.00 11187449 100 92,500.00 92,500.00 11165791 80 500,000.00 500,000.00 11203014 82.19 365,000.00 365,000.00 11214446 90 167,500.00 167,500.00 11151412 100 135,000.00 135,000.00 11219865 68.37 490,000.00 490,000.00 11195611 100 296,000.00 296,000.00 11210210 100 360,000.00 360,000.00 11161266 100 242,500.00 242,500.00 11220768 95 580,000.00 580,000.00 11171809 70 385,000.00 385,000.00 11187902 80 450,000.00 450,000.00 11223306 100 290,000.00 290,000.00 11196449 90 166,740.00 166,740.00 11188846 61.61 310,000.00 310,000.00 11193147 100 285,900.00 285,900.00 11203115 65.36 306,000.00 306,000.00 11199349 90 345,000.00 345,000.00 11149975 80 235,000.00 235,000.00 11200727 87.69 325,000.00 325,000.00 11183173 90 155,000.00 155,000.00 11212934 100 310,000.00 310,000.00 11200202 100 99,000.00 99,000.00 11193398 100 219,900.00 219,900.00 11221498 75 400,000.00 400,000.00 11229012 100 499,000.00 499,000.00 11174601 100 66,423.00 66,423.00 11222232 90 85,000.00 85,000.00 11200815 95 84,000.00 84,000.00 11208158 83.93 140,000.00 140,000.00 11198437 70 178,000.00 178,000.00 11194655 79.71 350,000.00 350,000.00 11227055 90 187,000.00 187,000.00 11223026 100 380,000.00 380,000.00 11208511 100 421,000.00 421,000.00 11217985 100 574,854.00 574,854.00 11165236 100 770,000.00 770,000.00 11201025 100 490,000.00 490,000.00 11204617 100 145,000.00 145,000.00 11216453 100 380,000.00 380,000.00 11222089 75 175,000.00 175,000.00 11219285 84.44 450,000.00 450,000.00 11203648 95 620,000.00 620,000.00 11221501 100 194,900.00 194,900.00 11198545 100 596,000.00 596,000.00 11218519 80 594,000.00 594,000.00 11192943 95 197,000.00 197,000.00 11194658 85 450,000.00 450,000.00 11159664 90 63,000.00 63,000.00 11215196 100 413,000.00 413,000.00 11203122 100 315,000.00 315,000.00 11216996 100 114,685.00 114,685.00 11215900 100 68,000.00 68,000.00 11189997 85 395,000.00 395,000.00 11222961 83.9 890,000.00 890,000.00 11217415 100 342,500.00 342,500.00 11222152 100 355,000.00 355,000.00 11205817 100 227,850.00 227,850.00 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470,367.00 470,367.00 11207694 87.35 340,000.00 340,000.00 11213067 100 314,433.00 314,433.00 11202405 100 182,000.00 182,000.00 11202569 100 294,709.00 294,709.00 11170221 100 178,000.00 178,000.00 11221051 100 267,990.00 267,990.00 11191187 100 154,000.00 154,000.00 11175921 100 172,000.00 172,000.00 11178826 80 320,000.00 320,000.00 11219735 100 630,000.00 630,000.00 11210306 100 115,500.00 115,500.00 11192160 90 419,900.00 419,900.00 11168840 100 799,000.00 799,000.00 11214843 80 1,050,000.00 1,050,000.00 11225405 100 94,500.00 94,500.00 11222666 57.2 271,000.00 271,000.00 11168316 100 254,000.00 254,000.00 11218323 88.89 225,000.00 225,000.00 11224368 74.85 233,000.00 233,000.00 11211503 100 230,000.00 230,000.00 11193225 80 370,000.00 370,000.00 11224767 100 256,000.00 256,000.00 11205351 46.09 575,000.00 575,000.00 11210899 100 172,000.00 172,000.00 11211037 100 575,000.00 575,000.00 11199759 90 523,082.00 523,082.00 11177491 100 357,218.00 357,218.00 11218739 90 578,000.00 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327,000.00 11204268 80 212,000.00 212,000.00 11205701 100 231,000.00 231,000.00 11202973 90 459,000.00 459,000.00 11217560 95 75,900.00 75,900.00 11209772 100 313,000.00 313,000.00 11227025 100 157,000.00 157,000.00 11208465 80 360,000.00 360,000.00 11210050 66.42 530,000.00 530,000.00 11205391 100 433,000.00 433,000.00 11197424 85 400,000.00 400,000.00 11218362 100 149,990.00 149,990.00 11218221 100 148,000.00 148,000.00 11214945 100 330,000.00 330,000.00 11175147 100 47,000.00 47,000.00 11212309 100 385,000.00 385,000.00 11209362 60.22 445,000.00 445,000.00 11193604 100 465,000.00 465,000.00 11192132 80 220,000.00 220,000.00 11218781 100 190,000.00 190,000.00 11199149 84.98 136,500.00 136,500.00 11201160 72.68 575,000.00 575,000.00 11209833 90 118,500.00 118,500.00 11204502 92.56 195,000.00 195,000.00 11216208 74.43 395,000.00 395,000.00 11206399 100 255,000.00 255,000.00 11171642 100 766,671.00 766,671.00 11217261 90 455,000.00 455,000.00 11222330 100 550,000.00 550,000.00 11206834 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260,000.00 260,000.00 11215567 74.67 375,000.00 375,000.00 11190970 80 92,000.00 92,000.00 11212838 95 235,000.00 235,000.00 11192886 85 441,500.00 441,500.00 11218314 89.58 216,000.00 216,000.00 11225008 67.61 355,000.00 355,000.00 11177707 100 143,000.00 143,000.00 11228302 92.71 425,000.00 425,000.00 11221482 95 345,000.00 345,000.00 11217552 95 85,000.00 85,000.00 11212501 90 295,000.00 295,000.00 11200418 100 290,000.00 290,000.00 11185069 100 149,350.00 149,350.00 11174134 100 259,500.00 259,500.00 11215313 100 294,063.00 294,063.00 11214620 100 80,000.00 80,000.00 11222524 85 480,000.00 480,000.00 11211567 95 115,000.00 115,000.00 11175036 100 235,000.00 235,000.00 11166719 90 700,000.00 700,000.00 11190350 90 155,000.00 155,000.00 11190902 100 345,000.00 345,000.00 11214352 85 69,900.00 69,900.00 11194935 100 218,200.00 218,200.00 11192798 80 375,000.00 375,000.00 11216355 100 423,000.00 423,000.00 11212177 83.49 195,000.00 195,000.00 11205155 90.9 335,000.00 335,000.00 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610,000.00 610,000.00 11219621 75 368,000.00 368,000.00 11182236 75 146,000.00 146,000.00 11186369 75 162,000.00 162,000.00 11227309 100 98,500.00 98,500.00 11206357 100 242,000.00 242,000.00 11179757 100 120,000.00 120,000.00 11216307 100 775,000.00 775,000.00 11209401 100 425,000.00 425,000.00 11210024 84.98 233,000.00 233,000.00 11210789 80 310,780.00 310,780.00 11213980 90 680,000.00 680,000.00 11210757 90 191,000.00 191,000.00 11230794 100 163,370.00 163,370.00 11204035 100 64,500.00 64,500.00 11209819 100 265,000.00 265,000.00 11210590 47.71 350,000.00 350,000.00 11221175 85 350,000.00 350,000.00 11209861 100 283,000.00 283,000.00 11190947 70 370,000.00 370,000.00 11220461 100 439,000.00 439,000.00 11216000 100 126,000.00 126,000.00 11194958 75 320,000.00 320,000.00 11223820 90 525,000.00 525,000.00 11202922 100 130,000.00 130,000.00 11219660 77.66 470,000.00 470,000.00 11220501 100 117,000.00 117,000.00 11185524 90 530,000.00 530,000.00 11211214 95 185,000.00 185,000.00 11163247 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727,000.00 11214569 75 575,000.00 575,000.00 11205868 69.19 1,373,000.00 1,373,000.00 11233175 100 181,500.00 181,500.00 11179100 100 425,000.00 425,000.00 11210818 90 410,000.00 410,000.00 11202827 89.21 227,000.00 227,000.00 11214697 95 137,990.00 137,990.00 11176972 100 150,000.00 150,000.00 11184111 80 145,000.00 145,000.00 11216100 85 85,000.00 85,000.00 11210639 100 170,000.00 170,000.00 11210428 80 305,000.00 305,000.00 11220085 82.37 251,000.00 251,000.00 11198736 100 171,000.00 171,000.00 11178338 100 686,000.00 686,000.00 11226371 95 188,000.00 188,000.00 11222181 95 249,950.00 249,950.00 11232012 100 274,900.00 274,900.00 11198592 100 460,000.00 460,000.00 11193679 90 250,000.00 250,000.00 11222398 95 330,000.00 330,000.00 11214427 100 189,000.00 189,000.00 11192739 95 375,000.00 375,000.00 11176865 94 800,000.00 800,000.00 11225277 83.86 285,000.00 285,000.00 11188891 70.65 460,000.00 460,000.00 11200154 100 539,000.00 539,000.00 11203661 80 355,000.00 355,000.00 11205705 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550,000.00 550,000.00 11193730 90 167,400.00 167,400.00 11206036 100 144,900.00 144,900.00 11201363 79.31 290,000.00 290,000.00 11206432 100 155,000.00 155,000.00 11221375 100 490,000.00 490,000.00 11209246 100 335,000.00 335,000.00 11201108 100 227,000.00 227,000.00 11199069 100 112,500.00 112,500.00 11204768 67.25 400,000.00 400,000.00 11216584 61.03 195,000.00 195,000.00 11212631 80 65,000.00 65,000.00 11232612 100 749,500.00 749,500.00 11189380 95 129,000.00 129,000.00 11206062 100 396,000.00 396,000.00 11186842 82.14 280,000.00 280,000.00 11213283 59.58 120,000.00 120,000.00 11210429 78.09 283,000.00 283,000.00 11212066 65.17 422,000.00 422,000.00 11180157 100 147,500.00 147,500.00 11201551 90 71,550.00 71,550.00 11229491 90 437,000.00 437,000.00 11176429 100 62,000.00 62,000.00 11201224 100 257,000.00 257,000.00 11169653 100 459,900.00 459,900.00 11183098 72.41 290,000.00 290,000.00 11187593 84 250,000.00 250,000.00 11202980 95 487,000.00 487,000.00 11186952 100 365,000.00 365,000.00 11191964 100 152,900.00 152,900.00 11198326 100 390,000.00 390,000.00 11205160 95 79,000.00 79,000.00 11205471 82.24 335,000.00 335,000.00 11211955 77.09 251,000.00 251,000.00 11162584 100 155,000.00 155,000.00 11212499 100 593,485.00 593,485.00 11198033 100 181,900.00 181,900.00 11224270 72.86 350,000.00 350,000.00 11215968 100 212,000.00 212,000.00 11212502 100 525,000.00 525,000.00 11210466 85 60,000.00 60,000.00 11202168 100 255,000.00 255,000.00 11219028 70 264,000.00 264,000.00 11198993 90 95,000.00 95,000.00 11213153 80 600,000.00 600,000.00 11179400 100 255,000.00 255,000.00 11210562 100 360,000.00 360,000.00 11201620 85 360,000.00 360,000.00 11203820 85 138,000.00 138,000.00 11219892 100 385,000.00 385,000.00 11202243 100 500,000.00 500,000.00 11193105 100 143,000.00 143,000.00 11204662 100 88,000.00 88,000.00 11187920 81.73 520,000.00 520,000.00 11213645 100 475,000.00 475,000.00 11224239 100 465,000.00 465,000.00 11211639 64.52 62,000.00 62,000.00 11232655 100 115,500.00 115,500.00 11198147 100 410,000.00 410,000.00 11216983 94.06 193,500.00 193,500.00 11211056 100 450,000.00 450,000.00 11217775 66.67 600,000.00 600,000.00 11206779 80 225,000.00 225,000.00 11201805 79.77 220,000.00 220,000.00 11208698 100 309,000.00 309,000.00 11201225 100 99,900.00 99,900.00 11199983 100 303,000.00 303,000.00 11142827 100 350,000.00 350,000.00 11179741 71.74 230,000.00 230,000.00 11222607 90 133,000.00 133,000.00 11186973 90 90,000.00 90,000.00 11172170 95 310,000.00 310,000.00 11213913 78.43 255,000.00 255,000.00 11220862 100 355,000.00 355,000.00 11208204 100 365,000.00 365,000.00 11210471 81.71 350,000.00 350,000.00 11213870 100 217,000.00 217,000.00 11216669 100 250,000.00 250,000.00 11209936 95 363,000.00 363,000.00 11175895 95 130,000.00 130,000.00 11186260 100 925,000.00 925,000.00 11197564 90 235,000.00 235,000.00 11211590 23.26 430,000.00 430,000.00 11193373 95 522,000.00 522,000.00 11165579 95 230,000.00 230,000.00 11200698 100 181,500.00 181,500.00 11193132 85 420,000.00 420,000.00 11229460 100 500,000.00 500,000.00 11203025 100 455,000.00 455,000.00 11222018 100 175,000.00 175,000.00 11226892 100 108,880.00 108,880.00 11205645 90 55,000.00 55,000.00 11195320 85 460,000.00 460,000.00 11206389 90 250,000.00 250,000.00 11206900 100 98,000.00 98,000.00 11197587 63.19 432,000.00 432,000.00 11158318 100 339,200.00 339,200.00 11190118 80 721,961.00 721,961.00 11207804 100 275,000.00 275,000.00 11214023 100 82,000.00 82,000.00 11222155 95 115,000.00 115,000.00 11225336 100 175,000.00 175,000.00 11223413 100 370,000.00 370,000.00 11195476 70 92,500.00 92,500.00 11210360 85 179,250.00 179,250.00 11201113 80 208,000.00 208,000.00 11210889 76.19 525,000.00 525,000.00 11191125 90 114,000.00 114,000.00 11188240 77.42 124,000.00 124,000.00 11227927 100 162,500.00 162,500.00 11139377 80 180,000.00 180,000.00 11208224 55.3 387,000.00 387,000.00 11191335 65 560,000.00 560,000.00 11209046 95 156,000.00 156,000.00 11200272 100 480,000.00 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57.29 480,000.00 480,000.00 11168849 95 94,000.00 94,000.00 11179285 80 63,000.00 63,000.00 11189257 90 70,000.00 70,000.00 11189336 80 170,000.00 170,000.00 11225176 81.56 339,000.00 339,000.00 11220010 100 289,000.00 289,000.00 11195688 90 685,000.00 685,000.00 11204648 100 299,000.00 299,000.00 11164175 100 450,000.00 450,000.00 11228337 100 259,000.00 259,000.00 11191117 100 325,000.00 325,000.00 11219303 100 124,500.00 124,500.00 11216025 80 240,000.00 240,000.00 11194102 58.33 300,000.00 300,000.00 11222749 100 500,000.00 500,000.00 11209501 79.45 365,000.00 365,000.00 11201083 100 145,500.00 145,500.00 11225276 83.68 380,000.00 380,000.00 11194782 80 210,000.00 210,000.00 11205835 100 247,000.00 247,000.00 11186216 100 325,000.00 325,000.00 11155595 100 570,000.00 570,000.00 11224580 55 330,000.00 330,000.00 11232762 100 252,000.00 252,000.00 11178570 90 65,000.00 65,000.00 11171068 80 130,000.00 130,000.00 11187639 100 450,000.00 450,000.00 11217253 95 252,000.00 252,000.00 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1,100,000.00 1,100,000.00 11213987 95 335,000.00 335,000.00 11190703 100 200,000.00 200,000.00 11211243 100 141,000.00 141,000.00 11200216 67.72 443,000.00 443,000.00 11193361 100 415,000.00 415,000.00 11217489 95 180,000.00 180,000.00 11213370 95 84,950.00 84,950.00 11216029 88.83 385,000.00 385,000.00 11215461 100 120,000.00 120,000.00 11191569 100 150,000.00 150,000.00 11215050 80 195,000.00 195,000.00 11203573 100 180,000.00 180,000.00 11174209 80 152,000.00 152,000.00 11215414 75 620,000.00 620,000.00 11207945 100 321,000.00 321,000.00 11186342 73.75 180,000.00 180,000.00 11194786 90 74,000.00 74,000.00 11180648 100 158,900.00 158,900.00 11213744 71.87 375,000.00 375,000.00 11173816 90 200,000.00 200,000.00 11215696 100 280,000.00 280,000.00 11199363 100 635,000.00 635,000.00 11192628 100 232,458.00 232,458.00 11198639 80 270,000.00 270,000.00 11181153 85 699,000.00 699,000.00 11175138 78.46 65,000.00 65,000.00 11204752 100 280,000.00 280,000.00 11214787 77.78 90,000.00 90,000.00 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55,000.00 55,000.00 11221645 100 199,095.00 199,095.00 11204262 100 128,000.00 128,000.00 11213509 72.5 520,000.00 520,000.00 11202328 95 180,000.00 180,000.00 11205340 85 120,000.00 120,000.00 11228181 100 95,800.00 95,800.00 11194622 84.95 111,000.00 111,000.00 11214321 90 430,000.00 430,000.00 11201296 95 365,000.00 365,000.00 11180491 80 198,000.00 198,000.00 11227649 90 455,000.00 455,000.00 11216944 100 425,000.00 425,000.00 11220234 100 100,000.00 100,000.00 11210692 100 135,000.00 135,000.00 11215474 57.94 233,000.00 233,000.00 11157378 99.05 105,000.00 105,000.00 11220252 90 285,000.00 285,000.00 11183688 95 196,000.00 196,000.00 11200711 100 470,000.00 470,000.00 11208690 100 600,000.00 600,000.00 11201354 90 127,000.00 127,000.00 11197973 100 78,500.00 78,500.00 11207560 33.96 240,000.00 240,000.00 11201577 95 108,000.00 108,000.00 11174696 80 243,000.00 243,000.00 11207029 80 390,000.00 390,000.00 11219533 90 250,000.00 250,000.00 11222296 100 470,000.00 470,000.00 11232327 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562,000.00 11220182 100 70,000.00 70,000.00 11205819 80 131,000.00 131,000.00 11209835 90 490,000.00 490,000.00 11214033 90 317,000.00 317,000.00 11194925 80 946,000.00 946,000.00 11196990 85 178,000.00 178,000.00 11176855 100 210,000.00 210,000.00 11222450 100 487,870.00 487,870.00 11213457 100 173,862.00 173,862.00 11175405 36.25 400,000.00 400,000.00 11214345 100 335,000.00 335,000.00 11210616 85 465,000.00 465,000.00 11213780 88.89 45,000.00 45,000.00 11210618 65.66 265,000.00 265,000.00 11191208 100 170,000.00 170,000.00 11199279 52.31 325,000.00 325,000.00 11207126 52 625,000.00 625,000.00 11210667 100 73,000.00 73,000.00 11184760 95 185,000.00 185,000.00 11203718 100 377,000.00 377,000.00 11222242 80 200,000.00 200,000.00 11211111 80 295,000.00 295,000.00 11226752 66.67 210,000.00 210,000.00 11201863 100 305,000.00 305,000.00 11230108 80 255,000.00 255,000.00 11216314 100 499,000.00 499,000.00 11205652 100 335,000.00 335,000.00 11168761 90 191,000.00 191,000.00 11217884 100 596,215.00 596,215.00 11193842 78.98 433,000.00 433,000.00 11213271 85 118,000.00 118,000.00 11231418 100 95,000.00 95,000.00 11186921 80 397,000.00 397,000.00 11157449 100 60,000.00 60,000.00 11216731 100 405,000.00 405,000.00 11198160 100 185,000.00 185,000.00 11231334 100 310,990.00 310,990.00 11220169 88.41 345,000.00 345,000.00 11197761 100 123,000.00 123,000.00 11183250 90 150,000.00 150,000.00 11193669 100 230,000.00 230,000.00 11217245 75 460,000.00 460,000.00 11196824 95 385,000.00 385,000.00 11107986 80 171,500.00 171,500.00 11197130 95 800,000.00 800,000.00 11196827 78.67 300,000.00 300,000.00 11210686 100 172,000.00 172,000.00 11188227 71.55 117,400.00 117,400.00 11217705 95 68,500.00 68,500.00 11207028 95 140,000.00 140,000.00 11216592 100 148,000.00 148,000.00 11230682 100 549,900.00 549,900.00 11216688 84.94 385,000.00 385,000.00 11223129 100 93,900.00 93,900.00 11183964 85 459,000.00 459,000.00 11179503 100 525,000.00 525,000.00 11210520 100 420,000.00 420,000.00 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11204235 0 1 Purchase MALTA 11215483 0 1 C/O Refi PASSAIC 11210358 0 1 Purchase CORAL SPRIN 11220043 0 1 C/O Refi TALLAHASSEE 11222630 0 1 Purchase SILVER SPRI 11186544 0 1 C/O Refi ONTARIO 11229196 0 1 Purchase ISELIN 11196677 0 1 R/T Refi MANASSAS 11220180 0 1 Purchase ARLINGTON 11176698 0 1 C/O Refi TUSTIN 11213443 0 1 Purchase HAUGHTON 11208607 0 1 Purchase VAN NUYS 11200692 0 1 Purchase ROLAND 11219985 0 1 Purchase CHANDLER 11220215 0 1 Purchase MANASSAS 11200825 0 1 Purchase BAKERSFIELD 11215933 0 1 Purchase ESCONDIDO 11210514 0 1 C/O Refi SAN JOSE 11209939 0 1 C/O Refi ROANOKE 11227238 0 1 C/O Refi PORT DEPOSI 11220275 0 1 Purchase SEMINOLE 11228225 0 1 Purchase SANTA MARIA 11230309 0 1 Purchase ZION 11219908 0 1 C/O Refi WILDOMAR 11204153 0 1 Purchase MANASSAS PA 11216500 0 1 Purchase SPARKS 11151319 0 1 Purchase NYSSA 11207258 0 1 Purchase OAKLAND 11206960 0 1 R/T Refi HAVERHILL 11197360 0 1 Purchase HYATTSVILLE 11182901 0 1 C/O Refi SPARTA 11201457 0 1 C/O Refi SPOKANE 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C/O Refi CONCORD 11217722 0 1 C/O Refi BRISTOL 11205863 0 1 Purchase MIAMI 11177566 0 1 C/O Refi HENDERSON 11194968 0 1 C/O Refi EGG HARBOR 11214277 0 1 C/O Refi SEBASTIAN 11225404 0 1 Purchase FLOWER MOUN 11211279 0 1 Purchase INDIANA 11153624 0 1 C/O Refi MAHOPAC 11193333 0 1 Purchase CORONA 11194565 0 1 C/O Refi COLLEGE PAR 11218662 0 1 C/O Refi LOS ANGELES 11202126 0 1 Purchase HUNTINGTON 11204055 0 1 C/O Refi NORTH PLAIN 11182577 0 1 Purchase BATH 11231121 0 1 Purchase DACULA 11218266 0 1 Purchase CHARLOTTE 11212645 0 1 C/O Refi WAPPINGERS 11225194 0 1 C/O Refi SANTA FE SP 11227715 0 1 Purchase HOUSTON 11207475 0 1 Purchase MEMPHIS 11217863 0 1 C/O Refi PALOS HILLS 11195273 0 1 Purchase PHOENIX 11195012 0 1 Purchase PALMDALE 11235483 0 1 Purchase YORK 11184849 0 1 Purchase ELIZABETHTO 11232640 0 1 C/O Refi LOS ANGELES 11187866 0 1 Purchase DANBURY 11220961 0 1 C/O Refi SAN BERNARD 11201261 0 1 C/O Refi GLEN BURNIE 11192636 0 1 R/T Refi JAMAICA 11224021 0 1 C/O Refi BALTIMORE 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1 Purchase PHILADELPHI 11201317 0 1 Purchase TULSA 11218918 0 1 Purchase HERRIMAN 11204207 0 1 Purchase MISSION VIE 11209706 0 1 Purchase MOULTRIE 11186799 0 1 C/O Refi NORTH HILLS 11198975 0 1 Purchase WEST HILLS 11198495 0 1 Purchase PARAMOUNT 11211250 0 1 Purchase LITCHFIELD 11168533 0 1 C/O Refi HUNTINGTON 11182170 0 1 C/O Refi CHESAPEAKE 11189493 0 1 Purchase MERIDIAN 11222312 0 1 Purchase HIGHLAND 11224430 0 1 Purchase REVERE 11175610 0 1 Purchase JACKSONN 11232496 0 1 C/O Refi MENIFEE 11171051 0 1 Purchase STATEN ISLA 11199182 0 1 C/O Refi LYNN 11217425 0 1 R/T Refi SUN CITY 11163881 0 1 C/O Refi WEST BLOOMF 11206027 0 1 Purchase LAS VEGAS 11196655 0 1 C/O Refi SANTA MARIA 11223497 0 1 C/O Refi GILROY 11225882 0 1 Purchase QUEEN CREEK 11183326 0 1 C/O Refi OVIEDO 11201389 0 1 Purchase HICKSVILLE 11180460 0 1 Purchase TAMPA 11188509 0 1 C/O Refi VIRGINIA BE 11178621 0 1 C/O Refi MUNDS PARK 11210446 0 1 Purchase RICHMOND 11213492 0 1 C/O Refi SOMERSET 11210492 0 1 C/O Refi LOS 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Purchase ARLINGTON 11220204 0 1 C/O Refi SLIDELL 11196176 0 1 C/O Refi RODEO 11190188 0 1 C/O Refi NORTON 11206681 0 1 C/O Refi UNION BRIDG 11227314 0 1 C/O Refi ROCHESTER H 11168885 0 1 C/O Refi LAUREL 11146755 0 1 Purchase COLUMBUS 11193981 0 1 C/O Refi EVERETT 11215710 0 1 Purchase LANCASTER 11182207 0 1 C/O Refi BELOIT 11218989 0 1 Purchase TEXARKANA 11192740 0 1 Purchase NAPLES 11207802 0 1 C/O Refi HAVERHILL 11214533 0 1 Purchase AURORA 11206280 0 1 Purchase RENTON 11214793 0 1 Purchase PINEVILLE 11221091 0 1 Purchase GILBERT 11208250 0 1 Purchase SKOKIE 11205623 0 1 C/O Refi VANCOUVER 11217926 0 1 Purchase GERMANTOWN 11216249 0 1 Purchase HOLLYWOOD 11216489 0 1 Purchase NEW CASTLE 11187962 0 1 C/O Refi BEAR 11223157 0 1 C/O Refi WELLINGTON 11214172 0 1 C/O Refi PARK FOREST 11211854 0 1 Purchase DEER PARK 11225020 0 1 Purchase AUBURN 11165163 0 1 R/T Refi KINGSTON 11198770 0 1 C/O Refi DEPOSIT 11214370 0 1 Purchase PHOENIX 11214652 0 1 C/O Refi FLORISSANT 11210395 0 1 Purchase ARLETA 11220723 0 1 Purchase MERCED 11226763 0 1 Purchase FREDERICKSB 11216217 0 1 C/O Refi PHILADELPHI 11197987 0 1 C/O Refi LOS ANGELES 11201077 0 1 C/O Refi VIRGINIA BE 11195700 0 1 Purchase VOORHEES 11177356 0 1 Purchase SACRAMENTO 11193776 0 1 Purchase LAS VEGAS 11215105 0 1 Purchase OPA LOCKA 11212167 0 1 Purchase PATTERSON 11214585 0 1 Purchase STERLING 11222732 0 1 C/O Refi VISALIA 11236512 0 1 Purchase BLUE SPRING 11195873 0 1 C/O Refi SEATTLE 11220791 0 1 C/O Refi PRINCETON J 11212115 0 1 Purchase OHIO CITY 11170671 0 1 C/O Refi ROGERS 11204828 0 1 Purchase SILVER SPRI 11196391 0 1 Purchase LANCASTER 11215045 0 1 C/O Refi PHOENIX 11213602 0 1 C/O Refi VAN NUYS 11203421 0 1 Purchase GLENDALE 11212186 0 1 Purchase CORONA 11203581 0 1 R/T Refi HERCULES 11188010 0 1 Purchase DANBURY 11205974 0 1 C/O Refi HENRIETTA 11225146 0 1 Purchase DISCOVERY B 11218004 0 1 Purchase SPRINGFIELD 11218293 0 1 C/O Refi MIAMI 11182572 0 1 Purchase SCHENECTADY 11197669 0 1 Purchase RIVERSIDE 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Purchase MONROE 11196502 0 1 C/O Refi WANTAGE 11202874 0 1 Purchase ROUND LAKE 11228419 0 1 R/T Refi PHOENIX 11225400 0 1 C/O Refi SAN BERNARD 11211703 0 1 Purchase OAKLEY 11216498 0 1 C/O Refi BLOOMSBURG 11220857 0 1 C/O Refi HUNTINGTON 11207947 0 1 C/O Refi BRIGHTON 11210165 0 1 R/T Refi RANCHO CUCA 11221057 0 1 C/O Refi WOODINVILLE 11198405 0 1 Purchase DALY CITY 11212361 0 1 C/O Refi LOMPOC 11194387 0 1 Purchase COPPELL 11217187 0 1 C/O Refi LAS VEGAS 11217578 0 1 Purchase CLERMONT 11216203 0 1 C/O Refi PHILADELPHI 11219390 0 1 C/O Refi RENTON 11214503 0 1 C/O Refi APOPKA 11192847 0 1 C/O Refi FORT EDWARD 11224386 0 1 Purchase LAS VEGAS 11216894 0 1 C/O Refi ROY 11166333 0 1 Purchase NORTH LAS V 11214109 0 1 C/O Refi MIDDLEBURGH 11191050 0 1 Purchase TEXAS CITY 11228273 0 1 C/O Refi HERNANDO 11179913 0 1 R/T Refi COCOA 11211389 0 1 Purchase SCOTTSDALE 11206400 0 1 Purchase EL PASO 11211791 0 1 C/O Refi RICHMOND 11181522 0 1 Purchase POMONA 11213160 0 1 C/O Refi GIG HARBOR 11214994 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11205986 0 1 C/O Refi BERLIN 11193177 0 1 Purchase NORTH HOLLY 11232125 0 1 C/O Refi HIGHLAND 11139962 0 1 C/O Refi BROOKLYN 11219644 0 1 C/O Refi LA PUENTE 11193212 0 1 C/O Refi BELTON 11203248 0 1 C/O Refi WEST NEW YO 11212744 0 1 Purchase ESCONDIDO 11174277 0 1 C/O Refi PERRIS 11211498 0 1 C/O Refi VIRGINIA BE 11222956 0 1 C/O Refi ALBUQUERQUE 11172925 0 1 Purchase LITTLEROCK 11207077 0 1 C/O Refi HAYDEN 11178452 0 1 Purchase BATON ROUGE 11221748 0 1 R/T Refi BLUE ISLAND 11169867 0 1 Purchase PHILADELPHI 11224564 0 1 C/O Refi MISSION VIE 11232667 0 1 Purchase SELLERSVILL 11221487 0 1 Purchase MINEOLA 11170936 0 1 C/O Refi CHESAPEAKE 11222229 0 1 Purchase SPRINGFIELD 11212486 0 1 Purchase STOCKTON 11210301 0 1 Purchase DAYTON 11223499 0 1 Purchase NORTHRIDGE 11194347 0 1 Purchase CANTON 11200020 0 1 Texas C/O Refi GRAND PRAIR 11206687 0 1 C/O Refi PORTLAND 11222340 0 1 C/O Refi BOULDER CIT 11226895 0 1 Purchase GARDEN GROV 11186183 0 1 Purchase KATY 11136562 0 1 Purchase CENTRAL ISL 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C/O Refi MONTEBELLO 11218830 0 1 R/T Refi PASADENA 11231435 0 1 Purchase MANASSAS PA 11219990 0 1 Purchase NORTH LAS V 11192856 0 1 Purchase ANAHEIM 11194660 0 1 Purchase QUINCY 11166696 0 1 C/O Refi ADDISON 11211601 0 1 Purchase CONROE 11190399 0 1 Purchase BELLFLOWER 11213542 0 1 C/O Refi SURPRISE 11159211 0 1 Purchase LOS ANGELES 11181631 0 1 C/O Refi ZIONSVILLE 11213038 0 1 Purchase BRISTOW 11204594 0 1 Purchase HUNTINGTON 11163759 0 1 Purchase NORTH LAS V 11223651 0 1 Purchase PANORAMA CI 11218589 0 1 Purchase CASTAIC 11164315 0 1 C/O Refi LOS ANGELES 11220849 0 1 C/O Refi ORANGEVALE 11217851 0 1 Purchase LANTANA 11136710 0 1 Purchase BROOKLYN 11217633 0 1 Purchase PHILADELPHI 11199029 0 1 Purchase GAINESVILLE 11208759 0 1 Purchase KENT 11212111 0 1 C/O Refi EDISON 11199110 0 1 Purchase LONG BEACH 11064967 0 1 C/O Refi VIRGINIA BE 11182063 0 1 C/O Refi CHALFONT 11213166 0 1 C/O Refi MONTCLAIR 11218691 0 1 C/O Refi SCOTTSDALE 11212696 0 1 Purchase INDIO 11213053 0 1 C/O Refi 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Purchase LAS VEGAS 11177067 0 1 C/O Refi YUCAIPA 11220036 0 1 C/O Refi CAPITOL HEI 11203524 0 1 Purchase MEDFORD 11208922 0 1 C/O Refi LANCASTER 11219220 0 1 Purchase JOLIET 11218021 0 1 Purchase LAKE STEVEN 11218494 0 1 Purchase SAN ANGELO 11237226 0 1 C/O Refi SOUTH BELOI 11223023 0 1 C/O Refi MORENO VALL 11214841 0 1 Purchase LANCASTER 11166721 0 1 C/O Refi HILLSBORO 11188960 0 1 Purchase BAKERSFIELD 11226891 0 1 Purchase HUNTINGTON 11227759 0 1 Purchase RANCHO CUCA 11200432 0 1 Purchase RESEDA 11190097 0 1 Texas C/O Refi DESOTO 11201864 0 1 Purchase SANTA PAULA 11231461 0 1 Purchase BOWIE 11206288 0 1 C/O Refi ONALASKA 11215202 0 1 C/O Refi SPRING VALL 11198832 0 1 Purchase POMONA 11210069 0 1 C/O Refi SCOTTSDALE 11132955 0 1 Purchase LEAGUE CITY 11196223 0 1 C/O Refi OAK PARK 11173115 0 1 C/O Refi ST. LOUIS 11189608 0 1 Purchase LAS VEGAS 11204958 0 1 C/O Refi RANCHO CORD 11198923 0 1 C/O Refi RANCHO CUCA 11209809 0 1 Purchase MENIFEE 11184703 0 1 Purchase HEMET 11165025 0 1 Purchase LOS ANGELES 11201321 0 1 C/O Refi NORTH BERWI 11208935 0 1 C/O Refi NOVATO 11170121 0 1 C/O Refi COLORADO SP 11226000 0 1 C/O Refi MURFREESBOR 11219003 0 1 C/O Refi CENTER VALL 11227382 0 1 Purchase TACOMA 11204175 0 1 Purchase MIAMI 11208684 0 1 Purchase LANCASTER 11222430 0 1 Purchase SOUTH JORDA 11212004 0 1 C/O Refi LAWRENCE 11199357 0 1 C/O Refi BROOKLYN 11218153 0 1 Purchase MANTEO 11220962 0 1 C/O Refi SPRING VALL 11222853 0 1 C/O Refi PALMDALE 11214170 0 1 C/O Refi ELVERTA 11206616 0 1 C/O Refi CHICAGO 11228123 0 1 Purchase TEMECULA 11196174 0 1 C/O Refi PITTSBURGH 11183533 0 1 C/O Refi GLENDALE 11224208 0 1 Purchase LOS ANGELES 11149745 0 1 R/T Refi COMPTON 11198498 0 1 Purchase SAN FRANCIS 11219635 0 1 C/O Refi FREDERICK 11197735 0 1 Purchase GRANADA HIL 11209047 0 1 C/O Refi PONCHATOULA 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MOUNT HOREB 11194507 0 1 Purchase MORENO VALL 11210505 0 1 C/O Refi KEARNEYSVIL 11223254 0 1 Purchase ROCKVILLE 11198660 0 1 C/O Refi LOS ANGELES 11203220 0 1 C/O Refi PAYETTE 11190585 0 1 Purchase EL CAJON 11193658 0 1 Purchase BEAR 11212483 0 1 R/T Refi DENVER 11212860 0 1 Purchase BOISE 11205041 0 1 Purchase SURPRISE 11179186 0 1 R/T Refi BALTIMORE 11172223 0 1 Purchase PALMDALE 11193741 0 1 C/O Refi MENDOTA 11171040 0 1 C/O Refi HAZELWOOD 11188585 0 1 C/O Refi MIAMI BEACH 11215137 0 1 C/O Refi GARDENA 11202159 0 1 C/O Refi WALDORF 11197299 0 1 Purchase VERNON HILL 11202588 0 1 C/O Refi HEMPSTEAD 11185177 0 1 C/O Refi OAKLEY 11204292 0 1 Purchase MORENO VALL 11223280 0 1 Texas C/O Refi DALLAS 11201449 0 1 Purchase ANTIOCH 11212617 0 1 C/O Refi ELMIRA 11200446 0 1 C/O Refi WILLMAR 11222906 0 1 C/O Refi ELKHORN 11222716 0 1 Purchase RENO 11196317 0 1 Purchase RENO 11205449 0 1 Purchase ALTAMONTE S 11228765 0 1 Purchase BOSSIER CIT 11228508 0 1 Purchase KNOXVILLE 11190978 0 1 Purchase TRACY 11205856 0 1 Purchase HYATTSVILLE 11215003 0 1 C/O Refi NORCO 11192794 0 1 C/O Refi SAN DIEGO 11194472 0 1 C/O Refi MURRIETA 11182589 0 1 C/O Refi TRENTON 11214408 0 1 Purchase LA PUENTE 11222378 0 1 Purchase JENKS 11216124 0 1 Purchase RIVERDALE 11164850 0 1 C/O Refi STATEN ISLA 11163135 0 1 R/T Refi DELTONA 11203973 0 1 C/O Refi MIAMI 11220090 0 1 R/T Refi KNOXVILLE 11161392 0 1 Purchase QUARTZ HILL 11225472 0 1 C/O Refi MEMPHIS 11208561 0 1 Purchase CHINO HILLS 11187058 0 1 Purchase EAST MEADOW 11206092 0 1 Purchase DELHI 11199443 0 1 C/O Refi LOS ANGELES 11161308 0 1 Purchase BRANFORD 11225569 0 1 C/O Refi PATTERSON 11204586 0 1 Purchase OCEANSIDE 11207660 0 1 Purchase CANOGA PARK 11203224 0 1 C/O Refi FRESNO 11195358 0 1 Purchase GLENDALE 11136513 0 1 C/O Refi TEMPLE CITY 11159884 0 1 C/O Refi TEMPLE HILL 11200456 0 1 Purchase HAYESVILLE 11221240 0 1 C/O Refi PROVIDENCE 11209773 0 1 Purchase MORENO VALL 11204428 0 1 Purchase FLAGSTAFF 11229245 0 1 Purchase ROYCE CITY 11192371 0 1 C/O Refi HAYWARD 11199763 0 1 R/T Refi PLAINFIELD 11184932 0 1 C/O Refi WINCHENDON 11194976 0 1 C/O Refi DAVIE 11230747 0 1 Purchase RANCHO CUCA 11185997 0 1 Purchase WEARE 11199246 0 1 C/O Refi SIGNAL HILL 11199988 0 1 Purchase BRENTWOOD 11228103 0 1 C/O Refi VICTORVILLE 11222958 0 1 Purchase EL MIRAGE 11208235 0 1 Purchase LANCASTER 11211950 0 1 Purchase NORTH HOLLY 11220803 0 1 Texas C/O Refi FOREST HILL 11206700 0 1 C/O Refi TAUNTON 11216195 0 1 R/T Refi NEW MILFORD 11214864 0 1 Purchase SANTA ANA 11213752 0 1 C/O Refi BROCKTON 11206966 0 1 Purchase MESA 11201276 0 1 Purchase HAVERHILL 11229206 0 1 C/O Refi KIRKLAND 11149356 0 1 C/O Refi REEDLEY 11220572 0 1 C/O Refi PHOENIX 11217661 0 1 Purchase LAKE HAVASU 11187740 0 1 C/O Refi SYLMAR 11178474 0 1 C/O Refi OLDWICK 11216569 0 1 Purchase PUYALLUP 11210196 0 1 Purchase MIDDLE VILL 11162825 0 1 C/O Refi PORT WASHIN 11198311 0 1 Purchase OAK PARK 11222485 0 1 C/O Refi COMPTON 11230947 0 1 C/O Refi PLEASANTON 11193300 0 1 C/O Refi PALMDALE 11203792 0 1 Purchase RICHMOND 11203456 0 1 Purchase LUBBOCK 11207914 0 1 Purchase DESOTO 11199854 0 1 Purchase COLUMBIA 11226781 0 1 C/O Refi LONG BEACH 11213616 0 1 Purchase BOYNTON BEA 11223632 0 1 Purchase SPOKANE VAL 11218117 0 1 Purchase JACKSON 11210362 0 1 Purchase GRAND PRAIR 11225192 0 1 Purchase SANTA MONIC 11191902 0 1 Purchase ORLANDO 11215146 0 1 Purchase DALLAS 11212110 0 1 C/O Refi RIVERVIEW 11175679 0 1 Purchase CHICAGO 11207311 0 1 C/O Refi MIAMI 11200637 0 1 C/O Refi BALTIMORE 11224433 0 1 C/O Refi RANCHO CUCA 11196115 0 1 Purchase PALM DESERT 11207562 0 1 Purchase TOMBALL 11208915 0 1 C/O Refi ALHAMBRA 11228000 0 1 Purchase BOURBONNAIS 11222299 0 1 Purchase WORTH 11193324 0 1 Purchase LOS ANGELES 11230438 0 1 Purchase BAKERSFIELD 11200845 0 1 Purchase NAMPA 11176139 0 1 C/O Refi TACOMA 11231432 0 1 Purchase SIMI VALLEY 11195874 0 1 C/O Refi MIAMI 11212654 0 1 C/O Refi WEST ORANGE 11192032 0 1 Purchase HAYWARD 11232540 0 1 Purchase GILBERT 11207605 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1 Purchase MANASSAS 11213456 0 1 C/O Refi BALTIMORE 11179948 0 1 C/O Refi SAN MARCOS 11196821 0 1 Purchase ELGIN 11213852 0 1 C/O Refi SACRAMENTO 11196473 0 1 C/O Refi TRACY 11177887 0 1 R/T Refi LINCOLN PAR 11204676 0 1 Purchase LAKE ARROWH 11201813 0 1 Purchase CHARLOTTE 11205293 0 1 Purchase CHICAGO 11217269 0 1 C/O Refi LANCASTER 11226943 0 1 Purchase PORTLAND 11216912 0 1 Purchase ALLEN 11212242 0 1 C/O Refi LOS ANGELES 11183746 0 1 C/O Refi BELOIT 11213395 0 1 C/O Refi WOODBRIDGE 11190419 0 1 Purchase BALDWIN PAR 11186756 0 1 Purchase LOS ANGELES 11217569 0 1 C/O Refi WILMINGTON 11232695 0 1 Purchase FREEPORT 11211292 0 1 Purchase GLENS FALLS 11216853 0 1 Purchase PEMBROKE PI 11209583 0 1 Purchase EL CAJON 11222023 0 1 Purchase MESQUITE 11202292 0 1 Purchase BAKERSFIELD 11195317 0 1 C/O Refi SHREVEPORT 11216898 0 1 C/O Refi WOODLAND HI 11223420 0 1 Texas C/O Refi DALLAS 11226583 0 1 Purchase NORTH MASSA 11210455 0 1 C/O Refi WEST COVINA 11207814 0 1 Purchase LYNN 11192167 0 1 C/O Refi LAKELAND 11207333 0 1 Purchase BOGOTA 11219107 0 1 C/O Refi LA PLATA 11214176 0 1 C/O Refi PHILADELPHI 11196638 0 1 C/O Refi BAY POINT 11217721 0 1 C/O Refi RIVERSIDE 11205615 0 1 C/O Refi LOS ANGELES 11143153 0 1 C/O Refi SPARTS 11192332 0 1 C/O Refi KUNA 11196600 0 1 C/O Refi DENVER 11235253 0 1 C/O Refi HILTON 11216705 0 1 C/O Refi MC KEES ROC 11197691 0 1 Purchase PARKER 11217043 0 1 Purchase LAKE WORTH 11231954 0 1 Purchase MYRTLE BEAC 11228347 0 1 C/O Refi FRONT ROYAL 11197058 0 1 C/O Refi JAMAICA 11209183 0 1 Purchase NORTH MIAMI 11194764 0 1 C/O Refi CHICAGO 11221623 0 1 Purchase MARICOPA 11181329 0 1 Purchase PICO RIVERA 11214723 0 1 Purchase STATEN ISLA 11230594 0 1 C/O Refi NEW MARKET 11201534 0 1 C/O Refi LAKESIDE 11206574 0 1 Purchase WOODBRIDGE 11208280 0 1 Purchase KISSIMMEE 11198910 0 1 Purchase BOX ELDER 11198570 0 1 C/O Refi TULARE 11195034 0 1 Purchase PASADENA 11212164 0 1 Purchase FOLSOM 11215585 0 1 Purchase LOS ANGELES 11179497 0 1 C/O Refi EVANSVILLE 11230383 0 1 Texas C/O Refi TRINITY 11209414 0 1 Purchase LOS ANGELES 11184540 0 1 Purchase DALY CITY 11205153 0 1 Purchase CYPRESS HIL 11194936 0 1 Purchase WEST BABYLO 11194304 0 1 Purchase NIXA 11216035 0 1 C/O Refi SAN BRUNO 11210086 0 1 C/O Refi GLENDALE 11194438 0 1 Purchase HYATTSVILLE 11206493 0 1 C/O Refi GLENDORA 11221075 0 1 Purchase SEATAC 11210023 0 1 Purchase TUCSON 11198286 0 1 R/T Refi UXBRIDGE 11189466 0 1 C/O Refi JERSEY CITY 11210139 0 1 C/O Refi WOODLAND 11195910 0 1 Purchase CORAL GABLE 11222897 0 1 Purchase IRVINGTON 11180854 0 1 C/O Refi CORAL SPRIN 11187449 0 1 Purchase TAFT 11165791 0 1 C/O Refi BRONX 11203014 0 1 C/O Refi FREDERICK 11214446 0 1 C/O Refi FLORISSANT 11151412 0 1 Purchase PHOENIX 11219865 0 1 C/O Refi BAKERSFIELD 11195611 0 1 Purchase ELVERTA 11210210 0 1 C/O Refi SUISUN CITY 11161266 0 1 Purchase LAKE WORTH 11220768 0 1 Purchase LONG BEACH 11171809 0 1 C/O Refi BRONX 11187902 0 1 Purchase PICO RIVERA 11223306 0 1 Purchase LANCASTER 11196449 0 1 Purchase MESA 11188846 0 1 C/O Refi MORENO VALL 11193147 0 1 Purchase ESCONDIDO 11203115 0 1 C/O Refi SPARKS 11199349 0 1 C/O Refi MODESTO 11149975 0 1 C/O Refi SUNRISE 11200727 0 1 C/O Refi MERRIMACK 11183173 0 1 R/T Refi ROUND LAKE 11212934 0 1 Purchase TRACY 11200202 0 1 Purchase DALLAS 11193398 0 1 Purchase AVONDALE 11221498 0 1 C/O Refi ALHAMBRA 11229012 0 1 Purchase MANASSAS 11174601 0 1 Purchase SPRINGFIELD 11222232 0 1 C/O Refi JEFFERSON 11200815 0 1 C/O Refi SAINT LOUIS 11208158 0 1 C/O Refi CHICAGO 11198437 0 1 C/O Refi BALTIMORE 11194655 0 1 C/O Refi LA PUENTE 11227055 0 1 Purchase GLENDALE 11223026 0 1 C/O Refi HAYWARD 11208511 0 1 Purchase CANYON COUN 11217985 0 1 Purchase WEST COVINA 11165236 0 1 C/O Refi WARREN 11201025 0 1 C/O Refi FAR ROCKAWA 11204617 0 1 Purchase FRESNO 11216453 0 1 Purchase EL CAJON 11222089 0 1 C/O Refi MONDOVI 11219285 0 1 C/O Refi WEST COVINA 11203648 0 1 Purchase SAN DIEGO 11221501 0 1 Purchase LOWELL 11198545 0 1 Purchase SAN BERNARD 11218519 0 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SPRING 11201766 0 1 Purchase CHINO HILLS 11226472 0 1 C/O Refi VAN NUYS 11208426 0 1 Purchase PALMDALE 11213343 0 1 C/O Refi LYNWOOD 11178759 0 1 C/O Refi LA PALMA 11210230 0 1 C/O Refi LAS VEGAS 11154011 0 1 R/T Refi PATERSON 11220347 0 1 C/O Refi SAN JACINTO 11218090 0 1 Purchase PANORAMA CI 11222319 0 1 Purchase MORENO VALL 11207694 0 1 C/O Refi SACRAMENTO 11213067 0 1 Purchase SACRAMENTO 11202405 0 1 Purchase TACOMA 11202569 0 1 Purchase HENDERSON 11170221 0 1 Purchase MISHAWAKA 11221051 0 1 Purchase LAS VEGAS 11191187 0 1 Purchase MESA 11175921 0 1 C/O Refi HELENA 11178826 0 1 R/T Refi LOS ANGELES 11219735 0 1 Purchase WEST SACRAM 11210306 0 1 Purchase OAK LAWN 11192160 0 1 Purchase OCEAN VIEW 11168840 0 1 Purchase SOLVANG 11214843 0 1 C/O Refi WOODINVILLE 11225405 0 1 Purchase CARLISLE 11222666 0 1 C/O Refi SPARKS 11168316 0 1 C/O Refi TULSA 11218323 0 1 C/O Refi AVA 11224368 0 1 C/O Refi UNION BRIDG 11211503 0 1 Purchase JERSEY CITY 11193225 0 1 Purchase MIAMI 11224767 0 1 Purchase OLYMPIA 11205351 0 1 C/O Refi GLENWOOD LA 11210899 0 1 Purchase DRAKE 11211037 0 1 C/O Refi BRENTWOOD 11199759 0 1 Purchase SANTA CLARI 11177491 0 1 Purchase MORENO VALL 11218739 0 1 Purchase LOS ANGELES 11213667 0 1 C/O Refi KISSIMMEE 11220295 0 1 Purchase OAKTON 11218515 0 1 Purchase SANTA CLARI 11157372 0 1 C/O Refi STREET 11206685 0 1 Purchase WARREN 11209186 0 1 Purchase SHREVEPORT 11207065 0 1 Purchase VALLEJO 11223684 0 1 Purchase NATCHITOCHE 11169481 0 1 C/O Refi ENGLEWOOD 11217734 0 1 Purchase WASHINGTON 11211224 0 1 C/O Refi LOS ANGELES 11194929 0 1 C/O Refi BALTIMORE 11219470 0 1 Purchase SOUTH SAN F 11228404 0 1 C/O Refi FAYETTEVILL 11207354 0 1 C/O Refi BOZEMAN 11221391 0 1 Purchase LAURELTON 11211036 0 1 Purchase FAIRFIELD 11222468 0 1 Purchase MERCED 11210544 0 1 C/O Refi LAS VEGAS 11216118 0 1 C/O Refi STATEN ISLA 11191003 0 1 C/O Refi WAUPUN 11199066 0 1 Purchase MAGALIA 11200289 0 1 Purchase BOISE 11203506 0 1 Purchase BRONX 11208383 0 1 R/T Refi STATEN ISLA 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LANCASTER 11166335 0 2 Purchase NORTH LAS V 11206216 0 2 C/O Refi CARSON 11212534 0 2 Purchase FAIR OAKS 11216649 0 2 C/O Refi DENVER 11222844 0 2 C/O Refi MOUNT AIRY 11211077 0 2 Purchase CHICAGO 11220830 0 2 Purchase DALY CITY 11215809 0 2 C/O Refi LYNNWOOD 11229795 0 2 C/O Refi WOODBRIDGE 11224556 0 2 Purchase MESA 11213899 0 2 Purchase RIALTO 11219013 0 2 Purchase ARLINGTON 11211264 0 2 Purchase WESTMINSTER 11190255 0 2 C/O Refi SPOKANE VAL 11214931 0 2 Purchase SMITHSBURG 11216199 0 2 Purchase EDMOND 11196304 0 2 Purchase SACRAMENTO 11211240 0 2 Purchase LAS VEGAS 11210458 0 2 C/O Refi WEST COVINA 11216596 0 2 C/O Refi WARSAW 11212878 0 2 Purchase LAS VEGAS 11153745 0 2 R/T Refi ARDEN 11208292 0 2 C/O Refi NAUGATUCK 11203507 0 2 Purchase BRONX 11212084 0 2 C/O Refi GAITHERSBUR 11226918 0 2 Purchase HUNTINGTON 11232097 0 2 Purchase WEST HOLLYW 11225229 0 2 Purchase CATHEDRAL C 11209147 0 2 Purchase PEORIA 11208319 0 2 Purchase SANTEE 11201324 0 2 Purchase ADELANTO 11206406 0 2 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11200199 0 2 Purchase CANOGA PARK 11222321 0 2 Purchase MORENO VALL 11214341 0 2 C/O Refi FONTANA 11185313 0 2 Purchase KINGMAN 11221913 0 2 Purchase GERMANTOWN 11158407 0 2 Purchase SOUTHINGTON 11192907 0 2 Purchase HAMPTON 11188063 0 2 C/O Refi BARTOW 11227220 0 2 Purchase COLLEGE STA 11204036 0 1 C/O Refi LOS ANGELES 11202076 0 1 C/O Refi RIDGEFIELD 11210273 0 1 C/O Refi HOLDEN 11204341 0 1 Purchase RIVERSIDE 11231754 0 1 C/O Refi SPRINGFIELD 11210946 0 1 Purchase HARVEY 11211833 0 1 Purchase PORTERVILLE 11196101 0 1 Purchase LOS ANGELES 11215521 0 1 Purchase WINTHROP 11204604 0 1 C/O Refi MILES CITY 11203685 0 1 C/O Refi PACOIMA 11208161 0 1 C/O Refi MIDDLE RIVE 11178601 0 1 R/T Refi CORONA 11153440 0 1 Purchase PROVIDENCE 11214567 0 1 C/O Refi HESPERIA 11197535 0 1 C/O Refi NORTH BERGE 11191761 0 1 Purchase AUBURN 11210988 0 1 R/T Refi WOODBURY 11182314 0 1 C/O Refi NEWBERG 11209899 0 1 Purchase VAN NUYS 11192995 0 1 C/O Refi CHANDLER 11232573 0 1 Purchase COTO DE CAZ 11227349 0 1 Purchase COMPTON 11191231 0 1 C/O Refi CENTRAL ISL 11220105 0 1 Purchase CAPE CORAL 11220381 0 1 Purchase MCKINNEY 11226856 0 1 C/O Refi SUNNYVALE 11207774 0 1 Purchase DOWNEY 11210323 0 1 C/O Refi CAROL CITY 11178017 0 1 Purchase FREEPORT 11207966 0 1 C/O Refi JACKSON 11210704 0 1 Purchase DESERT HOT 11187410 0 1 Purchase MESQUITE 11219250 0 1 C/O Refi HESPERIA 11222414 0 1 Purchase ROWLAND HEI 11189745 0 1 Purchase FREMONT 11230727 0 1 C/O Refi RIALTO 11203478 0 1 Purchase SUN CITY 11213849 0 1 C/O Refi LANCASTER 11192284 0 1 C/O Refi HYATTSVILLE 11216474 0 1 C/O Refi TEMECULA 11139525 0 1 C/O Refi BELLEVILLE 11204268 0 1 C/O Refi VICTORVILLE 11205701 0 1 C/O Refi LAS VEGAS 11202973 0 1 Purchase AVON 11217560 0 1 Purchase CANTON 11209772 0 1 C/O Refi SAN JACINTO 11227025 0 1 Purchase NORTH LAS V 11208465 0 1 C/O Refi RICHMOND 11210050 0 1 C/O Refi NORTH HOLLY 11205391 0 1 Purchase VACAVILLE 11197424 0 1 C/O Refi HATFIELD 11218362 0 1 Purchase HURST 11218221 0 1 Purchase CALDWELL 11214945 0 1 Purchase SILVER SPRI 11175147 0 1 Purchase LAWRENCE 11212309 0 1 Purchase BELTSVILLE 11209362 0 1 C/O Refi GREENBELT 11193604 0 1 Purchase PALO CEDRO 11192132 0 1 Purchase OAK LAWN 11218781 0 1 Purchase APOPKA 11199149 0 1 C/O Refi RICHMOND 11201160 0 1 C/O Refi BROOKLYN 11209833 0 1 Purchase BOISE 11204502 0 1 C/O Refi BOWIE 11216208 0 1 C/O Refi WESTMINSTER 11206399 0 1 Purchase LAS VEGAS 11171642 0 1 Purchase VALLEJO 11217261 0 1 C/O Refi ARLETA 11222330 0 1 Purchase CONCORD 11206834 0 1 Purchase LOS ANGELES 11211379 0 1 Purchase YUBA CITY 11224781 0 1 Purchase HOMESTEAD 11222331 0 1 C/O Refi COVINA 11221471 0 1 Purchase NORWALK 11227083 0 1 Purchase PHOENIX 11211868 0 1 C/O Refi OAKLEY 11210494 0 1 Purchase FALLS CHURC 11222706 0 1 Purchase OPA LOCKA 11182533 0 1 Purchase AVOCA 11199782 0 1 C/O Refi SAN DIEGO 11221432 0 1 C/O Refi LA MESA 11218503 0 1 Purchase AGOURA HILL 11214443 0 1 Purchase PALMDALE 11216610 0 1 Purchase BLOOMINGTON 11181577 0 1 C/O Refi FRESNO 11221531 0 1 C/O Refi AZUSA 11199950 0 1 Purchase DEER PARK 11216700 0 1 Purchase FORT WORTH 11229897 0 1 R/T Refi DERRY 11198752 0 1 Purchase METHUEN 11205436 0 1 C/O Refi ASHTON 11203186 0 1 C/O Refi CHICAGO 11220240 0 1 Purchase RIVERSIDE 11189056 0 1 Purchase PHOENIX 11229962 0 1 Purchase GRANITE FAL 11200937 0 1 Purchase JOLIET 11175206 0 1 C/O Refi HERNDON 11206568 0 1 Purchase SAN JOSE 11200435 0 1 Purchase SANTA CLARI 11232431 0 1 Purchase HOLLIS 11181735 0 1 Purchase HOUSTON 11223862 0 1 Purchase WOODBRIDGE 11230326 0 1 C/O Refi MANAHAWKIN 11225536 0 1 C/O Refi ANTIOCH 11187510 0 1 Purchase WAPPINGERS 11215765 0 1 Purchase NORTHRIDGE 11214359 0 1 C/O Refi PORTAGE 11216631 0 1 Purchase FAIRFAX 11218424 0 1 Purchase MAYBROOK 11192981 0 1 Purchase IRVING 11208331 0 1 Purchase PICO RIVERA 11201460 0 1 Purchase BROKEN ARRO 11214639 0 1 C/O Refi LOS ANGELES 11215211 0 1 C/O Refi TUSTIN 11207040 0 1 C/O Refi PEORIA 11215941 0 1 C/O Refi HESPERIA 11218838 0 1 Purchase LAS VEGAS 11218876 0 1 C/O Refi ROSELLE 11202303 0 1 Purchase DOWNEY 11210996 0 1 C/O Refi OVERLAND PA 11183201 0 1 Texas C/O Refi TROY 11223291 0 1 C/O Refi LYNN 11210985 0 1 Purchase MOUNT VERNO 11202251 0 1 Purchase SAN BERNARD 11224733 0 1 Purchase DUNCANVILLE 11217649 0 1 C/O Refi NORTH FORT 11204018 0 1 C/O Refi HAYWARD 11206473 0 1 C/O Refi PACOIMA 11202913 0 1 C/O Refi PISCATAWAY 11198715 0 1 Purchase PASADENA 11189801 0 1 C/O Refi REEDS SPRIN 11226707 0 1 Purchase FRESNO 11228576 0 1 Purchase MANASSAS 11218935 0 1 C/O Refi CHULA VISTA 11230874 0 1 C/O Refi PEARL RIVER 11198790 0 1 C/O Refi SCOTIA 11217354 0 1 Purchase ANTHEM 11181411 0 1 C/O Refi BUENA PARK 11200693 0 1 Purchase RIVERSIDE 11184269 0 1 C/O Refi STONE MOUNT 11188462 0 1 Purchase LOS ANGELES 11193885 0 1 C/O Refi LOS BANOS 11194670 0 1 Purchase MURFREESBOR 11218903 0 1 Purchase DELRAY BEAC 11193375 0 1 C/O Refi INGLEWOOD 11205057 0 1 C/O Refi RIALTO 11214928 0 1 Purchase CASTAIC 11228372 0 1 Purchase RIPLEY 11221988 0 1 Purchase WARWICK 11214016 0 1 Purchase GARLAND 11211410 0 1 C/O Refi WEED 11155077 0 1 Purchase WATERVILLE 11199604 0 1 Purchase SAN ANTONIO 11209268 0 1 Purchase MORGAN HILL 11107768 0 1 R/T Refi BAKERSFIELD 11214283 0 1 Purchase HANOVER 11197141 0 1 Purchase ADDISON 11211246 0 1 Purchase BURKE 11193662 0 1 Purchase NOTTINGHAM 11195232 0 1 Purchase SAINT AMANT 11206438 0 1 C/O Refi SACRAMENTO 11203238 0 1 R/T Refi LEWISVILLE 11220777 0 1 Purchase FONTANA 11174320 0 1 C/O Refi GOLDEN 11222240 0 1 C/O Refi ONTARIO 11195112 0 1 C/O Refi VICKSBURG 11203291 0 1 C/O Refi SAN JOSE 11196699 0 1 C/O Refi WHITTIER 11202479 0 1 C/O Refi KITTERY 11203405 0 1 C/O Refi HUNTINGTON 11228259 0 1 Purchase VALLEJO 11211375 0 1 Purchase PUEBLO 11216354 0 1 Purchase RICHLAND 11235829 0 1 Purchase LOWELL 11175041 0 1 Purchase NORTH LITTL 11226095 0 1 Purchase ENCINO 11211914 0 1 R/T Refi LAKE VILLA 11202130 0 1 Purchase SAN DIEGO 11224624 0 1 Purchase DALLAS 11121508 0 1 R/T Refi ALLEN 11163582 0 1 Purchase LITTLE FERR 11191154 0 1 Purchase ADELANTO 11172989 0 1 C/O Refi CASTLE ROCK 11223854 0 1 Purchase TULARE 11215567 0 1 C/O Refi WASHINGTON 11190970 0 1 C/O Refi BALTIMORE 11212838 0 1 R/T Refi BOLINGBROOK 11192886 0 1 C/O Refi FREDERICKSB 11218314 0 1 R/T Refi FEDERAL WAY 11225008 0 1 C/O Refi CHATSWORTH 11177707 0 1 C/O Refi MONROE 11228302 0 1 C/O Refi LINDENHURST 11221482 0 1 C/O Refi SANTA ROSA 11217552 0 1 R/T Refi NEW CASTLE 11212501 0 1 C/O Refi FONTANA 11200418 0 1 Purchase LOYALTON 11185069 0 1 Purchase MADISON 11174134 0 1 Purchase OLYMPIA 11215313 0 1 Purchase PLAINFIELD 11214620 0 1 Purchase HAMMOND 11222524 0 1 C/O Refi TEANECK 11211567 0 1 Purchase MCKINNEY 11175036 0 1 Purchase SANTA CLARI 11166719 0 1 C/O Refi TOPEKA 11190350 0 1 C/O Refi FRESNO 11190902 0 1 Purchase CATHEDRAL C 11214352 0 1 Purchase GRANITE CIT 11194935 0 1 Purchase BROOKSVILLE 11192798 0 1 C/O Refi HAWAIIAN GA 11216355 0 1 Purchase OAKLEY 11212177 0 1 R/T Refi NEWARK 11205155 0 1 C/O Refi BRENTWOOD 11220774 0 1 C/O Refi OAKLAND 11163096 0 1 C/O Refi APOLLO 11198425 0 1 Purchase RANCHO CUCA 11173532 0 1 C/O Refi BROOKLYN 11163714 0 1 C/O Refi ORANGE 11198548 0 1 Purchase CORONA 11208308 0 1 Purchase LOWELL 11225453 0 1 Purchase ATLANTA 11202735 0 1 C/O Refi POMONA 11177200 0 1 C/O Refi SANTA CLARI 11149574 0 1 C/O Refi VALLEY SPRI 11214447 0 1 Purchase EAST WENATC 11224981 0 1 Purchase LOS ANGELES 11197709 0 1 C/O Refi LOS ANGELES 11150931 0 1 R/T Refi PINE CITY 11228953 0 1 C/O Refi BAKERSFIELD 11210379 0 1 Purchase BAYSHORE 11219546 0 1 Purchase SAN FRANCIS 11210190 0 1 C/O Refi TEHACHAPI 11199767 0 1 Purchase UNION GAP 11211932 0 1 C/O Refi GEISMAR 11225182 0 1 C/O Refi LYNWOOD 11193634 0 1 Purchase BRIDGEWATER 11208695 0 1 Purchase LOS ANGELES 11217296 0 1 Purchase ALISO VIEJO 11186582 0 1 Purchase SAN ANTONIO 11193196 0 1 Purchase COACHELLA 11202078 0 1 Purchase VICTORVILLE 11204417 0 1 Purchase TEMECULA 11219621 0 1 C/O Refi RIVERSIDE 11182236 0 1 C/O Refi SAN JOAQUIN 11186369 0 1 C/O Refi SICKLERVILL 11227309 0 1 Purchase FLINT 11206357 0 1 Purchase FEDERAL WY 11179757 0 1 C/O Refi SAUK VILLAG 11216307 0 1 Purchase BAKERSFIELD 11209401 0 1 Purchase QUEENS VILL 11210024 0 1 C/O Refi AVONDALE 11210789 0 1 Purchase LOS BANOS 11213980 0 1 Purchase FOUNTAIN VA 11210757 0 1 C/O Refi VISALIA 11230794 0 1 Purchase CONROE 11204035 0 1 Purchase WEST PALM B 11209819 0 1 Purchase METHUEN 11210590 0 1 C/O Refi LYNWOOD 11221175 0 1 C/O Refi SELDEN 11209861 0 1 Purchase SANTA ANA 11190947 0 1 C/O Refi LAURELTON 11220461 0 1 Purchase LA PUENTE 11216000 0 1 Purchase ORLANDO 11194958 0 1 C/O Refi PANORAMA CI 11223820 0 1 Purchase MARYSVILLE 11202922 0 1 C/O Refi MILWAUKEE 11219660 0 1 C/O Refi LA QUINTA 11220501 0 1 Purchase BEAVER DAM 11185524 0 1 C/O Refi ESCONDIDO 11211214 0 1 C/O Refi COTTAGE GRO 11163247 0 1 C/O Refi CATHEDRAL C 11226828 0 1 C/O Refi WEST SACRAM 11190642 0 1 C/O Refi BRENTWOOD 11219852 0 1 Purchase OAK ISLAND 11214764 0 1 C/O Refi NORWALK 11201072 0 1 Purchase ROSLINDALE 11214821 0 1 C/O Refi PETALUMA 11210525 0 1 C/O Refi ALBUQUERQUE 11196870 0 1 C/O Refi MOUNT PLYMO 11211323 0 1 C/O Refi ANAHEIM 11203623 0 1 C/O Refi SANGER 11200021 0 1 Purchase DUMFRIES 11230881 0 1 C/O Refi VAN NUYS 11217063 0 1 Purchase LAS VEGAS 11209343 0 1 C/O Refi NORTH BERGE 11190506 0 1 C/O Refi FRESNO 11211765 0 1 Purchase WINDSOR 11229472 0 1 Purchase WASHINGTON 11211870 0 1 Purchase LAS VEGAS 11225354 0 1 Purchase CULPEPPER 11228692 0 1 Purchase AUBURN 11228369 0 1 C/O Refi VISALIA 11198016 0 1 Purchase KIRKLAND 11189651 0 1 Purchase FITCHBURG 11210061 0 1 C/O Refi CANTON 11208955 0 1 Purchase PALMDALE 11199228 0 1 C/O Refi JOSHUA TREE 11212686 0 1 Purchase BAKERSFIELD 11217094 0 1 Purchase NORTHRIDGE 11214569 0 1 R/T Refi WILMETTE 11205868 0 1 C/O Refi SANTA CRUZ 11233175 0 1 Purchase ALLEN 11179100 0 1 Purchase WHITTIER 11210818 0 1 C/O Refi VALLEY STRE 11202827 0 1 C/O Refi LAS VEGAS 11214697 0 1 Purchase CARPENTERSV 11176972 0 1 C/O Refi SHREVEPORT 11184111 0 1 C/O Refi ELLENDALE 11216100 0 1 C/O Refi CHICAGO 11210639 0 1 C/O Refi HENDERSON 11210428 0 1 C/O Refi VALLEY SPRI 11220085 0 1 C/O Refi TUFTENBORO 11198736 0 1 Purchase WINTHROP 11178338 0 1 C/O Refi RESTON 11226371 0 1 C/O Refi FREEDOM 11222181 0 1 Purchase PASCO 11232012 0 1 Purchase DACULA 11198592 0 1 Purchase COVINA 11193679 0 1 C/O Refi STOCKTON 11222398 0 1 Purchase PHOENIX 11214427 0 1 Purchase ANDERSON 11192739 0 1 C/O Refi PHELAN 11176865 0 1 C/O Refi STATEN ISLA 11225277 0 1 R/T Refi LYNN 11188891 0 1 C/O Refi RIVERSIDE 11200154 0 1 Purchase LONG BEACH 11203661 0 1 C/O Refi FONTANA 11205705 0 1 C/O Refi DULUTH 11198797 0 1 C/O Refi CLINTON 11166661 0 1 C/O Refi MEROM 11207511 0 1 C/O Refi LA PUENTE 11228776 0 1 Purchase EVERETT 11214571 0 1 Purchase TORRANCE 11205666 0 1 C/O Refi FRESNO 11173048 0 1 C/O Refi MOUNT VERNO 11195582 0 1 C/O Refi SALEM 11217093 0 1 Purchase BAKERSFIELD 11203380 0 1 C/O Refi ASHEVILLE 11226602 0 1 C/O Refi HUNTINGTON 11183535 0 1 C/O Refi PASADENA 11217710 0 1 C/O Refi DALY CITY 11210146 0 1 C/O Refi MANTECA 11157603 0 1 Purchase NORTH HOLLY 11223858 0 1 Purchase SPRINGFIELD 11220363 0 1 Purchase SACRAMENTO 11195486 0 1 C/O Refi WAUCONDA 11221749 0 1 Purchase LOS ANGELES 11227714 0 1 Purchase SAN BERNARD 11232820 0 1 Purchase HARBOR CITY 11191490 0 1 Purchase BALTIMORE 11182257 0 1 C/O Refi PUYALLUP 11200307 0 1 C/O Refi NAMPA 11212052 0 1 Purchase WOODBRIDGE 11228798 0 1 Purchase OCEANSIDE 11171134 0 1 R/T Refi VIENNA 11205325 0 1 C/O Refi MARICOPA 11216532 0 1 C/O Refi CHULA VISTA 11201248 0 1 C/O Refi SCRANTON 11206875 0 1 Purchase SAN BERNARD 11222460 0 1 Purchase OAKLAND 11204709 0 1 R/T Refi HOUSTON 11224196 0 1 Purchase DANVERS 11212094 0 1 C/O Refi PALMDALE 11230068 0 1 C/O Refi ANTIOCH 11161762 0 1 Purchase MURRIETA 11231248 0 1 Purchase JACKSON 11196941 0 1 C/O Refi KISSIMMEE 11194822 0 1 Purchase CARROLLTON 11191149 0 1 R/T Refi LAKE ELSINO 11204359 0 1 Purchase HARBOR CITY 11193937 0 1 C/O Refi GARDNERVILL 11222542 0 1 Purchase CANOGA PARK 11194724 0 1 C/O Refi MELROSE 11190777 0 1 R/T Refi HAYMARKET 11218350 0 1 Purchase TARPON SPRI 11198209 0 1 C/O Refi PLATTE CITY 11223513 0 1 Purchase PLACENTIA 11191355 0 1 C/O Refi CALUMET CIT 11187047 0 1 Purchase LEWISBURG 11195155 0 1 Purchase CHICAGO 11197594 0 1 C/O Refi CARSON CITY 11203401 0 1 Purchase HOUSTON 11215579 0 1 C/O Refi TEMECULA 11222640 0 1 C/O Refi NEWBURY 11221958 0 1 Purchase QUEEN CREEK 11224285 0 1 C/O Refi BRANDON 11176188 0 1 Purchase HESPERIA 11173268 0 1 Purchase HIGH POINT 11199208 0 1 C/O Refi SANTA FE SP 11199281 0 1 Purchase HALSTEAD 11200619 0 1 Purchase SAN JOSE 11197913 0 1 R/T Refi BOWIE 11213714 0 1 Purchase CERES 11201828 0 1 C/O Refi VIROQUA 11217529 0 1 Purchase PITTSBURGH 11214373 0 1 Purchase OCEANSIDE 11229325 0 1 Purchase SIMI VALLEY 11228426 0 1 Purchase GORDONSVILL 11225724 0 1 Purchase VILLE PLATT 11223331 0 1 C/O Refi MARENGO 11179423 0 1 C/O Refi STEVENSON R 11211993 0 1 C/O Refi RIVERSIDE 11173407 0 1 C/O Refi ARLINGTON 11200570 0 1 Purchase PHOENIX 11203043 0 1 Purchase BEAUMONT 11207275 0 1 C/O Refi CENTREVILLE 11193873 0 1 Purchase SOUTH PASAD 11214886 0 1 R/T Refi SOUTH ORANG 11210820 0 1 Purchase GERMANTOWN 11196213 0 1 Purchase BOLINGBROOK 11220040 0 1 C/O Refi SACRAMENTO 11182098 0 1 C/O Refi BELOIT 11205596 0 1 C/O Refi MERIDEN 11200858 0 1 Purchase BERLIN 11207167 0 1 Purchase VALLEJO 11204250 0 1 R/T Refi SACRAMENTO 11218131 0 1 C/O Refi MIAMI 11166955 0 1 Purchase WEST MIFFLI 11212904 0 1 Purchase KISSIMMEE 11203529 0 1 C/O Refi PROVIDENCE 11207999 0 1 C/O Refi WOBURN 11182004 0 1 Purchase BATON ROUGE 11200932 0 1 C/O Refi SAN LEANDRO 11217246 0 1 Purchase WILDOMAR 11189955 0 1 C/O Refi GLENDALE 11187013 0 1 Purchase AZLE 11198342 0 1 Purchase ROCKWALL 11214278 0 1 Purchase SANTA MARIA 11215623 0 1 Purchase WACO 11218203 0 1 Purchase ALEXANDRIA 11209339 0 1 Purchase BYRAM 11210394 0 1 R/T Refi LOVES PARK 11167827 0 1 C/O Refi HACIENDA HE 11203447 0 1 C/O Refi CHICAGO 11216048 0 1 C/O Refi LOS ANGELES 11216325 0 1 Purchase CENTREVILLE 11220797 0 1 C/O Refi MEMPHIS 11180420 0 1 R/T Refi HUBER HEIGH 11209253 0 1 C/O Refi WYANDANCH 11168102 0 1 Purchase ROHNERT PAR 11166200 0 1 Purchase FRESNO 11172092 0 1 C/O Refi LOS ANGELES 11193730 0 1 Purchase COMMERCE 11206036 0 1 Purchase ALLEN 11201363 0 1 C/O Refi HESPERIA 11206432 0 1 Purchase NORTH LAS V 11221375 0 1 Purchase FRISCO 11209246 0 1 Purchase PALMDALE 11201108 0 1 Purchase MARYSVILLE 11199069 0 1 Purchase COLUMBIA 11204768 0 1 R/T Refi SCHAUMBURG 11216584 0 1 C/O Refi LAS VEGAS 11212631 0 1 C/O Refi CHATTANOOGA 11232612 0 1 Purchase MORRO BAY 11189380 0 1 Purchase BATON ROUGE 11206062 0 1 Purchase PANORAMA CI 11186842 0 1 R/T Refi LINDEN 11213283 0 1 C/O Refi ORLANDO 11210429 0 1 C/O Refi RIVERDALE 11212066 0 1 C/O Refi AZUSA 11180157 0 1 Purchase LAS VEGAS 11201551 0 1 Purchase ALLENTOWN 11229491 0 1 C/O Refi PEABODY 11176429 0 1 Purchase FORT WORTH 11201224 0 1 C/O Refi YPSILANTI 11169653 0 1 Purchase APEX 11183098 0 1 C/O Refi SILVER SPRI 11187593 0 1 Purchase CLINTON 11202980 0 1 Purchase ANAHEIM 11186952 0 1 Purchase HEMPSTEAD 11191964 0 1 Purchase LODI 11198326 0 1 Purchase TEWKSBURY 11205160 0 1 Purchase FAYETTEVILL 11205471 0 1 R/T Refi UNION 11211955 0 1 R/T Refi MIDDLETON 11162584 0 1 Purchase BRIDGEPORT 11212499 0 1 Purchase RICHMOND 11198033 0 1 Purchase SANDY 11224270 0 1 Purchase FORT MYERS 11215968 0 1 Purchase BRAWLEY 11212502 0 1 Purchase CHULA VISTA 11210466 0 1 C/O Refi GARY 11202168 0 1 Purchase QUEEN CREEK 11219028 0 1 C/O Refi SACRAMENTO 11198993 0 1 C/O Refi GREENWOOD 11213153 0 1 C/O Refi CHINO HILLS 11179400 0 1 C/O Refi VALLEJO 11210562 0 1 Purchase GAINESVILLE 11201620 0 1 C/O Refi EAST GREENW 11203820 0 1 C/O Refi DURHAM 11219892 0 1 Purchase RIVERSIDE 11202243 0 1 Purchase HOUSTON 11193105 0 1 Purchase NAMPA 11204662 0 1 Purchase BATON ROUGE 11187920 0 1 C/O Refi ACCOKEEK 11213645 0 1 Purchase SAN DIEGO 11224239 0 1 Purchase RIVERHEAD 11211639 0 1 C/O Refi CRYSTAL SPR 11232655 0 1 Purchase HALTOM CITY 11198147 0 1 Purchase PLAINVIEW 11216983 0 1 C/O Refi GALESBURG 11211056 0 1 Purchase SUN VALLEY 11217775 0 1 Purchase SECAUCUS 11206779 0 1 C/O Refi LAS VEGAS 11201805 0 1 C/O Refi OXON HILL 11208698 0 1 C/O Refi MAPLE VALLE 11201225 0 1 Purchase TALLAHASSEE 11199983 0 1 Purchase SACRAMENTO 11142827 0 1 Purchase CHICAGO 11179741 0 1 C/O Refi ROCHESTER 11222607 0 1 C/O Refi CHESAPEAKE 11186973 0 1 Purchase JACKSON 11172170 0 1 C/O Refi BERLIN 11213913 0 1 C/O Refi ALGONQUIN 11220862 0 1 Purchase GARDEN GROV 11208204 0 1 Purchase FONTANA 11210471 0 1 C/O Refi LYNN 11213870 0 1 Purchase BELL 11216669 0 1 Purchase SEATTLE 11209936 0 1 C/O Refi WILBRAHAM 11175895 0 1 Purchase SAN BERNARD 11186260 0 1 Purchase CONCORD 11197564 0 1 Purchase NORFOLK 11211590 0 1 C/O Refi WASHINGTON 11193373 0 1 Purchase SACRAMENTO 11165579 0 1 C/O Refi ROSAMOND 11200698 0 1 Purchase SPANAWAY 11193132 0 1 C/O Refi VALLEJO 11229460 0 1 Purchase GLENDALE 11203025 0 1 Purchase LONG BEACH 11222018 0 1 Purchase BAKERSFIELD 11226892 0 1 Purchase INDIANAPOLI 11205645 0 1 C/O Refi VERSAILLES 11195320 0 1 Purchase CLAREMONT 11206389 0 1 C/O Refi YUCCA VALLE 11206900 0 1 Purchase LADSON 11197587 0 1 C/O Refi DALTON GARD 11158318 0 1 Purchase BROOKLYN 11190118 0 1 Purchase BRENTWOOD 11207804 0 1 Purchase BROCKTON 11214023 0 1 C/O Refi MEMPHIS 11222155 0 1 Purchase VIRGINIA BE 11225336 0 1 Purchase SAINT CLOUD 11223413 0 1 C/O Refi VICTORVILLE 11195476 0 1 Purchase CELINA 11210360 0 1 Purchase MANASSAS 11201113 0 1 C/O Refi RANDALLSTOW 11210889 0 1 C/O Refi MOUNT VERNO 11191125 0 1 Purchase GRAND FORKS 11188240 0 1 C/O Refi ORLANDO 11227927 0 1 Purchase AURORA 11139377 0 1 C/O Refi HESPERIA 11208224 0 1 C/O Refi SAN PABLO 11191335 0 1 C/O Refi CORONA 11209046 0 1 C/O Refi MONTPELIER 11200272 0 1 C/O Refi BURBANK 11190681 0 1 C/O Refi HEMPSTEAD 11207197 0 1 Purchase HYATTSVILLE 11202436 0 1 Purchase VALLEJO 11207564 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11213385 0 1 C/O Refi HENDERSON 11172740 0 1 C/O Refi CORNELIUS 11217055 0 1 C/O Refi WEST HILLS 11212712 0 1 Purchase FORT WORTH 11200655 0 1 C/O Refi GULFPORT 11186660 0 1 C/O Refi HAGERSTOWN 11217294 0 1 C/O Refi RANCHO CUCA 11184127 0 1 Purchase FORT WORTH 11188670 0 1 Purchase OLYMPIA 11199955 0 1 Purchase TORRANCE 11202496 0 1 C/O Refi NEWARK 11225167 0 1 Purchase MESA 11205916 0 1 Purchase KINGSTON SP 11203022 0 1 C/O Refi BRANDYWINE 11210756 0 1 Purchase BALDWIN PAR 11195676 0 1 Purchase RICHMOND 11216752 0 1 Purchase ALLEN 11205443 0 1 C/O Refi EAST ORANGE 11215826 0 1 Purchase SALIDA 11212157 0 1 Purchase LAS VEGAS 11199381 0 1 C/O Refi SPRINGFIELD 11221107 0 1 Purchase BLOOMINGTON 11194753 0 1 C/O Refi WAXHAW 11209373 0 1 C/O Refi AZUSA 11208823 0 1 C/O Refi RIALTO 11204897 0 1 C/O Refi NEW CUMBERL 11227912 0 1 Purchase SAN ANTONIO 11200465 0 1 C/O Refi WATERBURY 11208347 0 1 C/O Refi LAKE ELSINO 11198000 0 1 Purchase MCALLEN 11218379 0 1 Purchase ORANGE CITY 11212797 0 1 C/O Refi AMITYVILLE 11216868 0 1 Purchase JACKSONVILL 11222247 0 1 C/O Refi KENT 11195707 0 1 C/O Refi WARE 11194774 0 1 Purchase ELMHURST 11203906 0 1 C/O Refi WASHINGTON 11228988 0 1 C/O Refi WEST HILLS 11220287 0 1 C/O Refi FONTANA 11182087 0 1 C/O Refi BROCKTON 11203518 0 1 C/O Refi SYLMAR 11181400 0 1 C/O Refi SILT 11196016 0 1 R/T Refi KITTERY 11222860 0 1 Purchase WOODLAND 11203132 0 1 C/O Refi EDMONDS 11184422 0 1 Purchase CLINTON 11203686 0 1 C/O Refi INDIO 11228029 0 1 R/T Refi LOGAN 11178566 0 1 C/O Refi RANCHO CUCA 11230808 0 1 C/O Refi LANCASTER 11226074 0 1 Purchase HERNDON 11167776 0 1 R/T Refi HOUSTON 11210762 0 1 Purchase FORT WORTH 11212822 0 1 Purchase TACOMA 11217405 0 1 Purchase WEST JORDAN 11199006 0 1 Purchase OAKLAND 11205913 0 1 C/O Refi PASADENA 11208228 0 1 C/O Refi VALLEJO 11208464 0 1 C/O Refi CLOVIS 11202701 0 1 C/O Refi SALIDA 11198159 0 1 C/O Refi SEATTLE 11196513 0 1 Purchase SACRAMENTO 11198704 0 1 Purchase STRATFORD 11219663 0 1 Purchase DALLAS 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Purchase MANSFIELD 11215342 0 1 C/O Refi RIVERSIDE 11217739 0 1 Purchase BAKERSFIELD 11188049 0 1 Purchase MOYOCK 11212063 0 1 Purchase STATEN ISLA 11201839 0 1 Purchase CORONA 11221104 0 1 C/O Refi SAN JOSE 11184264 0 1 Purchase SANTA CLARI 11195212 0 1 C/O Refi PIERCE CITY 11175834 0 1 Purchase WINNSBORO 11203865 0 1 Purchase LOWELL 11208343 0 1 Purchase PALMDALE 11197017 0 1 C/O Refi TAHOE VISTA 11168849 0 1 Purchase SPOKANE 11179285 0 1 Texas C/O Refi BEAUMONT 11189257 0 1 Purchase FORT WORTH 11189336 0 1 C/O Refi HIAWASSEE 11225176 0 1 R/T Refi PEARLAND 11220010 0 1 Purchase HEMET 11195688 0 1 C/O Refi GILROY 11204648 0 1 Purchase LAS VEGAS 11164175 0 1 Purchase POMONA 11228337 0 1 Purchase BERWYN 11191117 0 1 Purchase CERES 11219303 0 1 Purchase BETHLEHEM 11216025 0 1 C/O Refi HIGHLAND 11194102 0 1 C/O Refi SOUTH AMBOY 11222749 0 1 Purchase FORT LAUDER 11209501 0 1 C/O Refi SPRINGFIELD 11201083 0 1 Purchase RICHARDSON 11225276 0 1 C/O Refi COLUMBIA 11194782 0 1 C/O Refi SEYMOUR 11205835 0 1 Purchase NORTH LAS V 11186216 0 1 Purchase RANCHO CUCA 11155595 0 1 Purchase BRIGANTINE 11224580 0 1 C/O Refi SACRAMENTO 11232762 0 1 Purchase FREDERICKSB 11178570 0 1 R/T Refi PITTSBURGH 11171068 0 1 Purchase DALLAS 11187639 0 1 Purchase VAN NUYS 11217253 0 1 C/O Refi EVANSVILLE 11220350 0 1 C/O Refi SMITHSBURG 11210695 0 1 C/O Refi SACRAMENTO 11169346 0 1 C/O Refi MINONK 11221321 0 1 Purchase CLEVELAND 11165169 0 1 Purchase HEMPSTEAD 11192884 0 1 C/O Refi MILFORD 11198323 0 1 Purchase PICO RIVERA 11208953 0 1 Purchase RIALTO 11203247 0 1 C/O Refi NAPANOCH 11199928 0 1 C/O Refi SAN FRANCIS 11203215 0 1 C/O Refi ALBUQUERQUE 11169420 0 1 Purchase WINCHESTER 11211787 0 1 Purchase NAUGATUCK 11193008 0 1 Purchase SHAFTER 11213582 0 1 Purchase LINCOLN 11204387 0 1 Purchase DALLAS 11226253 0 1 Purchase RENO 11199492 0 1 C/O Refi NEW CARROLL 11210849 0 1 Purchase ATLANTA 11220033 0 1 C/O Refi FALL RIVER 11189558 0 1 C/O Refi DAYTON 11205427 0 1 C/O Refi UPPER MARLB 11224163 0 1 C/O Refi BRONX 11202950 0 1 Purchase ROSEDALE 11227537 0 1 Purchase FONTANA 11160441 0 1 Purchase BROOKLYN 11212198 0 1 Purchase ANNANDALE 11203136 0 1 C/O Refi FRESNO 11186143 0 1 Texas C/O Refi DALLAS 11225342 0 1 C/O Refi STONY POINT 11223524 0 1 Purchase HAMMOND 11227472 0 1 C/O Refi PHOENIX 11213719 0 1 C/O Refi GAITHERSBUR 11217975 0 1 Purchase MANTECA 11193661 0 1 C/O Refi GALLOWAY TO 11156412 0 1 C/O Refi AMBRIDGE 11203656 0 1 C/O Refi FRESNO 11186533 0 1 Texas C/O Refi GARLAND 11201106 0 1 Purchase TUSTIN 11220619 0 1 Purchase PATCHOGUE 11199718 0 1 Purchase MOLALLA 11201923 0 1 C/O Refi WHEATON 11178516 0 1 C/O Refi DORCHESTER 11207107 0 1 Purchase DALLAS 11159265 0 1 Purchase LAS VEGAS 11212297 0 1 Purchase INDIO 11198056 0 1 Purchase DOWNEY 11221547 0 1 C/O Refi LANCASTER 11223289 0 1 C/O Refi HANOVER PAR 11178316 0 1 Purchase COLORADO SP 11229116 0 1 Purchase SAN ANTONIO 11194224 0 1 C/O Refi WOBURN 11207508 0 1 C/O Refi BRIDGEPORT 11210054 0 1 C/O Refi ORLANDO 11160331 0 1 C/O Refi PALMDALE 11193671 0 1 Purchase OTHELLO 11213471 0 1 Purchase PORTSMOUTH 11208884 0 1 Purchase PHOENIX 11181979 0 1 C/O Refi CHICOPEE 11225121 0 1 C/O Refi SAN JOSE 11217409 0 1 C/O Refi NIPOMO 11197905 0 1 C/O Refi AMBRIDGE 11195982 0 1 C/O Refi CLINTON 11189961 0 1 C/O Refi CLINTON 11218930 0 1 Purchase CULPEPER 11214756 0 1 C/O Refi LAS VEGAS 11195847 0 1 C/O Refi STERLING 11211675 0 1 C/O Refi METHUEN 11201029 0 1 Purchase FORT WORTH 11206637 0 1 C/O Refi COCHRANVILL 11231562 0 1 C/O Refi SUMMIT 11177909 0 1 Purchase LYNWOOD 11168747 0 1 Purchase CROMWELL 11193363 0 1 C/O Refi OAKLAND 11212306 0 1 Purchase KENT 11177593 0 1 Purchase VALENCIA 11215634 0 1 C/O Refi TACOMA 11178387 0 1 Purchase SUMMIT 11211942 0 1 Purchase SAN BERNARD 11217209 0 1 Purchase BOISE 11158111 0 1 Purchase ROCKWALL 11175086 0 1 C/O Refi NEWARK 11227745 0 1 Purchase SNELLVILLE 11220841 0 1 Purchase WINCHESTER 11171249 0 1 C/O Refi CHARLOTTESV 11208376 0 1 Purchase GLENSIDE 11192074 0 1 C/O Refi NEW CASTLE 11222945 0 1 Purchase SQUAW VALL 11112558 0 1 C/O Refi CARMEL VALL 11221399 0 1 Purchase ROSELLE 11174707 0 1 Purchase LANCASTER 11230546 0 1 C/O Refi LYNWOOD 11209987 0 1 Purchase ALHAMBRA 11205074 0 1 C/O Refi MISSION HIL 11216277 0 1 C/O Refi SAN MIGUEL 11203926 0 1 R/T Refi CHICAGO 11221943 0 1 C/O Refi SYLMAR 11213926 0 1 Purchase IRVINE 11188723 0 1 R/T Refi HOUSTON 11208297 0 1 C/O Refi LOS ANGELES 11204848 0 1 Texas C/O Refi CROSBY 11184424 0 1 Purchase RANCHO PALO 11164712 0 1 C/O Refi EDGEWATER 11181039 0 1 Purchase PHILLIPSBUR 11226776 0 1 C/O Refi LAKE HAVASU 11190011 0 1 Purchase ALBION 11209493 0 1 C/O Refi OLNEY 11213034 0 1 C/O Refi MILFORD 11195855 0 1 C/O Refi VANDALIA 11222000 0 1 C/O Refi NORWOOD 11210168 0 1 C/O Refi PALM SPRING 11206462 0 1 C/O Refi LOS ANGELES 11212271 0 1 C/O Refi TOMS RIVER 11179444 0 1 Purchase LA PLACE 11193148 0 1 C/O Refi MEDFORD 11213987 0 1 C/O Refi BRENTWOOD 11190703 0 1 C/O Refi GLEN ALLEN 11211243 0 1 Purchase RENTON 11200216 0 1 C/O Refi ANTIOCH 11193361 0 1 Purchase WINCHESTER 11217489 0 1 Purchase BARTOW 11213370 0 1 Purchase LAREDO 11216029 0 1 C/O Refi FONTANA 11215461 0 1 Purchase SAN ANTONIO 11191569 0 1 C/O Refi CHAMISAL 11215050 0 1 C/O Refi OXON HILL 11203573 0 1 Purchase LAS VEGAS 11174209 0 1 Texas C/O Refi HOUSTON 11215414 0 1 C/O Refi BAKERSFIELD 11207945 0 1 C/O Refi TAMPA 11186342 0 1 C/O Refi FRESNO 11194786 0 1 Purchase JACKSON 11180648 0 1 Purchase CHICAGO 11213744 0 1 C/O Refi RIALTO 11173816 0 1 Purchase CHICAGO 11215696 0 1 Purchase BAKERSFIELD 11199363 0 1 Purchase VALENCIA 11192628 0 1 Purchase VICTORVILLE 11198639 0 1 Purchase APPLE VALLE 11181153 0 1 Purchase ROSEVILLE 11175138 0 1 C/O Refi SANTA CLARA 11204752 0 1 Purchase LOS BANOS 11214787 0 1 Texas C/O Refi DALLAS 11203664 0 1 C/O Refi MADERA 11215224 0 1 C/O Refi COLTON 11202503 0 1 C/O Refi LANHAM 11166010 0 1 Purchase MORGANTOWN 11198017 0 1 Purchase EL RENO 11160565 0 1 C/O Refi BARTLETT 11214336 0 1 Purchase OXNARD 11178725 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Purchase CHATSWORTH 11216944 0 1 Purchase ANTIOCH 11220234 0 1 Purchase SPRINGFIELD 11210692 0 1 Purchase SACHSE 11215474 0 1 C/O Refi TOMS RIVER 11157378 0 1 C/O Refi FRESNO 11220252 0 1 C/O Refi BROOKLYN 11183688 0 1 C/O Refi OPA LOCKA 11200711 0 1 Purchase STATEN ISLA 11208690 0 1 Purchase SPRING VALL 11201354 0 1 C/O Refi NAUGATUCK 11197973 0 1 Purchase FRANKLIN 11207560 0 1 C/O Refi PALM SPRING 11201577 0 1 C/O Refi JACKSBORO 11174696 0 1 C/O Refi PUYALLUP 11207029 0 1 C/O Refi CENTREVILLE 11219533 0 1 C/O Refi LANCASTER 11222296 0 1 Purchase ANTIOCH 11232327 0 1 Purchase APPLE VALLE 11195426 0 1 Purchase RENTON 11196625 0 1 C/O Refi WELLINGTON 11202144 0 1 C/O Refi RENO 11203541 0 1 C/O Refi LOS ANGELES 11222461 0 1 Purchase MISSION VIE 11217619 0 1 C/O Refi SUITLAND 11218825 0 1 C/O Refi BENTON 11232366 0 1 C/O Refi WEST COVINA 11217637 0 1 R/T Refi DECATUR 11206883 0 1 C/O Refi COLUMBIA 11208337 0 1 C/O Refi EGG HARBOR 11212022 0 1 R/T Refi DURHAM 11192178 0 1 R/T Refi HILLSIDE 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Purchase HARKER HEIG 11207028 0 1 C/O Refi MIDDLETOWN 11216592 0 1 C/O Refi TACOMA 11230682 0 1 Purchase FAIRFAX 11216688 0 1 C/O Refi BUFFALO GRO 11223129 0 1 Purchase JACKSONVILL 11183964 0 1 Purchase REVERE 11179503 0 1 Purchase BROOKLYN 11210520 0 1 Purchase ALISO VIEJO 11175424 0 1 Purchase NORTH HOLLY 11203076 0 1 Purchase MIAMI 11213680 0 1 C/O Refi WAREHAM 11200070 0 1 C/O Refi FORT WASHIN 11211894 0 1 C/O Refi PICO RIVERA 11222370 0 1 R/T Refi BOWMAN 11212725 0 1 C/O Refi LAKE HAVASU 11175513 0 1 C/O Refi PHOENIX 11211882 0 1 C/O Refi LOS ANGELES 11196499 0 1 C/O Refi MODESTO 11218680 0 1 Purchase RICHARDSON 11198051 0 1 Purchase CHULA VISTA 11155169 0 1 R/T Refi POTTSBORO 11205171 0 1 Purchase EGG HARBOR 11215854 0 1 C/O Refi CITRUS HEIG 11221632 0 1 Purchase RIO RANCHO 11179610 0 1 Purchase ALPHARETTA 11178481 0 1 Purchase MALIBU 11210080 0 1 R/T Refi JACKSON 11212516 0 1 Purchase HOUSTON 11218672 0 1 C/O Refi LOS ANGELES 11218185 0 1 Purchase YUCAIPA 11221929 0 1 Purchase MISSOURI CI 11218113 0 1 C/O Refi ARLINGTON H 11209944 0 1 C/O Refi ELBA 11210261 0 1 Purchase DEPEW 11189694 0 1 Purchase CAPE MAY CO 11204923 0 1 Purchase MORENO VALL 11207260 0 1 C/O Refi CORONA 11192800 0 1 Purchase ALLENTOWN 11211355 0 1 Purchase COVINA 11207189 0 1 C/O Refi MONROVIA 11220080 0 1 Purchase BLADENSBURG 11217338 0 1 Purchase SAN BERNARD 11214386 0 1 Purchase SAN ANTONIO 11163598 0 1 Purchase OLIVE BRANC 11230553 0 1 C/O Refi INDIANAPOLI 11217776 0 1 Purchase HOLLIS 11213595 0 1 Purchase DEER PARK 11194213 0 1 C/O Refi WEST NEW YO 11220565 0 1 Purchase GAITHERSBUR 11217309 0 1 Purchase EL MIRAGE 11140686 0 1 Purchase MESA 11199815 0 1 Purchase RAMONA 11231783 0 1 C/O Refi FORT LAUDER 11194873 0 1 Purchase EAST BEND 11181762 0 1 Texas C/O Refi PLANO 11187599 0 1 C/O Refi RIO RANCHO 11220502 0 1 C/O Refi INDEPENDENC 11176174 0 1 Purchase PUYALLUP 11196292 0 1 C/O Refi WEST HILLS 11205024 0 1 Purchase BAKERSFIELD 11198410 0 1 Purchase GRASS VALLE 11211520 0 1 Purchase BALTIMORE 11206982 0 1 C/O Refi HUNTINGTON 11191687 0 1 C/O Refi TRACY 11223703 0 1 C/O Refi RANCHO CORD 11208997 0 1 Purchase CARY 11203690 0 1 C/O Refi MONTCLAIR 11187055 0 1 Purchase CHRISTIANSB 11212854 0 1 C/O Refi BALTIMORE 11210431 0 1 C/O Refi PORT SAINT 11203423 0 1 Purchase SEATTLE 11219647 0 1 C/O Refi CHICAGO 11227378 0 1 Purchase SCOTTSDALE 11221002 0 1 Purchase CAMARILLO 11192892 0 1 C/O Refi LYNNWOOD 11206837 0 1 Purchase PALMDALE 11211277 0 1 Purchase STOCKTON 11214964 0 1 Purchase GAINESVILLE 11190459 0 1 Purchase SAN DIEGO 11219103 0 1 Purchase DAVENPORT 11197418 0 1 C/O Refi MAHOPAC 11212289 0 1 C/O Refi LAKE CHARLE 11212155 0 1 Purchase BAKERSFIELD 11228243 0 1 Purchase GOODYEAR 11214901 0 1 Purchase BATON ROUGE 11210067 0 1 Purchase HOUSTON 11214015 0 1 Purchase KUNA 11204959 0 1 Purchase BAKERSFIELD 11179407 0 1 Purchase HIGHLAND 11204499 0 1 C/O Refi INDIO 11196043 0 1 C/O Refi MIAMI 11217918 0 1 Purchase DERRY 11212862 0 1 C/O Refi STOCKTON 11208494 0 1 C/O Refi 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Purchase BERWYN 11213717 0 2 Purchase RICHMOND 11224794 0 2 Purchase ARLINGTON 11194216 0 2 C/O Refi WEST NEW YO 11219855 0 2 Purchase OAK ISLAND 11221545 0 2 Purchase CARMEL 11228299 0 2 Purchase PATERSON 11225727 0 2 C/O Refi SPRINGFIELD 11219834 0 2 Purchase NORTH HOLLY 11204211 0 2 Purchase HOUSTON 11197755 0 2 Purchase COLORADO SP 11232830 0 2 Purchase HARBOR CITY 11208450 0 2 Purchase HAMPTON 11211174 0 2 Purchase SOUTH OZONE 11220081 0 2 Purchase BLADENSBURG 11195991 0 2 Purchase SPIRIT LAKE 11200437 0 2 Purchase SANTA CLARI 11222061 0 2 Purchase MORENO VALL 11233602 0 2 Purchase CLARKSBURG 11203187 0 2 C/O Refi CHICAGO 11199269 0 2 C/O Refi MORENO VALL 11213916 0 2 Purchase PORTSMOUTH 11214694 0 2 Purchase SAN BERNARD 11204645 0 2 Purchase VICTORVILLE 11176856 0 2 Purchase ONTARIO 11219893 0 2 Purchase RIVERSIDE 11216378 0 2 Purchase RICHLAND 11171643 0 2 Purchase VALLEJO 11197740 0 2 Purchase FEDERAL WAY 11205465 0 2 C/O Refi LYNNWOOD 11223865 0 2 Purchase WOODBRIDGE 11224801 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Purchase RENTON 11199719 0 2 Purchase MOLALLA 11203454 0 2 C/O Refi KENT 11206551 0 2 Purchase LA PUENTE 11213659 0 2 Purchase SAN DIEGO 11182321 0 2 C/O Refi NEWBERG 11205175 0 2 Purchase EGG HARBOR 11216639 0 2 Purchase FAIRFAX 11191654 0 2 Purchase LAS VEGAS 11215046 0 2 Purchase RENTON 11198149 0 2 Purchase PLAINVIEW 11227312 0 2 Purchase FLINT 11221113 0 2 Purchase SANTEE 11200022 0 2 Purchase DUMFRIES 11209928 0 2 Purchase BELLINGHAM 11212221 0 2 C/O Refi CORONA 11225415 0 2 Purchase POTTSTOWN 11210121 0 2 C/O Refi HAYWARD 11202304 0 2 Purchase DOWNEY 11202260 0 2 Purchase ACTON 11199375 0 2 Purchase VALENCIA 11188759 0 2 Purchase LITTLE ROCK 11221862 0 2 Purchase LANCASTER 11206351 0 2 Purchase FEDERAL WY 11205971 0 2 Purchase LEVITTOWN 11207099 0 2 C/O Refi LOAMI 11189057 0 2 Purchase PHOENIX 11195695 0 2 Purchase STOW 11213697 0 2 Purchase DESERT HOT 11194874 0 2 Purchase EAST BEND 11213360 0 2 Purchase BOISE 11199967 0 2 Purchase PALM SPRING 11193107 0 2 Purchase NAMPA 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Purchase ADDISON 11206835 0 2 Purchase LOS ANGELES 11216672 0 2 Purchase SEATTLE 11214633 0 2 C/O Refi LOS ANGELES 11189382 0 2 Purchase VILLA PARK 11177465 0 2 Purchase CHULA VISTA 11211242 0 2 Purchase STOCKTON 11199607 0 2 C/O Refi WOODLAND HI 11211057 0 2 Purchase SUN VALLEY 11228429 0 2 Purchase DALLAS 11215766 0 2 Purchase NORTHRIDGE 11206569 0 2 Purchase SAN JOSE 11231190 0 2 Purchase SEATTLE 11200998 0 2 C/O Refi GILROY 11224780 0 2 Purchase HOMESTEAD 11201656 0 2 Purchase ARLINGTON 11223414 0 2 C/O Refi VICTORVILLE 11209406 0 2 Purchase QUEENS VILL 11209247 0 2 Purchase PALMDALE 11202206 0 2 Purchase SANTA MONIC 11221089 0 2 Purchase FREDERICKSB 11199605 0 2 Purchase SAN ANTONIO 11208562 0 2 Purchase CORONA 11198140 0 2 Purchase LOS ANGELES 11208703 0 2 C/O Refi MAPLE VALLE 11188905 0 2 Purchase SAN PEDRO 11215599 0 2 C/O Refi TEMECULA 11165783 0 2 Purchase WESTBURY 11200751 0 2 R/T Refi BOISE 11207263 0 2 C/O Refi HENDERSON 11197822 0 2 Purchase DANVILLE 11227995 0 2 Purchase 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11203005 0 2 Purchase BEAUMONT 11234508 0 2 Purchase OXNARD 11203860 0 2 C/O Refi PLEASANT PR 11222505 0 2 Purchase LIVERMORE 11208954 0 2 Purchase RIALTO 11209140 0 2 C/O Refi WEST HAVEN 11200697 0 2 Purchase ANTIOCH 11204346 0 2 Purchase DALLAS 11220124 0 2 Purchase SHAPLEIGH 11216009 0 2 Purchase PHOENIX 11212153 0 2 Purchase LAS VEGAS 11216024 0 2 Purchase BURLINGTON 11215619 0 2 Purchase SAINT LOUIS 11212713 0 2 Purchase FORT WORTH 11226789 0 2 Purchase INGLEWOOD 11211941 0 2 Purchase SAN BERNARD 11202982 0 2 Purchase ANAHEIM 11223312 0 2 Purchase CAMARILLO 11182041 0 2 Purchase BATON ROUGE 11226658 0 2 Purchase PALMDALE 11214125 0 2 Purchase COMPTON 11211994 0 2 C/O Refi RIVERSIDE 11206469 0 2 Purchase KENT 11202437 0 2 Purchase VALLEJO 11205297 0 2 Purchase BROOKINGS 11203645 0 2 C/O Refi LAS VEGAS 11207624 0 2 C/O Refi RANCHO MIRA 11199668 0 2 Purchase LOS ANGELES 11223914 0 2 Purchase SAN JOSE 11213574 0 2 Purchase MORENO VALL 11200430 0 2 Purchase LOYALTON 11210766 0 2 Purchase FORT WORTH 11215070 0 2 Purchase MARIETTA 11228957 0 2 Purchase MESA 11184323 0 2 Purchase CHICAGO 11214967 0 2 Purchase GAINESVILLE 11199007 0 2 Purchase OAKLAND 11219547 0 2 Purchase SAN FRANCIS 11232610 0 2 Purchase MORRO BAY 11216572 0 2 Purchase L.A./ VAN N 11139942 0 2 C/O Refi BELLEVILLE 11167392 0 2 Purchase WYANDANCH 11213978 0 2 Purchase BOCA RATON 11211768 0 2 Purchase WINDSOR 11212807 0 2 Purchase DISCOVERY B 11229080 0 2 Purchase TUJUNGA 11217779 0 2 Purchase HOLLIS 11231755 0 2 C/O Refi SPRINGFIELD 11209570 0 2 Purchase SUGAR LAND 11208332 0 2 Purchase PICO RIVERA 11233596 0 2 Purchase WOODBRIDGE 11223525 0 2 Purchase HAMMOND 11208694 0 2 Purchase HELENA Loanid STATE ZIP FICO PROPTYPE - ----------------------------------------------------------------------------------------------------------------- 11169592 MA 2124 674 Triplex 11204530 MD 21117 695 Single family detached 11210834 WI 53105 637 Single family detached 11224524 ME 4102 699 Single family detached 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653 Single family detached 11226229 CA 94518 643 Condominium 11230400 SC 29407 640 Single family detached 11196182 MD 21222 621 Single family detached 11225549 CA 92308 563 Single family detached 11216937 FL 33027 720 PUD project ( Attached) 11210440 CA 93662 621 Single family detached 11222184 CA 93312 606 Single family detached 11219993 CA 92708 714 PUD single family( Detached) 11223735 VA 20120 688 PUD project ( Attached) 11226384 TX 75115 582 Single family detached 11185470 CA 92563 582 Condominium 11228465 TX 77346 583 Single family detached 11214041 TX 76015 659 Single family detached 11228811 AZ 86403 764 Condominium 11190878 CA 92649 667 Condominium 11210070 CA 90250 601 Single family detached 11226006 WA 98118 570 Single family detached 11213994 OH 43078 615 Single family detached 11200733 TN 38109 568 Single family detached 11224915 CA 94015 727 Single family detached 11204287 LA 71360 625 Single family detached 11210136 NY 11423 672 Single family detached 11214648 CA 94546 570 Condominium 11217630 NV 89147 669 Single family detached 11201105 CA 92880 709 Single family detached 11205939 NV 89108 636 PUD single family( Detached) 11231196 DC 20001 653 Condominium 11221503 CA 90011 623 Single family detached 11209790 FL 33157 636 Single family detached 11214762 FL 34953 653 Single family detached 11230208 CA 91763 591 Single family detached 11197282 CA 92626 665 Single family detached 11220104 VA 24202 600 Single family detached 11206554 CA 91764 700 Single family detached 11222843 NC 27030 651 Single family detached 11176575 TX 77459 732 PUD single family( Detached) 11196148 ID 83704 669 Single family detached 11222031 VA 20110 637 PUD project ( Attached) 11155550 LA 70769 657 Single family detached 11210668 CA 91402 709 Single family detached 11201777 CA 92503 526 Single family detached 11179216 MA 1930 658 Single family 4 unit 11212949 NH 3868 659 Single family detached 11203410 CA 92316 596 Single family detached 11211767 LA 71291 661 Single family detached 11206631 TN 37931 599 Single family detached 11216258 PA 18951 579 Single family detached 11220387 IL 60435 662 Single family detached 11201930 AZ 85043 510 Single family detached 11226403 IL 60073 690 PUD single family( Detached) 11206772 KS 67547 547 Single family detached 11211025 NJ 7050 573 Condominium 11212101 AR 72745 745 Single family detached 11183875 CA 93705 607 Single family detached 11204783 GA 31523 718 Single family detached 11220110 MD 20783 623 Single family detached 11187427 CA 92301 679 Single family detached 11174291 CA 90043 596 Single family detached 11225660 CA 92404 550 Single family detached 11215786 CA 92240 607 Single family detached 11202714 IL 60110 593 Single family detached 11214437 TX 78249 692 PUD single family( Detached) 11223302 VA 22193 633 Single family detached 11224551 CA 92509 688 Single family detached 11198804 CT 6810 682 Condominium 11215594 IL 60477 608 Single family detached 11214300 NY 11433 773 Single family detached 11225419 NY 11756 710 Single family detached 11225609 DC 20001 644 Single family detached 11168291 OK 74804 529 Single family detached 11225989 TX 75023 642 Single family detached 11183045 FL 34953 550 Single family detached 11182753 CT 6604 780 Triplex 11200006 CA 90606 677 Single family detached 11185286 CA 93257 595 Single family detached 11191480 CA 95138 716 Condominium 11226162 CA 93637 696 Single family detached 11165452 CA 94565 705 Single family detached 11206701 MD 21061 712 Condominium 11210296 VA 20110 706 Condominium 11209767 CA 95209 636 Single family detached 11203281 MD 20740 565 Single family detached 11218559 CA 95219 500 Single family detached 11192200 CT 6484 715 Single family detached 11207307 NY 14621 609 Single family detached 11202140 DC 20019 524 PUD project ( Attached) 11183348 NV 89014 608 PUD single family( Detached) 11203114 CA 92139 556 Single family detached 11207740 IL 60659 633 Condominium 11176980 NJ 7922 612 Single family detached 11208038 FL 33413 657 PUD single family( Detached) 11201939 CA 96021 802 Single family detached 11214505 CA 95835 636 PUD single family( Detached) 11226731 CA 95337 602 Single family detached 11200652 MD 20705 615 Single family detached 11221675 CA 94547 723 PUD single family( Detached) 11229200 CA 93534 693 Single family detached 11225425 MD 20607 588 PUD single family( Detached) 11222128 NC 28704 633 Single family detached 11194208 CA 92882 666 Single family detached 11188929 CA 90403 775 Condominium 11184551 TX 78645 683 PUD project ( Attached) 11213060 WA 99202 638 Single family detached 11132447 NJ 7419 692 Condominium 11205798 VA 22407 515 PUD single family( Detached) 11191380 CA 94619 813 Single family detached 11193096 FL 34609 548 Single family detached 11181870 CA 95842 684 Single family detached 11219214 NJ 7017 639 Single family detached 11214788 IL 60827 601 Single family detached 11217572 IL 60546 665 Single family detached 11223984 VA 23851 646 Single family detached 11205886 NC 27703 612 Single family detached 11201573 FL 34743 690 PUD single family( Detached) 11219238 CA 90047 631 Single family detached 11190850 PA 19380 685 PUD project ( Attached) 11225734 MD 20707 668 Single family detached 11200302 TX 76117 589 Single family detached 11147229 FL 33776 616 Single family detached 11183152 NY 10304 621 Single family detached 11226181 CA 92201 525 Single family detached 11196149 CA 93551 719 Single family detached 11196994 CA 95207 659 Condominium 11134605 AZ 85713 581 Single family detached 11213597 OR 97008 569 Single family detached 11201579 CA 95116 620 Single family detached 11171964 NV 89148 744 PUD single family( Detached) 11219754 WA 98006 640 Single family detached 11206536 CA 91761 664 PUD single family( Detached) 11215790 IN 46803 734 Single family detached 11174290 TX 78753 765 Single family 4 unit 11206254 CA 92404 688 Single family detached 11197750 VA 24066 533 Single family detached 11221876 CA 94509 694 Single family detached 11216552 MN 55355 536 Single family detached 11200606 CA 94521 691 Condominium 11196755 CA 90280 607 Duplex 11202099 CA 93552 626 Single family detached 11186091 IL 60481 626 Single family detached 11216188 MS 39194 518 Single family detached 11224170 CA 90242 779 Single family detached 11210921 CA 93309 609 Single family detached 11217482 GA 31705 617 Single family detached 11215973 FL 33165 633 Single family detached 11207494 FL 34771 534 Single family detached 11230131 AR 72958 553 Single family detached 11230932 DE 19703 636 Single family detached 11212482 CA 91722 629 Single family detached 11229166 ME 4090 656 Single family detached 11206486 WA 99212 621 Single family detached 11231991 TN 37801 688 Single family detached 11187955 IL 60660 583 Condominium 11219179 CA 93635 636 Single family detached 11202498 NY 11706 648 Single family detached 11222387 CA 90201 602 Single family detached 11202732 ID 83605 610 PUD single family( Detached) 11148687 OR 97034 674 Single family detached 11218368 CA 90249 609 Single family detached 11217112 TX 75050 580 Single family detached 11208159 NH 3064 665 Duplex 11187776 WA 98404 632 Single family detached 11217822 MD 20733 650 Single family detached 11224131 IL 60074 716 Single family detached 11199288 NV 89149 654 PUD single family( Detached) 11217406 CO 80138 643 Single family detached 11198496 MO 65804 604 Single family detached 11203944 VA 23321 613 Single family detached 11189520 IL 60139 562 Single family detached 11212880 IL 60002 661 Single family detached 11232688 TX 75002 634 PUD single family( Detached) 11192531 MD 21206 555 Single family detached 11199366 WA 98042 608 Condominium 11217750 NY 11766 606 Single family detached 11170117 NY 12010 536 Duplex 11199255 FL 33604 788 Single family detached 11199301 CA 93535 656 Condominium 11215725 NV 89144 636 Condominium 11226610 CA 93307 645 Single family detached 11204140 FL 33434 696 Condominium 11192810 OH 45410 604 Single family detached 11175942 AZ 85268 657 PUD single family( Detached) 11227511 CA 92683 722 Single family detached 11186635 CA 93313 724 Single family detached 11224048 TX 77469 657 PUD single family( Detached) 11225785 FL 33603 616 Single family detached 11203486 CA 91331 677 Single family detached 11214191 NJ 7704 591 Single family detached 11196749 CA 92105 671 PUD project ( Attached) 11157876 CA 93637 591 Single family detached 11205605 ME 4002 664 Single family detached 11229960 TX 75068 618 PUD single family( Detached) 11223341 TX 75048 624 Single family detached 11201032 FL 34465 629 Single family detached 11192823 NY 11550 680 Single family detached 11220061 FL 32244 515 Single family detached 11221344 MA 1504 606 Single family detached 11171831 NY 11717 671 Single family detached 11189580 AZ 85381 587 Single family detached 11207034 CA 93463 654 Condominium 11216268 CA 95843 581 Single family detached 11220096 OK 73034 680 PUD single family( Detached) 11200119 FL 32218 653 PUD single family( Detached) 11187089 PA 17036 643 Single family detached 11225117 CA 90745 544 Single family detached 11212791 TN 38016 586 Single family detached 11230236 CA 90706 600 Single family detached 11204552 NC 28379 599 Single family detached 11216319 CA 93222 617 Single family detached 11196972 NV 89147 667 PUD single family( Detached) 11199619 CA 91206 641 Duplex 11226915 CA 92648 635 Single family detached 11193448 FL 33319 710 Condominium 11180582 VA 22469 625 Single family detached 11199610 NV 89135 661 PUD single family( Detached) 11182483 FL 34746 645 Single family detached 11200125 WI 53214 622 Single family detached 11227241 NC 27592 646 Single family detached 11192128 MD 20772 548 PUD single family( Detached) 11218386 CA 90039 580 Single family detached 11224518 FL 33004 663 Condominium 11221952 MA 1604 611 Single family detached 11237207 PA 19124 571 Single family detached 11130824 MI 49079 618 Single family detached 11224487 CA 92345 584 Single family detached 11179556 CA 93552 607 Single family detached 11211255 CA 95833 621 Single family detached 11223320 TN 37931 606 PUD project ( Attached) 11160535 AZ 85201 707 Single family detached 11230434 MD 20707 666 Condominium 11212002 CA 91335 655 Single family detached 11180173 CA 95351 675 Single family detached 11215682 WA 98203 627 Single family detached 11225763 AZ 86404 627 Single family detached 11212465 NJ 8046 721 Single family detached 11178536 NC 27966 520 Single family detached 11215649 CA 91342 655 Condominium 11207332 FL 33018 698 Single family detached 11230507 AR 72846 622 Single family detached 11189668 NY 11236 754 Duplex 11215363 IL 60655 688 Condominium 11161984 MD 20784 503 Single family detached 11219541 CA 91767 644 Single family detached 11211386 CT 6114 606 Single family detached 11222634 TX 75181 606 Single family detached 11218596 CA 92376 528 Single family detached 11207835 MA 1830 640 Single family detached 11225817 MA 2375 682 Condominium 11215307 NY 10312 536 Condominium 11210380 GA 30296 593 Single family detached 11232988 VA 20136 641 PUD single family( Detached) 11214097 CA 95947 662 Single family detached 11208055 PA 19128 566 Single family detached 11215136 CA 90601 659 Single family detached 11212041 CA 94565 806 PUD single family( Detached) 11200232 CA 92336 687 Single family detached 11189726 CA 93552 674 Single family detached 11211500 GA 30180 620 PUD single family( Detached) 11214699 GA 31707 600 Single family detached 11218669 WA 98126 727 Single family detached 11216733 MA 1752 705 Condominium 11200156 TX 76117 641 Single family detached 11197014 OR 97524 679 Single family detached 11213110 IL 60631 670 Single family detached 11209127 CA 91335 622 Single family detached 11226307 TX 76118 629 Single family detached 11211457 NH 3811 628 Single family detached 11230024 MS 39560 644 Single family detached 11198225 CA 93635 641 Single family detached 11200334 GA 30088 641 Single family detached 11203463 WA 98042 544 Single family detached 11219702 MD 21742 646 Single family detached 11193936 CA 90710 718 Condominium 11197534 CA 90804 674 Condominium 11200735 GA 30518 615 PUD single family( Detached) 11214519 WA 98248 570 Single family detached 11199053 ID 83607 587 PUD single family( Detached) 11231742 CT 6810 734 Duplex 11235294 CA 92553 628 Single family detached 11191065 MA 1810 632 Single family detached 11176186 MA 1905 614 Single family detached 11199493 OK 73543 683 Single family detached 11205853 FL 33181 620 Condominium 11200649 FL 33569 663 PUD single family( Detached) 11226740 CA 90014 715 Condominium 11216730 NJ 7004 648 Single family detached 11205640 CA 90007 746 Duplex 11184747 CA 92316 698 Duplex 11237697 IL 60605 806 Condominium 11219628 NC 27265 644 PUD single family( Detached) 11199876 CA 93436 700 Condominium 11220534 TX 77433 778 PUD single family( Detached) 11220557 FL 33777 628 Single family detached 11199684 CA 92804 665 Condominium 11222322 WA 98273 667 Single family detached 11217046 NC 27260 645 Single family detached 11174332 TX 78664 765 Duplex 11229474 FL 32258 502 PUD single family( Detached) 11202034 CA 91201 687 Single family detached 11151810 NV 89135 561 PUD single family( Detached) 11086757 NV 89015 713 Single family detached 11201635 MO 64012 647 Single family detached 11222425 CA 90640 673 Condominium 11165898 CO 81003 626 Single family detached 11171780 MA 1108 536 Single family 4 unit 11227195 MA 2186 602 Single family detached 11175721 FL 32207 621 Single family detached 11211636 TX 77302 726 PUD single family( Detached) 11219811 NV 89032 626 Single family detached 11193201 CA 95206 657 Single family detached 11191042 MD 21208 648 Single family detached 11169117 CA 93543 503 Single family detached 11210042 FL 33139 691 Condominium 11189533 AZ 85335 664 PUD single family( Detached) 11198260 IN 47356 633 Single family detached 11195001 CA 90018 721 Single family detached 11229905 DC 20002 656 Single family 4 unit 11184817 CA 90026 501 Single family detached 11198433 SC 29150 611 Single family detached 11175735 CA 93640 592 Single family detached 11214630 NJ 7830 660 Single family detached 11224133 NH 3062 574 Single family detached 11218964 FL 33709 664 Single family detached 11174043 TX 75935 595 Single family detached 11217931 CA 92301 649 Single family detached 11187668 TX 75116 705 Single family detached 11198999 CT 6516 650 Single family detached 11206020 IL 60042 620 PUD project ( Attached) 11209745 TX 77049 627 Single family detached 11201153 MD 21921 641 Single family detached 11208688 TX 75501 585 Single family detached 11204561 OH 44131 525 Single family detached 11211322 CA 95838 612 Single family detached 11218089 NC 28277 669 PUD single family( Detached) 11203871 NY 11552 643 Single family detached 11172903 CA 91792 509 Single family detached 11213630 FL 34772 675 PUD single family( Detached) 11203997 NY 14217 701 Single family detached 11197049 CA 91768 654 Single family detached 11182578 MO 64836 560 Single family detached 11206702 CA 93454 665 Single family detached 11202395 CA 95833 688 PUD project ( Attached) 11188291 CA 90305 664 Condominium 11199666 CA 92530 636 Single family detached 11203808 IN 46319 659 Single family detached 11228526 FL 33415 586 Single family detached 11196389 NV 89084 698 PUD single family( Detached) 11184425 NY 12601 750 Single family detached 11224183 CA 92835 655 PUD single family( Detached) 11209231 CA 95602 600 Single family detached 11203745 CA 91331 710 Single family detached 11211541 FL 33604 598 Single family detached 11197629 PA 18337 597 PUD single family( Detached) 11206564 AZ 85249 619 PUD single family( Detached) 11232730 AR 72211 560 Single family detached 11223829 CA 94578 644 Single family detached 11217524 NY 30281 687 Single family detached 11223974 FL 33417 633 Condominium 11220333 CA 92324 527 Single family detached 11196691 IL 60195 642 Condominium 11206072 CA 91324 657 Single family detached 11197634 NJ 7040 577 Single family detached 11222806 NJ 8046 616 Single family detached 11198176 MD 21817 608 Single family detached 11219078 PA 19454 776 Single family detached 11191167 AZ 86406 619 Single family detached 11212975 IL 60505 643 Single family detached 11229637 MD 21045 645 PUD project ( Attached) 11221463 CA 93536 609 Single family detached 11215226 CA 90813 635 Single family detached 11208807 CA 93304 558 Single family detached 11219148 CA 90745 548 Condominium 11205119 WA 98075 555 Single family detached 11234533 CA 95123 577 Single family detached 11211489 PA 19120 578 Duplex 11192902 VA 23669 612 Single family detached 11232449 TX 75115 616 Single family detached 11192136 CA 90601 654 Duplex 11213814 CA 90621 603 PUD project ( Attached) 11202643 NV 89512 604 Single family detached 11217284 AZ 85303 782 PUD single family( Detached) 11184345 TX 76001 554 Single family detached 11198848 NC 27292 618 Single family detached 11204235 NY 12020 605 Single family detached 11215483 NJ 7055 733 Duplex 11210358 FL 33065 622 Condominium 11220043 FL 32317 526 PUD single family( Detached) 11222630 MD 20902 695 Single family detached 11186544 CA 91761 635 Single family detached 11229196 NJ 8830 694 Single family detached 11196677 VA 20111 658 Single family detached 11220180 TX 76002 628 Single family detached 11176698 CA 92780 504 Single family detached 11213443 LA 71037 636 Single family detached 11208607 CA 91406 735 Single family detached 11200692 OK 74954 628 Single family detached 11219985 AZ 85226 613 Single family detached 11220215 VA 20109 641 Single family detached 11200825 CA 93311 615 Single family detached 11215933 CA 92026 680 Single family detached 11210514 CA 95148 659 Single family detached 11209939 VA 24014 603 Single family detached 11227238 MD 21904 628 Single family detached 11220275 FL 33778 620 Single family detached 11228225 CA 93458 652 Single family detached 11230309 IL 60099 635 Single family detached 11219908 CA 92595 628 Single family detached 11204153 VA 20111 697 Single family detached 11216500 NV 89436 688 PUD single family( Detached) 11151319 OR 97913 620 Single family detached 11207258 CA 94610 695 Single family detached 11206960 MA 1830 518 Single family detached 11197360 MD 20783 662 Condominium 11182901 MO 65753 705 Single family detached 11201457 WA 99202 658 Single family detached 11223424 GA 30294 661 Single family detached 11205569 MD 21001 621 PUD single family( Detached) 11192862 CA 90290 618 Single family detached 11208767 CA 94591 711 Single family detached 11198861 FL 32244 595 PUD single family( Detached) 11195802 TX 78223 587 Single family detached 11196275 WA 99216 759 Single family detached 11232921 VA 22193 702 Single family detached 11204204 FL 33143 718 Condominium 11187205 AZ 85262 505 Single family detached 11192988 VA 23666 587 Single family detached 11188181 IL 61843 628 Single family detached 11218463 TN 37042 592 Single family detached 11200357 CA 91745 623 Single family detached 11206086 FL 32935 582 Single family detached 11173173 CA 91331 640 Condominium 11165762 NC 27703 512 Single family detached 11203024 DC 20015 567 Condominium 11202113 CA 93030 628 Single family detached 11220155 CA 93654 588 Single family detached 11226481 VA 22192 670 PUD project ( Attached) 11185519 CT 6029 617 Single family detached 11215796 CA 90059 573 Single family detached 11177499 TX 77041 653 Duplex 11197924 IL 60120 636 Condominium 11208066 PA 15038 582 Single family detached 11231744 NJ 8551 696 Single family detached 11182157 IL 60435 544 Single family detached 11195130 IL 60647 671 Single family detached 11214047 CA 91214 655 Single family detached 11203424 IL 60433 567 Single family detached 11195248 VA 22306 665 PUD project ( Attached) 11153303 IN 46033 539 Single family detached 11182260 CA 93543 649 Single family detached 11187301 PA 15102 605 Single family detached 11203701 CA 95409 784 Condominium 11196777 MD 20721 668 PUD project ( Attached) 11200724 NY 10308 748 Single family detached 11221653 AZ 85379 593 PUD single family( Detached) 11213179 TX 77004 599 PUD single family( Detached) 11222800 CA 92571 660 Single family detached 11193912 VA 20176 626 PUD single family( Detached) 11192045 FL 34769 606 PUD single family( Detached) 11210691 CA 94547 617 Single family detached 11188035 WA 98296 614 PUD single family( Detached) 11233123 TX 77520 674 Single family detached 11209651 FL 33407 620 PUD single family( Detached) 11213528 CA 93436 664 Duplex 11176837 MA 1701 754 Single family detached 11203898 NY 11798 533 Single family detached 11194075 NV 89130 696 PUD single family( Detached) 11205361 NY 14617 551 Single family detached 11221997 CA 93536 710 Single family detached 11216410 VA 22039 658 Single family detached 11173282 NM 87505 663 Single family detached 11176041 CA 90807 800 Condominium 11223587 CA 95336 558 Single family detached 11206387 CA 92509 532 Single family detached 11237130 AZ 85730 531 Single family detached 11222165 CA 95901 744 Single family detached 11173335 CA 92673 667 Condominium 11189296 WA 98239 589 PUD single family( Detached) 11212083 MD 20877 617 Condominium 11196447 CA 91356 731 Condominium 11203765 NJ 8205 617 Single family detached 11209779 MS 39307 509 Single family detached 11190237 WA 99216 731 Single family detached 11168552 NV 89117 754 PUD single family( Detached) 11212671 TX 77707 630 Single family detached 11216622 TN 37209 653 Single family detached 11194652 WI 53532 742 Duplex 11196461 CA 91744 734 Single family detached 11173905 CT 6511 620 Triplex 11190013 TX 78412 570 Single family detached 11171070 CA 91722 704 Single family detached 11180993 CA 95145 713 Single family detached 11210352 MD 20603 503 PUD project ( Attached) 11214662 CA 90638 715 Single family detached 11212345 NJ 7857 764 Single family detached 11183119 CA 95136 707 Condominium 11211404 CA 94044 626 Single family detached 11204199 CA 90066 663 Duplex 11204766 RI 2910 657 Single family detached 11206973 DC 20011 741 Single family detached 11221882 TN 37214 611 PUD single family( Detached) 11193653 MD 21236 646 Single family detached 11186613 TX 77379 681 PUD single family( Detached) 11210561 WA 98362 643 Single family detached 11189792 AZ 85306 575 PUD single family( Detached) 11199231 FL 34450 624 Single family detached 11220312 CA 91977 768 Single family detached 11223267 GA 30075 623 PUD single family( Detached) 11195980 IL 60409 728 Single family detached 11201004 CA 93551 577 Single family detached 11215620 CA 91801 595 Condominium 11217877 CA 91761 696 Single family detached 11208700 NV 89108 667 Single family detached 11177310 FL 33004 664 Condominium 11211764 FL 32765 690 PUD single family( Detached) 11201812 MD 20770 608 Single family detached 11220606 CA 92870 652 PUD single family( Detached) 11229505 CA 93063 555 Single family detached 11199323 AZ 86403 606 Single family detached 11194444 TX 75208 616 Single family detached 11213639 FL 33023 510 Single family detached 11191988 NY 11722 568 Single family detached 11208294 CA 92201 600 Single family detached 11203738 CA 91387 687 Single family detached 11230324 MA 1833 713 Single family detached 11160822 NY 11434 719 Duplex 11200163 GA 30506 635 Single family detached 11216281 PA 18966 652 Single family detached 11208054 PA 18301 609 Single family detached 11214129 CA 92308 515 Single family detached 11211403 NY 11370 717 Duplex 11203196 IL 60047 603 Single family detached 11202367 CA 94903 693 Single family detached 11158664 GA 30331 589 Single family detached 11206138 NY 10303 691 Condominium 11208799 FL 34205 566 Single family detached 11231976 AZ 86403 710 Single family detached 11222926 CA 92345 557 Single family detached 11222315 WA 98390 673 PUD single family( Detached) 11186819 CA 91791 607 Condominium 11209197 CA 95377 763 PUD single family( Detached) 11196325 CA 94519 655 Single family detached 11217722 RI 2809 609 Single family detached 11205863 FL 33147 638 Single family detached 11177566 NV 89015 620 PUD single family( Detached) 11194968 NJ 8234 649 Single family detached 11214277 FL 32958 625 Single family detached 11225404 TX 75028 553 Single family detached 11211279 PA 15701 640 Single family detached 11153624 NY 10541 502 Single family detached 11193333 CA 92883 650 PUD single family( Detached) 11194565 MD 20740 558 Single family detached 11218662 CA 90042 619 Single family detached 11202126 CA 92646 659 Condominium 11204055 NJ 7060 630 Single family detached 11182577 NY 14810 718 Single family detached 11231121 GA 30019 747 PUD single family( Detached) 11218266 NC 28277 652 PUD single family( Detached) 11212645 NY 12590 687 Single family detached 11225194 CA 90670 627 PUD project ( Attached) 11227715 TX 77083 674 PUD single family( Detached) 11207475 TN 38134 644 Single family detached 11217863 IL 60465 559 Single family detached 11195273 AZ 85015 746 Single family detached 11195012 CA 93551 662 PUD single family( Detached) 11235483 PA 17403 619 Single family detached 11184849 NY 12932 596 Single family detached 11232640 CA 90077 643 Single family detached 11187866 CT 6810 658 Single family detached 11220961 CA 92411 651 Single family detached 11201261 MD 21061 580 Single family detached 11192636 NY 11433 751 Duplex 11224021 MD 21206 584 Single family detached 11206940 WA 98626 536 Single family detached 11217400 CA 92530 542 Single family detached 11231337 CA 93312 667 Single family detached 11204762 FL 32693 646 Single family detached 11197927 NJ 8902 691 Single family detached 11223993 TX 77080 674 Single family detached 11181143 IL 60465 642 Condominium 11217026 CA 93065 705 Single family detached 11186146 NY 11207 641 Single family detached 11223583 CA 93308 552 Single family detached 11162886 NY 11746 722 Single family detached 11191344 CT 6010 672 Single family detached 11170933 CA 91406 681 Single family detached 11211507 FL 33149 683 Condominium 11195976 AZ 85353 705 PUD project ( Attached) 11194720 MA 1605 699 Duplex 11212049 VA 20166 715 PUD project ( Attached) 11196240 WI 54313 517 Single family detached 11182725 CT 6512 506 Single family detached 11199800 TX 76017 666 Single family detached 11224650 CA 92804 636 Single family detached 11214029 NV 89130 508 Single family detached 11220162 CA 94534 642 Single family detached 11201369 WA 98026 632 Single family detached 11217896 CA 95370 663 Single family detached 11173833 CA 90262 669 Single family detached 11202639 VA 22553 507 Single family detached 11166406 ID 83686 600 Single family detached 11223007 CA 92201 700 Single family detached 11213799 CA 93536 701 Single family detached 11205847 AZ 85037 628 Single family detached 11208360 PA 18042 668 Single family detached 11216274 CA 95111 783 Condominium 11216040 CA 92316 557 Single family detached 11234906 CA 91950 608 Single family detached 11211871 PA 19018 672 Single family detached 11219039 TX 77388 736 PUD single family( Detached) 11217786 VA 23234 696 Single family detached 11222575 AZ 85233 635 Single family detached 11231156 CA 91331 656 Single family detached 11210576 KY 40213 610 Single family detached 11215515 CA 91207 635 Condominium 11220552 MD 20601 531 Single family detached 11215975 CA 94587 668 PUD project ( Attached) 11210110 LA 71303 571 Single family detached 11197055 NY 11554 561 Single family detached 11230245 CA 91601 766 Single family detached 11188093 CA 94901 693 Condominium 11186032 MS 39157 629 Condominium 11229762 CA 92407 628 Single family detached 11209532 TX 77379 588 PUD single family( Detached) 11198864 CA 91722 710 Single family detached 11211399 MA 1701 608 Single family detached 11221965 TX 77449 673 PUD single family( Detached) 11219082 TX 76021 502 Single family detached 11204612 CA 90660 598 Single family detached 11197261 FL 34761 622 Single family detached 11209813 IL 60048 675 Single family detached 11204442 IL 60453 651 Single family detached 11212400 WA 98360 620 PUD single family( Detached) 11196765 FL 33404 605 PUD single family( Detached) 11205040 CA 92301 587 Single family detached 11220749 NJ 7801 637 Single family detached 11221497 MD 20879 687 Condominium 11221589 TX 77429 727 PUD single family( Detached) 11233445 CA 92508 697 Single family detached 11167897 NY 11944 612 Single family detached 11204751 CA 95621 662 Single family detached 11172528 MA 1109 550 Duplex 11225947 NV 89015 649 PUD single family( Detached) 11220562 CA 93536 668 Single family detached 11208111 TN 37601 660 Single family detached 11212390 CA 94587 621 Single family detached 11208255 TX 77520 651 Single family detached 11192947 VA 22554 562 Single family detached 11194821 TX 78734 692 Single family detached 11224696 MO 63107 777 Duplex 11223284 IN 46324 674 Single family detached 11216667 TX 76134 744 Single family detached 11202610 AZ 85035 632 Single family detached 11195416 CA 93551 792 Single family detached 11184674 CA 92805 779 Single family detached 11196984 LA 71104 591 Single family detached 11204826 AZ 85747 581 PUD project ( Attached) 11179365 CA 92883 598 Condominium 11222613 MI 48205 526 Single family detached 11207501 PA 15214 509 Duplex 11194145 NY 10940 601 Single family detached 11172792 CA 91978 716 Single family detached 11216351 LA 71115 664 PUD single family( Detached) 11227561 CA 90304 648 Condominium 11228035 NM 88005 502 Single family detached 11204985 NV 89146 664 Condominium 11206224 CA 93065 585 Single family detached 11212565 PA 19130 638 Condominium 11201317 OK 74136 602 Single family detached 11218918 UT 84065 681 PUD single family( Detached) 11204207 CA 92692 579 Condominium 11209706 GA 31788 643 Single family detached 11186799 CA 91343 596 Condominium 11198975 CA 91307 672 Single family detached 11198495 CA 90723 669 Condominium 11211250 AZ 85340 708 PUD single family( Detached) 11168533 CA 92647 621 Single family detached 11182170 VA 23321 519 Single family detached 11189493 ID 83642 648 PUD single family( Detached) 11222312 CA 92346 626 Single family detached 11224430 MA 2151 731 Single family detached 11175610 MS 39212 585 Single family detached 11232496 CA 92584 644 Single family detached 11171051 NY 10303 595 Condominium 11199182 MA 1902 631 Single family detached 11217425 CA 92586 667 Single family detached 11163881 MI 48322 638 Single family detached 11206027 NV 89142 731 Single family detached 11196655 CA 93454 685 Condominium 11223497 CA 95020 656 Single family detached 11225882 AZ 85242 720 PUD single family( Detached) 11183326 FL 32765 540 Single family detached 11201389 NY 11801 716 Single family detached 11180460 FL 33610 787 Single family detached 11188509 VA 23462 554 Single family detached 11178621 AZ 86017 567 PUD single family( Detached) 11210446 CA 94804 644 Single family detached 11213492 MA 2725 682 Single family detached 11210492 CA 90062 629 Single family detached 11177851 NY 10314 683 PUD single family( Detached) 11224382 CA 92646 673 Single family detached 11078858 NJ 7751 508 Single family detached 11187194 AZ 85248 757 PUD single family( Detached) 11204406 IL 60110 565 Single family detached 11219436 CA 92880 766 Single family detached 11228115 CA 94601 618 Single family detached 11195568 CA 92879 629 Condominium 11194956 CO 80260 658 Single family detached 11196930 CA 94565 641 Single family detached 11231397 CO 80239 603 Single family detached 11210786 FL 34221 533 Single family detached 11214649 CA 95621 605 Single family detached 11212490 CA 90023 682 Duplex 11184963 NY 11772 681 Single family detached 11201288 KY 40214 624 Single family detached 11219259 NY 11798 643 Single family detached 11178597 CA 95368 504 Single family detached 11196936 CA 95695 648 Single family detached 11205209 NJ 8540 609 Single family detached 11177442 TX 77433 716 PUD single family( Detached) 11223251 TX 75094 663 PUD single family( Detached) 11200585 NJ 7874 551 Single family detached 11175570 MA 1854 722 Single family detached 11221390 CA 94531 610 Single family detached 11205480 AZ 86004 722 Condominium 11206797 NY 11755 658 Single family detached 11223224 MD 21009 700 PUD single family( Detached) 11207593 NV 89704 641 Single family detached 11208477 CA 91765 637 Single family detached 11223542 IL 60402 642 Single family detached 11204505 NJ 7032 607 Single family detached 11175458 CA 95932 676 Single family detached 11215163 NM 87002 621 Single family detached 11156578 VA 24122 613 Single family detached 11152427 CA 90221 607 Single family detached 11235081 TN 38016 592 Single family detached 11217780 CA 95301 698 Single family detached 11179821 NY 12508 604 Single family detached 11183306 TX 75238 778 Single family detached 11197222 CA 95127 586 Single family detached 11211579 GA 30143 667 PUD single family( Detached) 11231512 TX 75065 622 Single family detached 11220994 CA 94580 673 Single family detached 11220409 CA 92201 622 Single family detached 11227544 IL 60634 662 Single family detached 11221721 PA 17603 601 Single family detached 11205389 WI 53140 555 Single family detached 11201472 MD 21403 661 Single family detached 11222203 FL 33904 773 Condominium 11206738 CA 93307 656 Single family detached 11199940 TX 76017 585 Single family detached 11218639 CA 92596 614 Single family detached 11204947 CA 94610 700 Condominium 11209758 CA 90018 684 Duplex 11212122 CA 90620 743 Single family detached 11215381 NY 12590 656 Single family detached 11206670 MA 2302 635 Single family detached 11199507 NY 14075 670 Single family detached 11179844 CA 93704 590 Single family detached 11186961 MA 1050 619 Single family detached 11214417 CA 95747 636 Single family detached 11224532 AZ 85308 623 Single family detached 11207177 NY 10468 620 Duplex 11212112 MD 20906 721 Condominium 11231679 MN 55102 630 Condominium 11192466 NV 89139 715 PUD single family( Detached) 11155643 IL 60629 635 Single family detached 11185802 OR 97914 655 Single family detached 11181590 NJ 7047 693 Duplex 11206388 CA 95688 634 Single family detached 11202705 AZ 85323 674 PUD single family( Detached) 11191511 MD 21114 574 PUD single family( Detached) 11169448 MT 59718 668 Single family detached 11211075 IL 60620 685 Duplex 11198516 CA 92316 663 Single family detached 11173309 VA 20181 645 Single family detached 11215491 CA 91390 656 Single family detached 11203239 TX 77489 726 Duplex 11209882 NV 89148 657 PUD single family( Detached) 11211624 FL 33913 707 Single family detached 11196774 MT 59047 576 Single family detached 11189006 CA 90016 611 Condominium 11218681 CA 92882 637 Single family detached 11194457 ID 83642 582 PUD single family( Detached) 11192302 CA 90242 624 Single family detached 11226052 NV 89107 600 Single family detached 11207752 CA 92394 761 Single family detached 11204279 CA 91915 586 Condominium 11200066 MI 48205 679 Single family detached 11226736 CT 6484 661 Duplex 11205212 NY 11216 578 Single family 4 unit 11203362 CA 92410 737 Triplex 11160371 NY 11951 563 Single family detached 11172624 TX 77044 600 PUD single family( Detached) 11215242 CA 92335 680 Single family detached 11223327 TX 76103 645 Single family detached 11190512 OR 97477 588 Single family detached 11202276 CA 93065 532 Single family detached 11207205 CA 95111 609 Condominium 11217452 FL 33444 612 Single family detached 11206267 CA 92335 701 Single family detached 11221180 MS 39211 609 Single family detached 11198680 VA 23223 624 Single family detached 11221012 CA 93003 632 Duplex 11207754 FL 34442 629 Single family detached 11207488 AZ 85742 628 PUD single family( Detached) 11186189 CA 92057 584 Single family detached 11160457 DC 20002 618 Single family detached 11198375 WA 98203 691 Condominium 11214671 CA 92509 648 Single family detached 11165745 CA 95648 730 Single family detached 11230467 DE 19805 630 Single family detached 11222918 VA 20112 502 PUD single family( Detached) 11217805 CA 91766 547 Duplex 11181257 FL 32940 697 PUD single family( Detached) 11204715 NH 3220 621 Single family detached 11199209 TX 76543 634 Single family detached 11159787 WA 98168 604 Single family detached 11190407 CA 90041 668 Single family detached 11216535 CT 6810 615 Single family detached 11205091 TX 75022 673 PUD single family( Detached) 11205577 AZ 86406 666 Single family detached 11185777 CA 94589 583 Single family detached 11208051 CA 92336 582 Single family detached 11212581 VA 23509 614 Single family detached 11204497 WA 98223 623 Single family detached 11220204 LA 70458 501 Single family detached 11196176 CA 94572 509 PUD single family( Detached) 11190188 MA 2766 567 Single family detached 11206681 MD 21791 558 Single family detached 11227314 MI 48307 716 Single family detached 11168885 DE 19956 660 Single family detached 11146755 OH 43203 731 Single family detached 11193981 WA 98205 555 Single family detached 11215710 CA 93535 699 Single family detached 11182207 WI 53511 605 Single family detached 11218989 TX 75501 600 Single family detached 11192740 FL 34112 692 Condominium 11207802 MA 1830 671 Single family detached 11214533 CO 80014 699 Condominium 11206280 WA 98055 671 Single family detached 11214793 LA 71360 686 Single family detached 11221091 AZ 85234 719 PUD single family( Detached) 11208250 IL 60076 602 Single family detached 11205623 WA 98684 625 Single family detached 11217926 MD 20874 712 PUD project ( Attached) 11216249 FL 33021 763 Single family detached 11216489 DE 19720 590 Single family detached 11187962 DE 19701 558 PUD single family( Detached) 11223157 NV 89444 644 Single family detached 11214172 IL 60466 692 Single family detached 11211854 TX 77536 581 Single family detached 11225020 WA 98092 593 Condominium 11165163 MA 2364 641 Single family detached 11198770 NY 13754 586 Single family detached 11214370 AZ 85085 685 PUD single family( Detached) 11214652 MO 63034 535 Single family detached 11210395 CA 91331 595 Single family detached 11220723 CA 95348 629 Single family detached 11226763 VA 22407 680 Single family detached 11216217 PA 19153 558 Single family detached 11197987 CA 90015 617 Condominium 11201077 VA 23451 617 Condominium 11195700 NJ 8043 648 Single family detached 11177356 CA 95817 739 Single family detached 11193776 NV 89101 757 Single family detached 11215105 FL 33055 627 PUD single family( Detached) 11212167 CA 95363 649 Single family detached 11214585 VA 20165 693 PUD project ( Attached) 11222732 CA 93291 525 Single family detached 11236512 MO 64015 701 Single family detached 11195873 WA 98103 539 Single family detached 11220791 NJ 8550 609 Single family detached 11212115 OH 45874 611 Single family detached 11170671 AR 72758 591 Single family detached 11204828 MD 20902 652 Single family detached 11196391 CA 93534 648 Single family detached 11215045 AZ 85037 585 Single family detached 11213602 CA 91406 646 Single family detached 11203421 AZ 85305 755 PUD single family( Detached) 11212186 CA 92880 697 Single family detached 11203581 CA 94547 700 PUD project ( Attached) 11188010 CT 6811 706 Condominium 11205974 NY 14534 546 Single family detached 11225146 CA 94514 772 PUD single family( Detached) 11218004 VA 22153 661 PUD project ( Attached) 11218293 FL 33177 565 Single family detached 11182572 NY 12304 759 Single family detached 11197669 CA 92506 701 Single family detached 11203671 CA 95367 597 Single family detached 11230294 AZ 85323 611 PUD single family( Detached) 11205702 NM 88007 682 Single family detached 11208317 CA 92071 683 Single family detached 11179402 MO 65802 552 Single family detached 11212487 CA 93638 678 Single family detached 11213896 CA 92376 593 PUD single family( Detached) 11210367 NJ 8081 603 Single family detached 11188423 TN 38108 731 Single family detached 11197890 CA 95203 668 Single family detached 11190628 IL 60164 622 Condominium 11166045 IL 60419 553 Single family detached 11232231 MD 20879 735 PUD project ( Attached) 11213113 NJ 7047 738 Duplex 11214893 WV 25315 583 Single family detached 11221430 CA 94588 613 Single family detached 11228791 CA 91605 714 Single family detached 11190994 FL 33625 669 Single family detached 11212120 CA 92708 704 PUD project ( Attached) 11185453 CA 95240 668 Single family detached 11200634 TX 75056 664 Single family detached 11207904 NV 89014 607 PUD single family( Detached) 11194497 CA 93552 535 Single family detached 11227057 CA 94401 668 Single family detached 11213977 CA 91103 589 Single family detached 11214137 TX 75042 619 Single family detached 11207119 CA 93536 735 Single family detached 11154528 FL 33909 640 Single family detached 11205826 TX 75077 630 Single family detached 11209782 NV 89012 745 Single family detached 11205309 TX 75035 608 PUD project ( Attached) 11194829 CT 6516 639 Triplex 11172274 TX 77047 591 PUD single family( Detached) 11215198 CA 90670 615 Single family detached 11219563 TX 77379 620 PUD single family( Detached) 11196081 NY 12759 673 Single family detached 11205914 CA 92201 523 PUD single family( Detached) 11208787 CO 80621 640 Single family detached 11222831 VA 20147 689 Single family detached 11222014 LA 70739 602 Single family detached 11182668 CA 95121 581 Single family detached 11155517 NJ 7205 697 Duplex 11227067 CA 92562 724 PUD single family( Detached) 11190873 CA 91405 569 Single family detached 11205012 AZ 85042 592 PUD single family( Detached) 11205246 PA 19131 599 Single family detached 11222588 VT 5468 640 Single family detached 11222851 CA 93722 620 Single family detached 11211230 AZ 86404 737 Single family detached 11199703 TX 77073 633 PUD single family( Detached) 11210356 FL 33711 507 Single family detached 11220328 CA 95350 526 Single family detached 11198700 VT 5773 590 Single family detached 11183171 WA 98059 594 Single family detached 11170942 CA 91107 680 Single family detached 11213374 CA 91324 665 Single family detached 11194156 AZ 85250 673 Condominium 11198757 AZ 85303 602 Single family detached 11194356 CA 92113 698 Single family detached 11218285 MD 20748 646 Single family detached 11222310 AZ 85239 739 PUD single family( Detached) 11175276 CA 95603 714 Single family detached 11222019 AZ 85207 642 PUD single family( Detached) 11208627 AZ 85297 541 Single family detached 11205704 NV 89145 660 Condominium 11218085 LA 71245 591 Single family detached 11218507 VA 22042 615 Single family detached 11174786 CA 90262 617 Single family detached 11207256 CA 92201 580 Single family detached 11179172 NJ 7666 590 Single family detached 11221435 CT 6610 623 Single family detached 11210019 CA 92821 708 Single family detached 11196414 ID 83616 621 PUD single family( Detached) 11210401 CA 91307 720 Single family detached 11200210 AZ 85345 562 Single family detached 11231579 NV 89156 664 Single family detached 11170940 CA 95820 631 Single family detached 11225247 WA 98409 511 Single family detached 11213307 CA 91940 633 Condominium 11224416 GA 30189 559 Single family detached 11194155 NY 13440 578 Single family detached 11217859 TX 77084 674 PUD single family( Detached) 11204169 IL 60107 522 PUD project ( Attached) 11211710 ME 4250 655 Single family detached 11204809 CA 92307 746 Single family detached 11233410 VA 22192 639 PUD project ( Attached) 11233289 NJ 7047 778 Single family detached 11195667 CA 90255 625 Condominium 11225304 FL 32937 653 Single family detached 11207969 AZ 85302 604 Single family detached 11209218 MO 64052 664 Single family detached 11187937 NY 11777 671 Single family detached 11206929 MS 39212 541 Single family detached 11216905 CA 91321 766 Single family detached 11203102 NJ 7661 651 Single family detached 11193469 TX 75150 656 Single family detached 11190135 IL 60618 663 Duplex 11182916 CA 92555 630 Single family detached 11202137 MS 39209 606 Single family detached 11182884 WA 98092 612 PUD single family( Detached) 11205031 CA 92626 648 Single family detached 11190904 FL 34668 611 Single family detached 11202733 NM 88220 727 Single family detached 11221631 IL 60472 623 Single family detached 11203378 MD 20745 594 Single family detached 11204286 CA 92220 545 Single family detached 11217879 VA 22003 662 Single family detached 11217935 CA 91801 691 Duplex 11216608 IL 60073 712 PUD single family( Detached) 11197245 CA 92407 620 Single family detached 11215354 NC 27265 652 Single family detached 11206956 CA 92509 690 Single family detached 11171222 DE 19970 689 Condominium 11231711 NC 28390 599 Single family detached 11206828 FL 34608 600 Single family detached 11195649 TX 77505 620 Single family detached 11185772 CA 92113 548 Duplex 11214917 MA 2645 617 Single family detached 11224506 MD 21074 672 Single family detached 11206981 WA 98065 611 Single family detached 11181684 MD 20735 545 Single family detached 11207093 AZ 85204 633 Single family detached 11208029 NJ 7032 683 Duplex 11193894 AZ 85037 641 PUD single family( Detached) 11234110 CA 92882 652 Single family detached 11220037 MD 20735 592 Single family detached 11206501 CA 90003 671 Single family detached 11195382 CA 93618 638 Single family detached 11209075 GA 30741 584 Single family detached 11225009 CA 91331 644 Single family detached 11214428 CA 91752 563 Single family detached 11193554 NJ 7712 577 Duplex 11221015 FL 32254 616 Single family detached 11217717 MD 20747 635 Condominium 11224192 MA 1852 710 Duplex 11215590 CA 95827 590 Single family detached 11196017 CA 95206 602 Single family detached 11213882 PA 16415 622 Single family detached 11210439 AZ 85204 643 Single family detached 11208824 FL 32526 667 Single family detached 11210589 FL 33179 589 Single family detached 11181810 TX 77617 554 Single family detached 11209741 CA 95351 616 Single family detached 11206998 VA 23693 659 PUD project ( Attached) 11190551 CA 92806 634 PUD project ( Attached) 11186822 OR 97305 626 Single family detached 11217971 NJ 7026 697 Single family detached 11207495 MD 21607 603 Single family detached 11172736 OH 45415 580 Single family detached 11206098 AZ 85338 614 PUD single family( Detached) 11225940 CA 91344 688 Single family detached 11210767 SC 29431 626 Single family detached 11225010 CA 93308 636 Single family detached 11208776 AZ 85051 630 Single family detached 11210990 MA 2766 687 Single family detached 11201610 LA 70706 577 Single family detached 11216666 CA 94568 619 Condominium 11218855 TX 75243 582 PUD project ( Attached) 11229783 VA 22192 606 PUD project ( Attached) 11196143 CA 93630 682 Single family detached 11206381 CA 92128 616 PUD single family( Detached) 11191089 NY 12524 624 Condominium 11224537 IL 60160 703 Single family detached 11185254 CO 80922 581 PUD single family( Detached) 11202500 FL 33174 629 Condominium 11225653 CO 80110 609 Single family detached 11151289 CA 90723 676 Single family detached 11202909 TN 37742 512 Single family detached 11210009 CA 92020 675 Single family detached 11178574 IL 60004 670 Single family detached 11231875 SC 29720 608 Single family detached 11210777 CA 94519 578 Single family detached 11215883 WV 25425 660 Single family detached 11227909 TX 78373 631 Condominium 11218297 CA 92701 551 Single family detached 11209725 CA 90650 730 Single family detached 11197648 MD 20814 700 Single family detached 11222490 CA 93065 590 Single family detached 11208101 DC 20032 592 Single family detached 11225736 FL 33428 646 Single family detached 11205877 CA 91601 707 Single family detached 11188667 CA 94801 634 Single family detached 11213122 VA 22191 576 Single family detached 11209755 MA 1545 669 Single family detached 11227388 VA 22193 674 Single family detached 11226207 CA 90008 796 Duplex 11209200 MA 2151 644 Duplex 11216738 PA 15601 560 Single family detached 11193129 CA 91776 625 Single family detached 11213408 TX 77088 610 PUD single family( Detached) 11222539 CA 93308 695 Single family detached 11176015 CA 92509 678 Single family detached 11202664 AR 71913 728 Single family detached 11225063 AZ 85249 665 PUD single family( Detached) 11198004 CA 95835 619 PUD single family( Detached) 11190370 VA 22309 577 Condominium 11222372 CO 80538 626 PUD single family( Detached) 11177899 NY 13104 620 Single family detached 11214458 CA 91761 654 Single family detached 11189979 NM 87121 643 Single family detached 11217996 CA 90065 677 Single family detached 11219553 MD 20784 642 Single family detached 11169662 CO 80112 753 PUD single family( Detached) 11208948 CA 90660 725 Single family detached 11180766 CA 94621 685 Single family detached 11194390 CA 92805 745 Single family detached 11185611 NV 89102 664 Single family detached 11170534 PA 15122 565 Single family detached 11218779 CA 95828 627 Single family detached 11224944 AZ 85208 679 PUD single family( Detached) 11177619 CA 94015 690 Single family detached 11215263 NJ 7422 551 Single family detached 11199020 CO 80219 637 Single family detached 11221581 CA 94502 685 PUD project ( Attached) 11212509 WA 98203 600 Single family detached 11191822 ID 83651 590 PUD single family( Detached) 11215860 LA 70461 633 Single family detached 11219763 MD 20774 627 Single family detached 11198185 NC 28306 600 Single family detached 11217829 FL 34232 639 Single family detached 11170466 NJ 7106 555 Single family detached 11218246 AZ 85297 690 PUD single family( Detached) 11208476 CA 95821 670 Single family detached 11231440 WA 98007 636 Single family detached 11220813 VA 20121 727 Condominium 11216698 WI 53718 606 Single family detached 11221732 CA 92563 639 Single family detached 11212188 DE 19702 642 Single family detached 11183759 CA 93041 639 PUD single family( Detached) 11205350 CT 6479 653 Single family detached 11179080 IL 60621 547 Single family detached 11217098 CA 90304 580 Single family detached 11226194 CA 92345 511 Single family detached 11191655 CA 91709 672 Single family detached 11204482 WA 98541 655 Single family detached 11180135 CA 91010 673 Single family detached 11212203 LA 70003 614 Single family detached 11152773 AZ 85326 551 PUD single family( Detached) 11218578 CA 92284 634 Single family detached 11183261 CT 6002 538 Single family detached 11183896 CA 90059 622 Duplex 11186353 CA 95820 681 Single family detached 11198565 CA 91331 668 Condominium 11233385 MA 2302 718 Duplex 11193138 MI 48146 596 Single family detached 11230617 TX 75855 598 Single family detached 11209027 FL 33186 628 Condominium 11214056 WI 54135 585 Single family detached 11198559 CA 93307 593 Single family detached 11200255 CA 92567 646 Single family detached 11222651 PA 18702 621 Single family detached 11192452 DC 20019 597 Single family detached 11225831 CA 91748 649 Condominium 11216117 IL 60077 625 Single family detached 11179278 MD 20622 547 Single family detached 11217477 MA 2155 693 Condominium 11189252 MO 64124 571 Duplex 11201217 NC 28904 582 Single family detached 11194765 TX 78216 605 Single family detached 11219180 NY 11738 559 Single family detached 11202627 NJ 7062 670 Single family detached 11207190 VA 22182 629 PUD single family( Detached) 11212127 WA 98338 610 PUD single family( Detached) 11144412 IN 46321 559 Single family detached 11207666 TX 76180 611 PUD single family( Detached) 11227789 TX 75082 536 PUD single family( Detached) 11170701 CA 92691 591 Condominium 11194232 MO 65714 671 Single family detached 11192932 CA 92592 732 PUD single family( Detached) 11219412 TX 75662 594 Single family detached 11202558 NJ 8063 623 Single family detached 11197178 AZ 85254 802 PUD single family( Detached) 11220978 CA 93550 642 Single family detached 11219330 FL 33971 701 Single family detached 11208709 AZ 85650 604 PUD project ( Attached) 11212773 LA 70443 650 Single family detached 11167866 CA 93552 658 Single family detached 11229385 VA 20164 637 Single family detached 11218217 CA 94565 696 Single family detached 11198272 FL 33351 722 Condominium 11159829 NJ 7302 765 Single family detached 11193338 FL 33176 742 Single family detached 11176805 MO 64130 578 Single family detached 11224838 LA 70435 627 Single family detached 11184846 PA 16403 506 Single family detached 11217372 CA 91761 561 Duplex 11198235 CA 92509 639 Single family detached 11221281 MA 1521 629 Single family detached 11210858 CA 91606 662 Single family detached 11203716 FL 33897 613 PUD project ( Attached) 11213260 CA 92028 672 Single family detached 11186517 TN 37909 637 Condominium 11198829 NC 28269 622 PUD single family( Detached) 11215801 CA 95838 651 Single family detached 11211671 MD 21771 628 Single family detached 11215523 CA 92399 620 Single family detached 11209342 NJ 8205 644 Duplex 11223628 CA 92404 718 Single family detached 11205656 FL 33193 671 Single family detached 11229043 TX 76249 609 Single family detached 11206863 MO 65809 805 PUD single family( Detached) 11195947 FL 32810 629 Single family detached 11212200 CA 92870 636 Single family detached 11231075 CA 94533 707 PUD project ( Attached) 11190479 WA 99362 713 Single family detached 11190731 MA 1902 590 Single family detached 11216520 NV 89145 610 Single family detached 11222537 CA 92545 719 Single family detached 11229382 NJ 7047 669 Single family detached 11233104 TX 77336 721 Single family detached 11208254 CA 92592 646 PUD single family( Detached) 11177736 FL 33027 505 Single family detached 11214795 RI 2908 706 Single family detached 11183932 AZ 85338 569 Single family detached 11209593 CA 93312 708 Single family 4 unit 11213585 NJ 8330 652 Single family detached 11209028 FL 33144 592 Single family detached 11217720 CA 92404 623 Single family detached 11224112 TX 76248 611 Single family detached 11168718 WV 24701 611 Single family detached 11220908 TX 75231 595 Single family detached 11214128 IL 60085 740 Single family detached 11215155 CA 95660 562 Single family detached 11229858 VA 22150 648 Single family detached 11194584 CA 90019 676 Duplex 11225983 NJ 8080 631 Single family detached 11209058 NY 11420 684 Duplex 11216198 OK 73013 680 PUD single family( Detached) 11205588 NY 11722 631 Single family detached 11218958 LA 71405 602 Single family detached 11224906 WA 99212 738 Single family detached 11210180 CA 93309 599 Single family detached 11220430 NV 89123 617 Condominium 11202020 CA 93305 627 Single family detached 11219844 CA 91340 597 Single family detached 11203339 NJ 8807 659 Single family detached 11219759 CA 95822 639 Single family detached 11196490 NV 89115 600 Single family detached 11222567 VA 22556 523 Single family detached 11223316 MD 21060 513 Single family detached 11214988 CA 92336 500 Single family detached 11156057 CA 91765 585 Single family detached 11177503 AZ 85374 604 PUD single family( Detached) 11159255 CA 91748 581 Single family detached 11226750 WA 98444 594 Single family detached 11219249 CA 92509 586 Single family detached 11196770 CA 93722 641 Single family detached 11211546 TX 76053 632 Single family detached 11219438 FL 33175 556 Single family detached 11227960 CA 90042 752 Condominium 11214954 CA 91356 578 Single family detached 11217938 CA 91722 733 Single family detached 11170422 NJ 7764 657 Single family detached 11195570 CA 93560 660 Single family detached 11223290 NV 89030 610 Single family detached 11221303 WI 53511 571 Single family detached 11187115 TX 77008 724 Single family detached 11212892 CA 94538 678 Single family detached 11178448 PA 18901 669 Condominium 11220431 NY 11782 511 Single family detached 11204769 TN 37766 551 Single family detached 11220826 CA 94015 687 Condominium 11205950 NY 11767 633 Single family detached 11167650 CA 95602 697 Condominium 11175664 AZ 85212 557 Single family detached 11220211 IL 60085 607 Single family detached 11203726 WA 98108 648 Single family detached 11200527 TX 75043 575 Single family detached 11221942 WA 98373 643 Condominium 11198078 CA 93534 772 Single family detached 11192442 MD 21227 708 Single family detached 11225370 TX 76140 619 PUD single family( Detached) 11233034 TN 38108 641 Single family detached 11234399 CA 91352 683 Condominium 11183228 GA 30310 662 Single family detached 11203613 WA 98444 585 Single family detached 11220596 WA 98029 651 Condominium 11220981 WA 98584 610 Single family detached 11166371 NY 10950 628 Single family detached 11196502 NJ 7461 581 Single family detached 11202874 IL 60073 699 PUD single family( Detached) 11228419 AZ 85050 522 Single family detached 11225400 CA 92411 658 Single family detached 11211703 CA 94561 643 Single family detached 11216498 PA 17815 563 Single family detached 11220857 CA 90255 652 Single family 4 unit 11207947 TN 38011 657 Single family detached 11210165 CA 91739 682 Single family detached 11221057 WA 98077 598 Single family detached 11198405 CA 94014 676 Duplex 11212361 CA 93436 710 Single family detached 11194387 TX 75019 582 Condominium 11217187 NV 89139 611 Single family detached 11217578 FL 34711 688 PUD single family( Detached) 11216203 PA 19131 533 Single family detached 11219390 WA 98056 665 PUD single family( Detached) 11214503 FL 32712 651 PUD single family( Detached) 11192847 NY 12828 672 Single family detached 11224386 NV 89115 707 Single family detached 11216894 WA 98580 587 Single family detached 11166333 NV 89030 659 Single family detached 11214109 NY 12122 584 Single family detached 11191050 TX 77590 529 Single family detached 11228273 MS 38632 621 Single family detached 11179913 FL 32922 620 Single family detached 11211389 AZ 85254 692 Single family detached 11206400 TX 79938 581 Single family detached 11211791 CA 94803 615 Single family detached 11181522 CA 91766 754 Single family detached 11213160 WA 98329 654 Single family detached 11214994 CA 93727 656 Single family detached 11227669 GA 30157 624 Single family detached 11189567 FL 33065 581 PUD single family( Detached) 11192315 CA 92126 592 Single family detached 11163762 MO 64030 518 Single family detached 11179879 CA 92376 656 Single family detached 11198930 LA 70706 601 Single family detached 11213735 CA 90036 634 Single family 4 unit 11204524 CA 94561 655 Single family detached 11188106 MI 48205 597 Single family detached 11195243 VA 22030 650 Single family detached 11190354 CA 90713 612 Single family detached 11218180 FL 33141 650 Single family detached 11229027 CA 90710 582 Single family detached 11230077 CA 90011 630 Duplex 11203120 LA 70605 617 Single family detached 11196578 NY 12518 615 Single family detached 11187207 FL 32708 607 PUD single family( Detached) 11213496 CA 91762 587 Condominium 11220212 CA 91709 682 PUD single family( Detached) 11207032 GA 30236 618 PUD single family( Detached) 11184351 WI 53570 617 Single family detached 11180695 NY 13790 744 Single family detached 11207912 NV 89048 649 Single family detached 11214991 CA 92551 700 PUD single family( Detached) 11191956 DC 20019 613 Single family detached 11206305 CA 92807 622 Single family detached 11210140 CA 94601 576 Triplex 11216438 CA 90019 554 Single family detached 11197644 TX 79912 679 Single family detached 11224958 TX 75043 560 Single family detached 11217100 CA 92071 650 Single family detached 11191593 CA 91791 660 Single family detached 11229182 CA 90201 563 Single family detached 11197729 CA 92545 694 Single family detached 11204221 CA 92231 516 Single family detached 11143943 NY 13355 664 Single family detached 11221454 CA 90221 647 Single family detached 11215823 CA 91604 630 Single family detached 11205580 CA 92688 637 Condominium 11204423 CA 90044 643 Single family detached 11197313 VA 23321 520 Single family detached 11196394 CA 95687 565 Single family detached 11198392 IL 61108 562 Single family detached 11216375 CA 90745 628 Single family detached 11190555 CA 94568 755 Single family detached 11198849 MD 20720 534 Condominium 11221249 MD 21108 661 Single family detached 11219939 CA 93060 609 Single family detached 11207672 CA 92553 518 Single family detached 11178327 CA 93305 717 Single family detached 11215221 CA 92201 708 Single family detached 11225324 DC 20001 711 Condominium 11182876 CA 91601 666 Single family detached 11211918 PA 19116 617 Single family detached 11174952 CA 95136 676 Condominium 11196003 OK 73105 709 Duplex 11184043 OH 45334 620 Single family detached 11201493 VA 22193 581 PUD project ( Attached) 11189398 VA 20110 642 PUD project ( Attached) 11210978 AZ 85015 690 Single family detached 11212905 CA 92807 653 Single family detached 11225691 KS 67701 584 Single family detached 11212657 VA 22150 678 Single family detached 11217109 NV 89122 605 PUD single family( Detached) 11216411 TN 38506 641 Single family detached 11200414 DC 20011 524 Single family detached 11221583 CA 93536 639 Single family detached 11210802 CA 94509 613 Condominium 11149307 TX 78664 674 Single family detached 11211949 CA 91042 695 Single family detached 11210548 FL 33144 588 Single family detached 11207645 TX 75217 691 Single family detached 11210660 CA 94610 684 Condominium 11180534 RI 2909 661 Duplex 11213935 AZ 85338 604 PUD single family( Detached) 11206733 NY 14622 636 Single family detached 11213886 IL 60565 605 Single family detached 11211656 TX 76108 598 Single family detached 11204408 CA 95020 648 Single family detached 11172074 NY 11235 687 Condominium 11215207 CA 93065 675 Single family detached 11212896 NY 11420 723 Single family detached 11192674 MD 20882 584 PUD single family( Detached) 11201726 MD 21220 767 Single family detached 11224440 CA 92315 666 Single family detached 11175566 CA 92411 568 Single family detached 11208841 CA 94603 715 Single family detached 11201479 CA 92587 554 PUD single family( Detached) 11208927 NY 11433 760 Duplex 11211393 CA 91766 655 Single family detached 11216037 LA 70816 621 Single family detached 11217517 MD 21117 650 PUD project ( Attached) 11191020 TX 76135 639 Single family detached 11196943 OH 44706 793 Duplex 11205167 MD 20707 523 Condominium 11196303 CA 95815 745 Single family detached 11203828 TN 37918 585 Single family detached 11208068 OK 74347 586 Single family detached 11217154 CA 93307 600 Single family detached 11193108 CA 95828 641 Single family detached 11202097 FL 33441 517 Single family detached 11187331 CA 93305 587 Single family detached 11206642 NJ 7663 525 Single family detached 11207127 CA 91773 531 Single family detached 11189281 MD 20886 651 PUD project ( Attached) 11200452 TX 77080 694 Single family detached 11202142 CA 92557 635 Single family detached 11203023 MD 20740 660 Single family detached 11198872 NC 28092 586 Single family detached 11216394 LA 71104 592 Single family detached 11180479 FL 33594 567 Single family detached 11222869 CA 90603 677 Single family detached 11154087 WA 98230 537 Single family detached 11198766 MD 20774 637 Single family detached 11212613 MA 1876 632 Condominium 11186374 NJ 7111 563 Single family detached 11184754 CT 6770 660 Duplex 11196049 IL 60466 644 Single family detached 11216293 NH 3865 578 Single family detached 11215889 CA 90059 702 Single family detached 11201917 MI 48197 644 Single family detached 11209901 CA 91724 732 Single family detached 11183412 CA 90003 598 Single family 4 unit 11212678 CA 91770 738 Single family detached 11206038 MD 20744 546 Single family detached 11222773 CA 92220 648 Single family detached 11224748 TX 76247 597 Single family detached 11177236 NC 28504 614 Single family detached 11210935 NJ 7065 726 Duplex 11226813 CA 93622 536 Single family detached 11120720 NJ 7882 646 Duplex 11211604 GA 31419 599 PUD single family( Detached) 11201592 NY 11421 728 Single family detached 11128000 MI 48221 579 Single family detached 11207222 MI 48225 580 Single family detached 11203515 CA 92562 709 Single family detached 11214741 NH 3867 589 Single family detached 11226057 CA 91706 610 Condominium 11209595 CA 90064 698 Single family detached 11210845 LA 70437 544 Single family detached 11192634 CA 92101 682 Condominium 11219589 CA 92394 522 Single family detached 11214634 CA 95762 586 Single family detached 11218128 OK 73107 704 Single family detached 11210094 LA 70817 517 Single family detached 11197056 AZ 86325 510 PUD single family( Detached) 11214432 CA 92405 625 Single family detached 11197033 CA 92123 583 Single family detached 11205541 CA 92081 572 Single family detached 11173857 IL 60653 641 Condominium 11204192 CA 93257 639 Single family detached 11210936 VA 20109 668 Single family detached 11216267 TX 76018 610 Single family detached 11192322 CA 93536 706 Single family detached 11195654 TX 77365 653 Single family detached 11201604 MI 48657 586 Single family detached 11220429 CA 93702 775 Single family detached 11205657 IL 60475 671 Single family detached 11197836 WI 54915 605 Single family detached 11218562 NV 89131 702 PUD single family( Detached) 11220605 TX 77489 587 PUD single family( Detached) 11219113 WA 98021 641 Single family detached 11210006 CA 94513 586 Single family detached 11215807 WA 98036 599 Condominium 11223151 MD 20743 627 Single family detached 11185304 AZ 86401 790 Single family detached 11210029 FL 33125 614 Duplex 11215530 FL 33141 595 Condominium 11211757 LA 70757 553 Single family detached 11224013 NH 3060 677 Single family detached 11232525 CA 91722 638 Single family detached 11210651 AZ 85014 716 Single family detached 11215662 NV 89031 623 Single family detached 11180159 TX 79924 732 Single family detached 11219416 CA 94531 569 Single family detached 11200485 NJ 7052 584 Single family detached 11195912 VA 23868 500 Single family detached 11219904 CA 94536 710 Single family detached 11219178 CA 90280 630 Single family detached 11201752 WA 99336 639 Single family detached 11217337 MD 21228 777 Single family detached 11214442 NV 89119 615 Single family detached 11206591 FL 33161 747 Duplex 11185904 NC 28645 681 Single family detached 11217700 NV 89138 634 PUD single family( Detached) 11190081 CA 94546 793 Single family detached 11199634 OR 97850 598 Single family detached 11205986 NH 3570 639 Single family detached 11193177 CA 91601 636 Single family detached 11232125 CA 92346 651 Single family detached 11139962 NY 11216 522 Duplex 11219644 CA 91744 613 Single family detached 11193212 MO 64012 616 Single family detached 11203248 NJ 7093 640 Duplex 11212744 CA 92027 713 Condominium 11174277 CA 92571 643 Single family detached 11211498 VA 23462 589 Single family detached 11222956 NM 87123 658 Single family detached 11172925 CA 93543 664 Single family detached 11207077 ID 83835 645 Single family detached 11178452 LA 70806 535 Single family detached 11221748 IL 60406 595 Single family detached 11169867 PA 19123 572 Single family detached 11224564 CA 92692 677 Single family detached 11232667 PA 18960 608 PUD project ( Attached) 11221487 TX 75773 732 Single family detached 11170936 MD 20732 679 PUD single family( Detached) 11222229 MO 65803 695 Single family detached 11212486 CA 95210 706 Triplex 11210301 OH 45414 503 Single family detached 11223499 CA 91325 649 Single family detached 11194347 GA 30115 692 Single family detached 11200020 TX 75050 533 Single family detached 11206687 TN 37148 659 Single family detached 11222340 NV 89005 619 Single family detached 11226895 CA 92844 686 Condominium 11186183 TX 77449 597 PUD single family( Detached) 11136562 NY 11722 753 Single family detached 11196685 FL 33413 627 PUD single family( Detached) 11207887 NC 27103 693 PUD single family( Detached) 11222848 MD 20744 668 Single family detached 11217348 NM 87402 675 Single family detached 11181259 TX 77095 552 PUD single family( Detached) 11167383 MD 20653 508 Single family detached 11192941 TX 75115 573 PUD single family( Detached) 11182091 CA 90262 693 Single family detached 11186576 CA 95206 608 Single family detached 11180777 IL 61738 531 Single family detached 11202191 IL 60076 618 Single family detached 11177595 AZ 85208 714 PUD single family( Detached) 11204350 CA 90220 723 Triplex 11213437 FL 33511 752 Single family detached 11190669 LA 70448 619 Single family detached 11202661 MI 48221 640 Single family detached 11173617 CA 92530 509 Single family detached 11183210 CT 6320 511 Single family detached 11195997 WI 54568 620 Single family detached 11165426 AZ 85242 627 PUD single family( Detached) 11217324 CA 93030 714 Condominium 11184935 FL 34758 698 PUD single family( Detached) 11217911 OH 45410 590 Single family detached 11211133 MO 63129 656 Single family detached 11216384 NY 11208 605 Duplex 11211553 FL 33175 638 Condominium 11163855 CA 92404 699 Single family detached 11209620 FL 34769 622 Single family detached 11203970 GA 30315 688 Single family detached 11209823 CA 91390 564 Single family detached 11218069 TX 76039 577 Single family detached 11194058 IL 60618 670 Duplex 11217057 MT 59718 648 PUD project ( Attached) 11232056 NJ 8859 684 Single family detached 11222781 FL 32907 673 Single family detached 11219464 TX 75024 713 PUD single family( Detached) 11163119 MA 1983 668 Single family detached 11219631 CA 90016 709 Single family detached 11208870 CA 91331 521 Condominium 11231928 TX 77459 686 PUD single family( Detached) 11212119 OH 45601 529 Single family detached 11205918 NY 14611 604 Single family detached 11220353 NM 88220 598 Single family detached 11203289 FL 32277 598 PUD single family( Detached) 11210302 NH 3307 574 Single family detached 11189090 MA 2031 615 Single family detached 11211039 MA 2072 685 Single family detached 11209168 VA 24523 635 Single family detached 11205157 MD 20886 673 Condominium 11214026 GA 30236 611 PUD single family( Detached) 11215484 CA 90201 556 Single family detached 11227286 TX 77494 632 PUD single family( Detached) 11184076 DC 20018 518 Single family detached 11216056 CA 92114 730 Single family detached 11237070 VA 22701 513 Single family detached 11182835 TX 78412 651 Single family detached 11206318 CA 92057 659 Single family detached 11197314 VA 23320 594 Condominium 11227915 CA 92337 726 Single family detached 11209536 NC 28216 602 PUD single family( Detached) 11232568 MD 20772 696 Single family detached 11221628 CA 91402 684 Single family detached 11217202 AZ 85206 592 PUD single family( Detached) 11199049 FL 33136 619 Condominium 11205607 TX 75061 693 Single family detached 11232099 NC 28352 613 Single family detached 11211596 VA 22191 715 PUD project ( Attached) 11192945 CA 93036 652 PUD single family( Detached) 11217989 MA 2790 600 Single family detached 11193239 TX 75052 687 PUD single family( Detached) 11205485 VA 23435 641 PUD project ( Attached) 11209985 CA 94945 670 Single family detached 11209925 NY 14086 634 Single family detached 11205192 MD 21012 702 PUD project ( Attached) 11219280 CA 90650 627 Single family detached 11206402 CA 93552 777 Single family detached 11196758 CA 92404 625 Single family detached 11215987 WA 98374 761 PUD single family( Detached) 11182802 CA 95648 623 PUD single family( Detached) 11167777 CA 95987 682 Single family detached 11202783 FL 33897 659 PUD single family( Detached) 11205674 CA 91340 776 Single family detached 11214789 TX 77506 725 Single family detached 11206570 NJ 7036 702 Single family detached 11200077 NC 28083 551 Single family detached 11202520 CO 80526 585 Single family detached 11203462 WA 98311 509 Single family detached 11198372 VA 23504 525 Single family detached 11201818 WA 98030 519 Single family detached 11200235 MS 39059 584 Single family detached 11225137 CA 90703 670 Single family detached 11214139 TX 75052 582 Single family detached 11158273 CA 94806 594 Single family detached 11207788 CA 92301 601 Single family detached 11211333 CA 93648 752 Single family detached 11197194 CA 90640 591 Single family detached 11218830 TX 77505 631 Single family detached 11231435 VA 20111 693 Single family detached 11219990 NV 89031 728 Single family detached 11192856 CA 92805 687 Single family detached 11194660 MA 2169 660 Duplex 11166696 IL 60101 604 Single family detached 11211601 TX 77302 634 PUD single family( Detached) 11190399 CA 90706 693 Single family detached 11213542 AZ 85379 581 PUD single family( Detached) 11159211 CA 90059 687 Duplex 11181631 PA 18092 614 Single family detached 11213038 VA 20136 731 PUD project ( Attached) 11204594 CA 90255 641 Single family detached 11163759 NV 89081 604 PUD single family( Detached) 11223651 CA 91402 688 Single family detached 11218589 CA 91384 616 Condominium 11164315 CA 90061 552 Single family detached 11220849 CA 95662 616 Single family detached 11217851 TX 76226 604 PUD single family( Detached) 11136710 NY 11216 675 Single family 4 unit 11217633 PA 19124 632 PUD project ( Attached) 11199029 GA 30504 613 Single family detached 11208759 WA 98031 611 Condominium 11212111 NJ 8820 592 Condominium 11199110 CA 90805 652 Single family detached 11064967 VA 23455 505 Single family detached 11182063 PA 18914 606 Single family detached 11213166 CA 91763 627 Single family detached 11218691 AZ 85255 667 PUD single family( Detached) 11212696 CA 92201 619 PUD single family( Detached) 11213053 VA 23666 644 Single family detached 11207629 CA 90255 620 Single family detached 11204863 WA 98223 771 Single family detached 11204793 CT 6801 576 Condominium 11209751 NJ 7083 656 Single family detached 11222341 OH 44428 613 Single family detached 11208773 CA 93535 715 Single family detached 11210982 NY 11417 626 Duplex 11178405 CT 6897 630 Condominium 11177975 CO 80013 633 Single family detached 11186591 NJ 8016 687 Single family detached 11203159 NH 3857 601 Single family 4 unit 11195107 NY 11755 650 Single family detached 11230906 CA 94538 718 Single family detached 11188353 MD 20747 586 Condominium 11203601 CA 95206 678 Single family detached 11210981 FL 33415 652 PUD project ( Attached) 11209184 CA 92879 649 Duplex 11217152 CA 93618 626 Single family detached 11196661 CA 90018 672 Single family detached 11205597 CT 6053 571 Single family detached 11208268 CA 92114 629 Single family detached 11206244 WA 99337 648 Single family detached 11205252 NY 11233 695 Duplex 11222921 CA 92404 602 Single family detached 11214813 MD 21015 629 Condominium 11211751 CA 93705 730 Single family detached 11207690 CA 94547 757 Condominium 11216844 VA 22026 615 PUD project ( Attached) 11199423 CA 92376 765 Single family detached 11233069 TX 77026 580 Single family detached 11139445 CA 96041 597 Single family detached 11199991 NV 89117 695 PUD single family( Detached) 11177067 CA 92399 637 Single family detached 11220036 MD 20743 653 PUD project ( Attached) 11203524 OR 97504 634 Single family detached 11208922 CA 93536 658 Single family detached 11219220 IL 60435 610 Single family detached 11218021 WA 98258 624 Single family detached 11218494 TX 76903 595 Single family detached 11237226 IL 61080 602 Single family detached 11223023 CA 92553 682 Single family detached 11214841 CA 93534 672 Single family detached 11166721 MO 63050 625 Single family detached 11188960 CA 93312 602 Single family detached 11226891 CA 92649 801 Condominium 11227759 CA 91730 614 Single family detached 11200432 CA 91335 680 Single family detached 11190097 TX 75115 558 Single family detached 11201864 CA 93060 692 Single family detached 11231461 MD 20720 630 Condominium 11206288 WI 54650 649 Single family detached 11215202 CA 91977 554 Condominium 11198832 CA 91768 628 Single family detached 11210069 AZ 85255 675 Single family detached 11132955 TX 77573 613 PUD single family( Detached) 11196223 MI 48237 607 Single family detached 11173115 MO 63107 570 Single family detached 11189608 NV 89156 618 Single family detached 11204958 CA 95670 641 Single family detached 11198923 CA 91701 559 Single family detached 11209809 CA 92584 600 Single family detached 11184703 CA 92544 597 Single family detached 11165025 CA 90016 659 Single family 4 unit 11201321 ME 3906 550 Single family detached 11208935 CA 94949 515 PUD single family( Detached) 11170121 CO 80922 631 PUD single family( Detached) 11226000 TN 37127 601 Single family detached 11219003 PA 18034 663 Single family detached 11227382 WA 98422 647 Single family detached 11204175 FL 33179 736 Condominium 11208684 TX 75146 597 Single family detached 11222430 UT 84095 682 Single family detached 11212004 MA 1841 667 Duplex 11199357 NY 11233 559 Single family detached 11218153 NC 27954 723 Condominium 11220962 CA 91977 610 Condominium 11222853 CA 93552 587 Single family detached 11214170 CA 95626 650 Single family detached 11206616 IL 60639 715 Duplex 11228123 CA 92591 657 Single family detached 11196174 PA 15211 534 Single family detached 11183533 CA 91202 680 Single family detached 11224208 CA 90026 627 Duplex 11149745 CA 90220 631 Single family detached 11198498 CA 94134 757 PUD project ( Attached) 11219635 MD 21703 610 PUD project ( Attached) 11197735 CA 91344 650 Single family detached 11209047 LA 70454 532 Single family detached 11210729 CA 90220 714 Single family detached 11194113 NY 12776 632 Single family detached 11190897 CA 96001 537 Single family detached 11191105 WA 98166 540 Single family detached 11216776 NV 89403 631 Single family detached 11215654 CA 92234 652 Single family detached 11181545 LA 70129 612 Single family detached 11195227 LA 70812 599 Single family detached 11223630 DC 20032 607 Single family detached 11213416 FL 33709 553 Single family detached 11209846 CA 90706 651 Duplex 11209949 CA 91335 670 Single family detached 11201092 MA 1757 717 Condominium 11212510 CA 91325 625 PUD single family( Detached) 11195074 IA 52253 610 Single family detached 11207863 AZ 86004 650 Single family detached 11204887 CA 92027 614 Single family detached 11176451 CA 90291 677 Single family detached 11194630 MD 21224 624 Single family detached 11198122 OH 44314 553 Single family detached 11166580 MA 2302 674 Single family detached 11201643 NY 10312 666 PUD project ( Attached) 11231839 CA 92262 664 Condominium 11222235 NV 89015 744 Single family detached 11227891 MD 20785 569 Single family detached 11202918 NV 89138 599 PUD single family( Detached) 11231174 MI 48089 586 Single family detached 11218170 AZ 86403 685 Single family detached 11216890 CA 95624 530 Single family detached 11198582 VA 22191 673 PUD project ( Attached) 11208482 OH 44270 686 Single family detached 11193599 WI 53572 691 Single family detached 11194507 CA 92557 597 Single family detached 11210505 WV 25430 607 Single family detached 11223254 MD 20853 652 Single family detached 11198660 CA 90044 618 Duplex 11203220 ID 83661 564 Single family detached 11190585 CA 92021 726 Single family detached 11193658 DE 19701 684 Single family detached 11212483 CO 80236 518 Single family detached 11212860 ID 83705 716 Single family detached 11205041 AZ 85374 712 Single family detached 11179186 MD 21231 675 Single family detached 11172223 CA 93550 671 Single family detached 11193741 CA 93640 717 Single family detached 11171040 MO 63042 593 Condominium 11188585 FL 33141 631 PUD project ( Attached) 11215137 CA 90247 659 Condominium 11202159 MD 20601 599 PUD single family( Detached) 11197299 IL 60061 677 Single family detached 11202588 NY 11550 507 Single family detached 11185177 CA 94561 720 Condominium 11204292 CA 92553 625 Single family detached 11223280 TX 75211 605 Single family detached 11201449 CA 94531 717 Single family detached 11212617 NY 14904 617 Single family detached 11200446 MN 56201 650 Single family detached 11222906 WI 53121 560 Single family detached 11222716 NV 89503 640 Single family detached 11196317 NV 89506 590 Single family detached 11205449 FL 32714 645 PUD single family( Detached) 11228765 LA 71112 667 Single family detached 11228508 TN 37922 605 Single family detached 11190978 CA 95376 613 Single family detached 11205856 MD 20782 717 PUD project ( Attached) 11215003 CA 92860 560 Single family detached 11192794 CA 92114 655 Single family detached 11194472 CA 92562 635 Single family detached 11182589 NJ 8618 534 Single family detached 11214408 CA 91744 752 Single family detached 11222378 OK 74037 612 PUD single family( Detached) 11216124 GA 30296 690 Single family detached 11164850 NY 10302 629 Triplex 11163135 FL 32725 653 Single family detached 11203973 FL 33186 637 PUD single family( Detached) 11220090 TN 37922 689 Single family detached 11161392 CA 93536 575 Single family detached 11225472 TN 38118 595 Single family detached 11208561 CA 91709 762 Single family detached 11187058 NY 11554 729 Single family detached 11206092 CA 95315 661 Single family detached 11199443 CA 90011 614 Triplex 11161308 CT 6405 657 Duplex 11225569 CA 95363 567 Single family detached 11204586 CA 92054 687 Single family detached 11207660 CA 91303 666 Single family detached 11203224 CA 93726 572 Single family detached 11195358 AZ 85382 687 PUD single family( Detached) 11136513 CA 91780 657 Single family detached 11159884 MD 20748 560 Condominium 11200456 NC 28904 618 Single family detached 11221240 RI 2908 731 Duplex 11209773 CA 92551 639 PUD single family( Detached) 11204428 AZ 86001 685 Single family detached 11229245 TX 75189 610 Single family detached 11192371 CA 94544 683 PUD single family( Detached) 11199763 IL 60544 646 Single family detached 11184932 MA 1475 547 Single family detached 11194976 FL 33325 626 PUD single family( Detached) 11230747 CA 91739 599 Single family detached 11185997 NH 3281 635 Single family detached 11199246 CA 90755 559 Condominium 11199988 CA 94513 635 Single family detached 11228103 CA 92395 636 PUD single family( Detached) 11222958 AZ 85335 674 PUD single family( Detached) 11208235 CA 93535 705 Single family detached 11211950 CA 91605 649 Single family detached 11220803 TX 76119 624 Single family detached 11206700 MA 2780 641 Single family detached 11216195 CT 6776 518 Single family detached 11214864 CA 92705 631 Condominium 11213752 MA 2301 657 Duplex 11206966 AZ 85204 629 Single family detached 11201276 MA 1830 654 Single family detached 11229206 WA 98034 594 Condominium 11149356 CA 93654 666 Single family detached 11220572 AZ 85024 601 PUD single family( Detached) 11217661 AZ 86404 667 Single family detached 11187740 CA 91342 630 Single family detached 11178474 NJ 8858 581 Single family detached 11216569 WA 98375 621 PUD single family( Detached) 11210196 NY 11379 682 Duplex 11162825 NY 11050 584 Single family detached 11198311 IL 60302 593 Condominium 11222485 CA 90220 570 Single family detached 11230947 CA 94588 632 Single family detached 11193300 CA 93550 555 Single family detached 11203792 TX 77469 626 PUD single family( Detached) 11203456 TX 79423 613 Single family detached 11207914 TX 75115 656 Single family detached 11199854 MD 21044 690 PUD project ( Attached) 11226781 CA 90815 733 Single family detached 11213616 FL 33426 681 Condominium 11223632 WA 99212 641 Single family detached 11218117 MS 39209 704 Single family detached 11210362 TX 75052 607 PUD single family( Detached) 11225192 CA 90404 711 Duplex 11191902 FL 32824 617 PUD single family( Detached) 11215146 TX 75225 653 Condominium 11212110 FL 33569 644 Single family detached 11175679 IL 60609 665 Duplex 11207311 FL 33157 538 Single family detached 11200637 MD 21230 620 Single family detached 11224433 CA 91701 525 Single family detached 11196115 CA 92260 693 PUD project ( Attached) 11207562 TX 77377 619 PUD single family( Detached) 11208915 CA 91803 610 Single family detached 11228000 IL 60914 637 Single family detached 11222299 IL 60482 643 Single family detached 11193324 CA 90046 781 Single family detached 11230438 CA 93301 677 Single family detached 11200845 ID 83686 706 Single family detached 11176139 WA 98405 594 Single family detached 11231432 CA 93063 704 PUD single family( Detached) 11195874 FL 33184 670 Condominium 11212654 NJ 7052 560 Single family detached 11192032 CA 94544 735 Single family detached 11232540 AZ 85296 603 PUD single family( Detached) 11207605 CA 91761 657 Single family detached 11202692 NY 11735 757 Duplex 11180770 WA 98466 611 Condominium 11207424 NJ 7205 504 Single family detached 11197882 CA 90042 679 Single family detached 11201408 CA 95315 586 Single family detached 11201898 CA 90007 709 Duplex 11208527 MA 1852 621 Condominium 11180317 CA 92881 678 Single family detached 11208570 NY 11436 674 Single family detached 11226927 NV 89110 600 Single family detached 11198510 MD 20782 608 Single family detached 11217308 CA 94553 750 Single family detached 11211966 CA 95914 682 Single family detached 11221894 TX 77385 696 PUD single family( Detached) 11228549 NY 14580 694 Single family detached 11206848 CA 93609 766 Single family detached 11198280 IL 60435 590 Single family detached 11175176 TX 77433 603 PUD single family( Detached) 11173981 TN 37757 592 Single family detached 11200256 MA 1605 555 Single family detached 11224070 IL 60139 687 Single family detached 11219301 CA 90059 583 Single family detached 11212533 CA 95628 705 Duplex 11171429 OR 97303 673 Single family detached 11198284 VA 23702 637 Single family detached 11166504 CA 91750 766 Single family detached 11203614 CA 92887 666 Single family detached 11187816 CA 91326 576 Single family detached 11179436 MD 20706 637 Single family detached 11206962 CA 95301 564 Single family detached 11185474 OR 97015 564 Single family detached 11210961 VA 20110 638 PUD project ( Attached) 11213456 MD 21214 537 Single family detached 11179948 CA 92078 683 Single family detached 11196821 IL 60123 646 Single family detached 11213852 CA 95828 641 Single family detached 11196473 CA 95376 605 Single family detached 11177887 MI 48146 588 Single family detached 11204676 CA 92352 614 Single family detached 11201813 NC 28203 745 Condominium 11205293 IL 60645 675 Duplex 11217269 CA 93534 531 Single family detached 11226943 OR 97276 649 Single family detached 11216912 TX 75002 630 Single family detached 11212242 CA 90042 514 Single family detached 11183746 WI 53511 700 Single family detached 11213395 VA 22193 602 PUD single family( Detached) 11190419 CA 91706 593 Single family detached 11186756 CA 90006 718 Single family detached 11217569 MA 1887 690 Single family detached 11232695 IL 61032 567 Single family detached 11211292 NY 12801 670 Single family detached 11216853 FL 33029 683 PUD single family( Detached) 11209583 CA 92020 782 Condominium 11222023 TX 75189 609 Single family detached 11202292 CA 93308 584 Single family detached 11195317 LA 71109 691 Single family detached 11216898 CA 91364 692 Single family detached 11223420 TX 75238 538 Single family detached 11226583 NY 11758 785 Single family detached 11210455 CA 91792 658 Single family detached 11207814 MA 1902 671 Duplex 11192167 FL 33801 617 Single family detached 11207333 NJ 7603 645 Single family detached 11219107 MD 20646 542 Single family detached 11214176 PA 19138 652 Single family detached 11196638 CA 94565 531 Single family detached 11217721 CA 92505 643 Single family detached 11205615 CA 90003 598 Single family detached 11143153 GA 31087 591 Single family detached 11192332 ID 83634 680 Single family detached 11196600 CO 80220 699 Single family detached 11235253 NY 14468 615 Single family detached 11216705 PA 15136 654 Single family detached 11197691 CO 80134 669 PUD single family( Detached) 11217043 FL 33460 612 Single family detached 11231954 SC 29588 592 Single family detached 11228347 VA 22630 620 Single family detached 11197058 NY 11422 615 Single family detached 11209183 FL 33161 705 Single family detached 11194764 IL 60605 627 Condominium 11221623 CA 93252 680 Single family detached 11181329 CA 90660 776 Single family detached 11214723 NY 10314 657 Condominium 11230594 MD 21774 521 PUD project ( Attached) 11201534 CA 92040 563 Condominium 11206574 VA 22191 601 PUD project ( Attached) 11208280 FL 34744 755 PUD single family( Detached) 11198910 SD 57719 591 Single family detached 11198570 CA 93274 605 Single family detached 11195034 CA 91105 647 Single family detached 11212164 CA 95630 740 PUD single family( Detached) 11215585 CA 90001 632 Single family detached 11179497 IN 47725 669 Single family detached 11230383 TX 75862 640 Single family detached 11209414 CA 90002 581 Duplex 11184540 CA 94015 647 Single family detached 11205153 NY 11205 667 Duplex 11194936 NY 11704 676 Duplex 11194304 MO 65721 651 Single family detached 11216035 CA 94066 614 Single family detached 11210086 AZ 85301 652 Single family detached 11194438 MD 20783 653 Single family detached 11206493 CA 91740 661 Single family detached 11221075 WA 98168 714 Single family detached 11210023 AZ 85712 715 PUD single family( Detached) 11198286 MA 1569 671 Single family detached 11189466 NJ 7307 689 Duplex 11210139 WA 98674 619 Single family detached 11195910 FL 33134 673 Condominium 11222897 NJ 7111 641 Single family detached 11180854 FL 33065 595 Duplex 11187449 CA 93268 652 Single family detached 11165791 NY 10461 684 Duplex 11203014 MD 21704 693 PUD project ( Attached) 11214446 MO 63033 569 PUD single family( Detached) 11151412 AZ 85033 594 Single family detached 11219865 CA 93311 620 Single family detached 11195611 CA 95626 581 Single family detached 11210210 CA 94585 629 Single family detached 11161266 FL 33467 691 Single family detached 11220768 CA 90803 702 Single family detached 11171809 NY 10469 506 Duplex 11187902 CA 90660 530 Single family detached 11223306 CA 93535 604 Single family detached 11196449 AZ 85205 587 PUD single family( Detached) 11188846 CA 92557 565 Single family detached 11193147 CA 92027 661 Condominium 11203115 NV 89436 583 PUD single family( Detached) 11199349 CA 95350 611 Single family detached 11149975 FL 33351 627 PUD single family( Detached) 11200727 NH 3054 605 Single family detached 11183173 IL 60073 652 Single family detached 11212934 CA 95376 785 Single family detached 11200202 TX 75220 593 Single family detached 11193398 AZ 85323 772 PUD single family( Detached) 11221498 CA 91803 504 Condominium 11229012 VA 20112 695 Single family detached 11174601 MO 65802 645 Single family detached 11222232 NC 28640 595 Single family detached 11200815 MO 63121 555 Single family detached 11208158 IL 60621 552 Single family detached 11198437 MD 21231 687 Single family detached 11194655 CA 91744 507 Single family detached 11227055 AZ 85308 680 PUD single family( Detached) 11223026 CA 94545 629 PUD project ( Attached) 11208511 CA 91387 698 Single family detached 11217985 CA 91790 615 Single family detached 11165236 NJ 7059 692 Single family detached 11201025 NY 11691 738 Duplex 11204617 CA 93706 711 Single family detached 11216453 CA 92020 786 Single family detached 11222089 WI 54755 519 Single family detached 11219285 CA 91792 609 Single family detached 11203648 CA 92104 670 Single family detached 11221501 MA 1851 615 Condominium 11198545 CA 92354 748 Duplex 11218519 CA 91306 666 Single family detached 11192943 CA 96093 670 Single family detached 11194658 CA 90807 716 Single family detached 11159664 OH 45212 706 Single family detached 11215196 CA 92505 599 Single family detached 11203122 CA 94603 711 Single family detached 11216996 TX 76259 581 Single family detached 11215900 TX 76543 584 Single family detached 11189997 CA 95320 559 Single family detached 11222961 CA 91604 651 Single family detached 11217415 CA 92129 674 Condominium 11222152 MD 20877 692 Single family detached 11205817 WA 98204 640 Condominium 11208438 CA 92557 612 Single family detached 11220310 NY 10512 690 Single family detached 11210994 TX 75092 655 Single family detached 11197791 CA 94015 696 Single family detached 11164646 NY 11385 701 Duplex 11219037 MA 2601 610 Single family detached 11220802 NJ 7424 712 Single family detached 11231417 WI 53218 537 Single family detached 11153248 CA 91765 720 Single family detached 11228388 WA 99402 652 Single family detached 11212179 MI 48030 602 Single family detached 11148162 VA 23223 627 Single family detached 11204021 VA 22150 633 Single family detached 11226220 CA 93041 711 Condominium 11210945 CA 92114 713 Single family detached 11162780 NY 12095 759 Single family detached 11205440 CA 94103 618 Condominium 11219731 CA 90717 587 Single family detached 11216546 TX 77389 619 PUD single family( Detached) 11201766 CA 91709 606 PUD single family( Detached) 11226472 CA 91406 603 Single family detached 11208426 CA 93552 613 Single family detached 11213343 CA 90262 546 Single family detached 11178759 CA 90623 604 Single family detached 11210230 NV 89122 505 Single family detached 11154011 NJ 7514 556 Duplex 11220347 CA 92582 648 PUD single family( Detached) 11218090 CA 91402 606 Condominium 11222319 CA 92555 650 PUD single family( Detached) 11207694 CA 95828 638 Single family detached 11213067 CA 95838 629 Single family detached 11202405 WA 98445 650 Single family detached 11202569 NV 89015 683 PUD single family( Detached) 11170221 IN 46545 597 Single family detached 11221051 NV 89148 773 PUD single family( Detached) 11191187 AZ 85204 625 Single family detached 11175921 MT 59602 645 Single family detached 11178826 CA 90047 622 Single family detached 11219735 CA 95691 669 Single family detached 11210306 IL 60453 669 Condominium 11192160 DE 19970 616 PUD project ( Attached) 11168840 CA 93463 648 PUD single family( Detached) 11214843 WA 98077 637 PUD single family( Detached) 11225405 PA 17013 601 Single family detached 11222666 NV 89434 612 Single family detached 11168316 OK 74133 672 Single family detached 11218323 MO 65608 703 Single family detached 11224368 MD 21791 502 Single family detached 11211503 NJ 7306 655 Condominium 11193225 FL 33134 609 Single family detached 11224767 WA 98506 604 Single family detached 11205351 NY 11547 641 Single family detached 11210899 CO 80515 595 PUD single family( Detached) 11211037 CA 94513 670 Single family detached 11199759 CA 91354 738 PUD single family( Detached) 11177491 CA 92555 610 PUD single family( Detached) 11218739 CA 90012 664 Condominium 11213667 FL 34759 729 PUD single family( Detached) 11220295 VA 22124 721 PUD project ( Attached) 11218515 CA 91321 642 Single family detached 11157372 MD 21154 512 Single family detached 11206685 OH 44483 585 Single family detached 11209186 LA 71118 573 Single family detached 11207065 CA 94589 695 Single family detached 11223684 LA 71457 640 Single family detached 11169481 FL 34224 612 Single family detached 11217734 DC 20002 588 Single family detached 11211224 CA 90041 773 Condominium 11194929 MD 21213 676 Single family detached 11219470 CA 94080 724 Single family detached 11228404 AR 72704 618 Single family detached 11207354 MT 59718 607 Single family detached 11221391 NY 11422 767 Single family detached 11211036 CT 6825 632 Condominium 11222468 CA 95348 785 Single family detached 11210544 NV 89144 645 PUD single family( Detached) 11216118 NY 10309 622 Single family detached 11191003 WI 53963 615 Single family detached 11199066 CA 95954 669 PUD single family( Detached) 11200289 ID 83705 577 Single family detached 11203506 NY 10467 809 Single family detached 11208383 NY 10301 643 Triplex 11196621 NY 11423 721 Duplex 11158230 WA 98901 588 Single family detached 11224754 TX 76901 615 Single family detached 11193564 MA 2136 645 Single family detached 11229900 CA 90094 651 Condominium 11220548 RI 2907 614 Duplex 11185367 FL 32206 663 Single family detached 11194920 FL 33463 659 PUD project ( Attached) 11213562 CA 92706 673 Single family detached 11217709 FL 34684 602 Single family detached 11199327 MD 20628 637 Single family detached 11223165 CA 91335 652 Single family detached 11215767 MO 63034 575 Single family detached 11182944 FL 34698 739 Condominium 11221031 CA 91504 683 Single family detached 11188244 CA 92677 682 PUD single family( Detached) 11230603 FL 32818 714 Single family detached 11215162 PA 15131 606 Single family detached 11182061 LA 70507 520 Single family detached 11217421 CA 90047 656 Single family detached 11221625 FL 33149 555 Condominium 11216091 MA 1844 673 Condominium 11214920 MD 21783 652 Single family detached 11210599 MD 20782 694 Single family detached 11184387 NY 11784 551 Single family detached 11224968 CA 91342 603 Condominium 11185140 CA 92557 668 Single family detached 11201844 RI 2911 607 Single family detached 11217475 NJ 8757 589 PUD single family( Detached) 11204967 CA 95215 574 Triplex 11223685 WA 98270 620 Single family detached 11228152 WA 98372 658 Single family detached 11212648 CA 90020 672 Condominium 11219573 DC 20001 747 Single family detached 11204353 WA 98837 602 Condominium 11208350 VA 23434 619 Single family detached 11220786 CA 92410 575 Single family detached 11203448 CA 92840 660 Single family detached 11163903 TX 77302 559 PUD single family( Detached) 11216814 CT 6854 657 Single family detached 11209594 WA 98204 748 Condominium 11228286 NJ 7643 638 Duplex 11220188 FL 34715 628 PUD single family( Detached) 11206597 MA 1760 683 Condominium 11203110 IL 60002 545 Single family detached 11171196 CA 92880 660 Single family detached 11190186 OK 74132 691 PUD single family( Detached) 11207909 MD 20772 699 PUD project ( Attached) 11206921 MD 20747 655 PUD project ( Attached) 11231465 CA 90631 519 Single family detached 11199741 AZ 85044 554 Single family detached 11183216 NH 3748 620 Single family detached 11208089 CA 93536 613 Single family detached 11197647 CA 92879 713 Single family detached 11194483 CA 93063 621 Single family detached 11180796 PA 15301 600 Single family detached 11219175 TX 75211 552 Single family detached 11227043 AZ 85742 634 Single family detached 11217843 FL 33019 680 Condominium 11199723 CA 94590 615 Single family detached 11188061 FL 33830 643 Single family detached 11210707 CA 92630 617 Condominium 11196885 IL 60133 654 Single family detached 11206277 CA 94587 589 Single family detached 11202343 MD 20716 548 PUD project ( Attached) 11199561 NY 14214 685 Single family detached 11223081 CO 80916 651 Condominium 11213999 CA 94591 668 Single family detached 11203587 CA 93277 634 Single family detached 11217373 CA 92545 607 Single family detached 11187090 MI 48237 527 Single family detached 11213481 CA 91402 734 Single family detached 11202455 CA 91344 625 Single family detached 11177100 MN 56584 539 Single family detached 11194545 TX 77014 624 PUD single family( Detached) 11218993 WI 53151 615 Single family detached 11209464 MD 21222 633 Single family detached 11231699 FL 32068 663 Single family detached 11209681 FL 33460 612 Single family detached 11180760 CA 91604 633 Single family detached 11211121 DC 20005 519 Condominium 11229379 IL 60181 696 Single family detached 11220776 DC 20019 519 Single family detached 11210920 PA 15106 500 Single family detached 11129608 VA 23832 531 Single family detached 11219711 TX 75115 698 PUD single family( Detached) 11193164 CA 92116 660 Condominium 11202073 CA 91761 632 Single family detached 11207743 CA 92354 634 Single family detached 11202066 CA 91766 566 Single family detached 11204019 FL 32825 619 Single family detached 11175472 CA 95111 657 PUD project ( Attached) 11219070 PA 19454 776 Single family detached 11212316 NV 89115 688 Single family detached 11208329 UT 84770 539 PUD project ( Attached) 11184807 CA 95826 518 Single family detached 11164764 ID 83654 642 PUD single family( Detached) 11210290 IL 60016 611 Single family detached 11217826 IL 60621 699 Duplex 11189020 CA 92335 554 Single family detached 11209697 CA 91351 690 Condominium 11216869 MD 21133 673 PUD project ( Attached) 11222632 DE 19701 637 Single family detached 11231356 CA 91104 616 Single family detached 11210411 CA 93560 582 Single family detached 11205400 CA 91724 627 Condominium 11199119 VA 20191 646 Condominium 11216316 CO 81001 618 Duplex 11180205 FL 32955 626 PUD single family( Detached) 11227451 OR 97355 680 Single family detached 11191806 NY 14619 598 Single family detached 11215140 CA 92382 681 Single family detached 11183840 CO 80903 677 Single family detached 11224095 CA 92404 631 Condominium 11206140 CA 90240 668 Single family detached 11166011 CT 6615 627 Duplex 11190104 CA 94534 663 Single family detached 11183929 MA 2151 680 Duplex 11179951 NJ 8081 614 Single family detached 11209646 NJ 7112 654 Triplex 11210181 NV 89032 685 Single family detached 11194273 CA 92027 617 Single family detached 11214669 CA 95746 548 Single family detached 11237201 CA 93535 516 Single family detached 11224615 CA 90221 600 Single family detached 11205539 FL 32211 512 Single family detached 11215901 CA 90405 620 Single family 4 unit 11203696 CA 92883 632 PUD single family( Detached) 11232651 CA 95833 651 Condominium 11209869 NV 89128 619 PUD single family( Detached) 11208646 MD 20785 599 Single family detached 11201501 NJ 7601 730 Triplex 11196047 GA 31029 609 Single family detached 11209843 CA 95206 743 Single family detached 11198026 GA 30135 513 Single family detached 11229814 FL 34759 644 PUD single family( Detached) 11225704 CA 91352 714 Condominium 11204575 TX 77021 642 Single family detached 11194154 FL 33778 618 Single family detached 11222323 FL 33880 598 Single family detached 11214326 WA 98387 541 PUD single family( Detached) 11189977 FL 32127 595 PUD single family( Detached) 11189795 OK 74857 514 Single family detached 11229958 CA 92691 607 Single family detached 11215584 CA 93620 603 Single family detached 11212010 CA 91786 554 Condominium 11203725 CA 92114 718 Single family detached 11220012 CA 91706 706 Single family detached 11232749 TX 76137 636 Single family detached 11207620 DC 20019 614 Single family detached 11206045 CA 93725 618 Single family detached 11212753 CA 90270 733 Single family detached 11196302 CA 94531 578 Single family detached 11177477 CA 92653 543 Single family detached 11201905 MA 2382 558 Single family detached 11214698 NY 11510 647 Single family detached 11200010 VA 23231 655 Single family detached 11221608 CA 93611 628 Single family detached 11200732 NY 12754 656 Single family detached 11204244 CA 92372 661 Single family detached 11201524 CA 92592 579 PUD single family( Detached) 11174235 CA 92405 606 Single family detached 11217288 OR 97303 654 Single family detached 11205820 NJ 7009 602 Single family detached 11212398 CA 92201 638 Single family detached 11225899 DC 20007 648 PUD project ( Attached) 11213499 TX 75069 634 Single family detached 11212406 VA 22192 702 Condominium 11216900 PA 15051 676 Single family detached 11214979 MO 63138 640 Single family detached 11194041 CA 94533 638 Single family detached 11213309 CA 95608 665 PUD project ( Attached) 11209951 TX 75115 664 Single family detached 11226233 KS 66204 537 Single family detached 11213125 CA 92240 582 Single family detached 11206818 MO 65721 694 Single family detached 11203307 MD 20783 630 Condominium 11212027 CA 92335 635 Single family detached 11184828 CA 94015 607 Single family detached 11199424 NJ 7065 608 Single family detached 11203968 DC 20011 568 Single family detached 11174287 CA 94510 678 Single family detached 11206992 TX 76248 649 PUD single family( Detached) 11176527 NY 10308 656 Duplex 11208365 CA 92040 671 Single family detached 11190735 NV 89156 743 Single family detached 11215615 PA 19120 617 Single family detached 11211721 TN 37922 706 Single family detached 11201532 FL 32065 731 PUD single family( Detached) 11201300 VA 22193 684 Single family detached 11194332 NV 89148 675 PUD single family( Detached) 11196460 CA 91945 552 Single family detached 11221613 CA 93536 613 Single family detached 11231825 TX 77450 601 PUD single family( Detached) 11219140 CA 93552 693 Single family detached 11180349 CA 91766 665 Single family detached 11211991 CA 90802 716 Single family 4 unit 11222892 CA 92407 612 Single family detached 11221233 TX 77066 564 PUD single family( Detached) 11198826 TX 75074 668 Single family detached 11181290 TX 77034 700 PUD single family( Detached) 11209447 CA 95824 642 Single family detached 11150206 CA 95358 606 Single family detached 11227918 LA 71112 603 Single family detached 11218351 VA 20170 612 Condominium 11213897 CA 92065 591 Single family detached 11209563 CA 92703 602 Single family detached 11208191 ME 3909 594 Single family detached 11212180 NY 13830 681 Single family detached 11216185 DE 19802 616 Single family detached 11213144 OH 45414 663 Single family detached 11197901 CA 92404 681 Single family detached 11219255 NJ 7109 553 Single family detached 11198919 MD 20904 557 Condominium 11208793 CA 92021 638 Condominium 11209738 FL 33004 679 Condominium 11191387 GA 30134 603 PUD single family( Detached) 11192620 VA 23322 662 Single family detached 11183060 NY 12302 589 Single family detached 11220023 MD 21702 605 PUD project ( Attached) 11224274 TX 75218 507 Single family detached 11210082 CA 94513 776 Single family detached 11199380 CA 91739 633 Single family detached 11188234 NY 10466 623 Triplex 11212263 CA 94804 598 Single family detached 11196969 FL 34448 670 Single family detached 11229649 TX 75104 702 Single family detached 11215881 WA 98387 640 PUD single family( Detached) 11228267 CA 94954 702 Single family detached 11216911 LA 70774 581 Single family detached 11224251 VA 22554 670 PUD single family( Detached) 11208883 IL 60410 587 Single family detached 11149865 CA 93215 569 Single family detached 11187451 MA 1880 772 Condominium 11123292 MA 1852 744 Single family detached 11159830 NJ 7302 765 Single family detached 11137718 CA 91739 665 Single family detached 11155647 IL 60629 635 Single family detached 11158960 FL 33776 616 Single family detached 11130873 MI 49079 618 Single family detached 11128094 NY 11788 635 Single family detached 11159212 CA 90059 687 Duplex 11159256 CA 91748 581 Single family detached 11166547 FL 32669 605 Single family detached 11152371 LA 70802 588 Single family detached 11165289 MI 48188 640 Single family detached 11180445 VA 20147 670 PUD project ( Attached) 11170934 CA 91406 681 Single family detached 11172338 NY 13355 664 Single family detached 11157501 CA 93722 689 Single family detached 11167988 MO 64123 669 Single family detached 11171304 CA 90640 648 Single family detached 11132450 NJ 7419 692 Condominium 11169134 OK 74133 672 Single family detached 11169869 PA 19123 572 Single family detached 11181813 MS 39212 585 Single family detached 11173409 CA 92405 664 Condominium 11173326 MD 20743 622 Single family detached 11175177 OR 97136 661 Single family detached 11183229 GA 30310 662 Single family detached 11174724 TX 79928 657 Single family detached 11176053 PA 19145 617 Single family detached 11182499 CA 94112 706 Single family detached 11170222 IN 46545 597 Single family detached 11176454 CA 90291 677 Single family detached 11184006 CA 90803 611 Single family detached 11159336 GA 30228 620 Single family detached 11176883 CA 95125 636 Single family detached 11183308 TX 75238 778 Single family detached 11173336 CA 92673 667 Condominium 11184666 CA 94610 674 Single family detached 11186169 CA 90026 680 Triplex 11160161 CT 6109 635 Condominium 11188601 CA 92704 627 Single family detached 11166411 ID 83686 600 Single family detached 11174278 CA 92571 643 Single family detached 11125459 NJ 7003 606 Single family detached 11182326 OK 73064 666 PUD single family( Detached) 11167651 CA 95602 697 Condominium 11186471 CA 95820 600 Single family detached 11148174 CA 91377 587 PUD single family( Detached) 11161108 CA 93444 734 Single family detached 11183055 IL 60555 649 Single family detached 11176646 MA 1854 722 Single family detached 11186962 MA 1050 619 Single family detached 11190775 CA 91364 603 Single family detached 11195274 AZ 85015 746 Single family detached 11170954 MD 20732 679 PUD single family( Detached) 11183747 WI 53511 700 Single family detached 11182256 CA 94901 696 Condominium 11141764 CA 95301 621 Single family detached 11186231 LA 71108 648 Single family detached 11182579 MO 64836 560 Single family detached 11198828 TX 75074 668 Single family detached 11192858 CA 92805 687 Single family detached 11191021 TX 76135 639 Single family detached 11201289 KY 40214 624 Single family detached 11197928 NJ 8902 691 Single family detached 11188322 WA 98092 629 PUD single family( Detached) 11191691 GA 30088 672 Single family detached 11195632 NY 11420 751 Duplex 11181321 CA 93307 594 Single family detached 11188365 CA 90305 664 Condominium 11194484 CA 93063 621 Single family detached 11191262 AZ 85326 680 Single family detached 11198830 NC 28269 622 PUD single family( Detached) 11185138 MA 2557 683 Single family detached 11185465 CA 95240 668 Single family detached 11198814 NY 13754 586 Single family detached 11168534 CA 92647 621 Single family detached 11205880 CA 91601 707 Single family detached 11155628 NJ 7205 697 Duplex 11196933 CA 94565 641 Single family detached 11201376 AZ 85020 598 Condominium 11185208 CA 91345 602 Single family detached 11190757 MD 21017 626 Condominium 11203092 PA 15661 654 Single family detached 11196886 IL 60133 654 Single family detached 11231516 TX 75065 622 Single family detached 11196279 WA 99216 759 Single family detached 11210551 FL 33144 588 Single family detached 11230853 CA 93551 673 Single family detached 11205372 FL 32244 595 PUD single family( Detached) 11210106 CA 95670 638 Condominium 11147830 CA 92395 678 Single family detached 11197298 IL 60061 677 Single family detached 11231085 AZ 85323 611 PUD single family( Detached) 11221580 CA 93307 636 Single family detached 11206061 CA 93035 660 Single family detached 11202632 NJ 7062 670 Single family detached 11206537 CA 91761 664 PUD single family( Detached) 11193140 MI 48146 596 Single family detached 11201773 NY 11003 702 Duplex 11216957 MA 1301 677 Single family detached 11193325 CA 90046 781 Single family detached 11204449 IL 60453 651 Single family detached 11235683 VA 22193 692 Single family detached 11220273 FL 33778 620 Single family detached 11201644 NY 10312 666 PUD project ( Attached) 11212030 CA 92335 635 Single family detached 11209695 FL 32907 737 Single family detached 11225740 FL 33428 646 Single family detached 11229891 NY 11758 785 Single family detached 11197353 TX 77389 673 PUD single family( Detached) 11222661 DE 19701 637 Single family detached 11227925 TX 75074 705 Single family 4 unit 11198287 VA 23702 637 Single family detached 11209961 CA 95624 618 Single family detached 11198841 MA 1757 762 Duplex 11225488 FL 33178 741 Condominium 11220189 FL 34715 628 PUD single family( Detached) 11194001 VA 22043 585 Single family detached 11180263 CA 94610 697 Single family detached 11202571 NV 89105 683 PUD single family( Detached) 11230909 CA 94538 718 Single family detached 11198541 CA 92253 608 Single family detached 11220939 CA 91344 676 Single family detached 11223083 CO 80916 651 Condominium 11221711 VA 20110 673 Single family detached 11229518 MA 2188 635 Single family detached 11220886 WA 98038 656 PUD single family( Detached) 11211753 CA 93705 730 Single family detached 11218525 CA 93458 641 Single family detached 11220711 WA 98133 740 Single family detached 11199161 NJ 8091 627 Single family detached 11208750 CA 91770 647 Single family detached 11214610 NV 89108 638 Single family detached 11204869 CA 92570 672 PUD single family( Detached) 11210573 WA 98056 660 Single family detached 11193027 MD 21244 680 PUD project ( Attached) 11208713 AZ 85650 604 PUD project ( Attached) 11212228 NV 89121 602 PUD project ( Attached) 11208052 CA 92336 582 Single family detached 11183460 CA 92020 725 Single family detached 11210361 TX 75052 607 PUD single family( Detached) 11212894 CA 94538 678 Single family detached 11226735 CA 95337 602 Single family detached 11202377 CA 95817 768 Single family detached 11213310 CA 95608 665 PUD project ( Attached) 11205326 CA 94514 667 PUD single family( Detached) 11186007 NH 3281 635 Single family detached 11208926 AZ 85208 726 PUD single family( Detached) 11227452 OR 97355 680 Single family detached 11216789 CA 92324 662 Single family detached 11221837 LA 70774 581 Single family detached 11214424 ID 83221 643 Single family detached 11196937 CA 95695 648 Single family detached 11204699 CA 91755 685 Condominium 11220570 CA 93536 668 Single family detached 11218091 CA 91402 606 Condominium 11184945 OH 45334 620 Single family detached 11221499 MD 20879 687 Condominium 11192047 FL 34769 606 PUD single family( Detached) 11215648 CA 92234 652 Single family detached 11225273 NH 3054 673 Single family detached 11201319 OK 74136 602 Single family detached 11223850 CA 93311 707 Single family detached 11214564 FL 32738 593 Single family detached 11210315 IL 60453 669 Condominium 11229638 MD 21045 645 PUD project ( Attached) 11203311 CA 91402 635 Condominium 11220663 NC 28227 635 Single family detached 11199801 TX 76017 666 Single family detached 11219666 CA 95660 661 Single family detached 11182225 MD 20745 612 Single family detached 11207833 MA 1821 649 Single family detached 11198226 CA 93635 641 Single family detached 11192473 CT 6010 603 Duplex 11210564 CA 91604 684 Condominium 11201093 MA 1757 717 Condominium 11224392 NV 89115 707 Single family detached 11230817 CA 95206 804 Single family detached 11222120 CA 92024 595 Single family detached 11210345 FL 34747 691 PUD single family( Detached) 11202100 CA 93552 626 Single family detached 11210248 CA 90020 652 Condominium 11216697 WI 53718 606 Single family detached 11222427 CA 90640 673 Condominium 11210657 CA 92262 631 PUD project ( Attached) 11213162 WA 98329 654 Single family detached 11186579 CA 95206 608 Single family detached 11225308 FL 32937 653 Single family detached 11223636 WA 99212 641 Single family detached 11223574 CA 92029 692 Single family detached 11219669 CA 94513 667 PUD single family( Detached) 11219350 NJ 7047 681 Single family detached 11222809 NJ 8046 616 Single family detached 11210153 CA 94590 671 Single family detached 11215744 NV 89144 636 Condominium 11219640 NC 27265 644 PUD single family( Detached) 11211852 TX 77586 688 PUD single family( Detached) 11229716 CA 95337 597 Single family detached 11207753 CA 92394 761 Single family detached 11180576 TX 77373 669 PUD single family( Detached) 11201377 WA 98026 632 Single family detached 11229246 TX 75189 610 Single family detached 11199304 CA 93535 656 Condominium 11212781 TX 76108 653 Single family detached 11212481 CA 91722 629 Single family detached 11231199 DC 20001 653 Condominium 11196778 MD 20721 668 PUD project ( Attached) 11218979 CA 92570 613 Single family detached 11223738 VA 20120 688 PUD project ( Attached) 11207108 CA 95758 695 Single family detached 11227071 CA 92562 724 PUD single family( Detached) 11195347 MS 39059 584 Single family detached 11212150 CA 91784 664 Single family detached 11220517 MD 20874 681 PUD project ( Attached) 11231448 WA 98007 636 Single family detached 11212161 CA 95630 740 PUD single family( Detached) 11217311 TX 77083 645 PUD single family( Detached) 11236897 NJ 7202 747 Single family detached 11203125 CA 94603 711 Single family detached 11207021 NM 87043 603 Single family detached 11205450 FL 32714 645 PUD single family( Detached) 11215486 NJ 7055 733 Duplex 11197234 IL 60478 593 Single family detached 11203298 CA 95833 680 Single family detached 11208827 CA 92376 736 Single family detached 11198010 CA 95835 619 PUD single family( Detached) 11222990 CA 92201 615 Single family detached 11222010 TX 78408 627 Single family detached 11211741 TN 37922 706 Single family detached 11203746 CA 91331 710 Single family detached 11205253 NY 11233 695 Duplex 11215374 MD 20706 750 Single family detached 11200208 IL 60630 747 Single family detached 11222849 MD 20744 668 Single family detached 11220648 NC 28173 652 Single family detached 11215583 CA 92555 648 Single family detached 11214409 CA 91744 752 Single family detached 11204901 NY 10705 716 Triplex 11205307 IL 60645 675 Duplex 11202832 CA 90723 692 Condominium 11223238 VA 22302 705 Condominium 11215384 NY 12590 656 Single family detached 11198406 CA 94014 676 Duplex 11169449 MT 59718 668 Single family detached 11217339 MD 21228 777 Single family detached 11202689 NY 11735 757 Duplex 11176044 CA 90807 800 Condominium 11187856 VA 23702 603 Single family detached 11200480 TX 76063 719 Single family detached 11195427 CA 93618 638 Single family detached 11215332 CA 91381 697 Condominium 11215780 CA 92301 705 Single family detached 11238130 NH 3102 689 Single family detached 11158719 CA 92236 659 Single family detached 11230582 TX 75060 686 Single family detached 11188566 IL 60623 648 Single family detached 11219578 MD 20784 642 Single family detached 11230439 CA 93301 677 Single family detached 11161271 FL 33467 691 Single family detached 11214738 NH 3867 589 Single family detached 11227112 WA 98045 615 Single family detached 11216599 CA 90710 635 Single family detached 11211258 MN 56201 641 Single family detached 11222974 CA 92555 652 PUD single family( Detached) 11214651 CA 94585 615 Single family detached 11221513 VA 22405 591 PUD project ( Attached) 11213375 CA 91324 665 Single family detached 11183934 MA 2151 680 Duplex 11216478 TX 77073 605 PUD single family( Detached) 11188981 CA 92374 628 Single family detached 11230213 CA 92869 630 Single family detached 11205821 NJ 7009 602 Single family detached 11228001 WA 98270 659 Single family detached 11216452 CA 92020 786 Single family detached 11209663 CA 92530 660 Single family detached 11226467 IL 60612 647 Condominium 11210169 WA 98674 619 Single family detached 11211097 FL 33138 683 Single family detached 11211794 LA 71291 661 Single family detached 11203872 NY 11552 643 Single family detached 11216345 MO 64029 740 Single family detached 11202208 OR 97470 602 Single family detached 11199120 VA 20191 646 Condominium 11221455 CA 90221 647 Single family detached 11196504 NV 89115 600 Single family detached 11217831 CA 95409 762 PUD single family( Detached) 11217912 OH 45410 590 Single family detached 11209652 FL 33407 620 PUD single family( Detached) 11219800 AZ 85212 762 PUD single family( Detached) 11213397 FL 32137 664 Single family detached 11210397 CA 91331 595 Single family detached 11216908 CA 91321 766 Single family detached 11219439 CA 92880 766 Single family detached 11216108 IL 60077 625 Single family detached 11214506 CA 95835 636 PUD single family( Detached) 11213042 FL 32246 636 Single family detached 11215533 FL 33141 595 Condominium 11196150 ID 83704 669 Single family detached 11214631 NJ 7830 660 Single family detached 11206696 OH 44483 585 Single family detached 11229863 NC 28079 734 PUD project ( Attached) 11201869 CA 93060 692 Single family detached 11206141 CA 90240 668 Single family detached 11216545 CT 6810 615 Single family detached 11221488 TX 75773 732 Single family detached 11181523 CA 91766 754 Single family detached 11211444 CA 91710 700 Single family detached 11219047 CA 95215 643 Single family detached 11205042 AZ 85374 712 Single family detached 11199501 AZ 85379 716 PUD single family( Detached) 11214976 FL 33015 643 PUD single family( Detached) 11211177 WA 98296 619 PUD single family( Detached) 11193131 CA 91776 625 Single family detached 11218963 CA 93611 647 Single family detached 11186820 CA 91791 607 Condominium 11187468 CA 92583 669 Single family detached 11219413 TX 75662 594 Single family detached 11204414 CA 91932 599 Condominium 11212898 NY 11420 723 Single family detached 11214604 CA 91214 655 Single family detached 11196295 CA 94501 683 Single family detached 11223986 VA 23851 646 Single family detached 11208338 TN 37013 659 PUD single family( Detached) 11224755 TX 76901 615 Single family detached 11221467 CA 93536 609 Single family detached 11206957 CA 92509 690 Single family detached 11146754 CA 91387 703 Condominium 11221650 CA 93534 621 Single family detached 11193470 TX 75150 656 Single family detached 11215447 IL 60402 663 Single family detached 11195636 NC 28304 686 Single family detached 11180350 CA 91766 665 Single family detached 11206814 CA 90221 752 Single family detached 11194546 TX 77014 624 PUD single family( Detached) 11218496 TX 76903 595 Single family detached 11187428 CA 92301 679 Single family detached 11216642 CA 93041 685 Condominium 11206494 CA 91740 661 Single family detached 11200294 ID 83705 577 Single family detached 11215850 CA 92694 611 Condominium 11201834 FL 34691 581 Single family detached 11204785 GA 31523 718 Single family detached 11185458 FL 32407 605 PUD single family( Detached) 11209759 CA 90018 684 Duplex 11223348 NV 89122 636 PUD single family( Detached) 11219038 MA 2601 610 Single family detached 11208689 TX 75501 585 Single family detached 11204293 CA 92553 625 Single family detached 11190209 WA 98168 631 Single family detached 11202456 CA 91344 625 Single family detached 11165269 NJ 7059 692 Single family detached 11203294 FL 32277 598 PUD single family( Detached) 11213402 CA 92840 732 Single family detached 11222775 CA 92220 648 Single family detached 11168771 NC 27511 614 PUD project ( Attached) 11219428 CA 93307 639 Single family detached 11212636 NJ 7737 591 Single family detached 11196048 GA 31029 609 Single family detached 11217852 TX 76226 604 PUD single family( Detached) 11219471 CA 94080 724 Single family detached 11233414 VA 22192 639 PUD project ( Attached) 11218252 CA 90650 691 Single family detached 11197574 CA 92234 668 Condominium 11221819 AZ 86406 693 Single family detached 11223994 TX 77080 674 Single family detached 11214796 RI 2908 706 Single family detached 11200918 FL 34287 618 Single family detached 11207518 WA 98290 611 Single family detached 11210825 SC 29431 626 Single family detached 11209656 WA 98387 598 PUD single family( Detached) 11207741 IL 60659 633 Condominium 11223241 CA 95212 661 Single family detached 11215356 NC 27265 652 Single family detached 11208804 CA 92505 607 Single family detached 11200624 AZ 85225 620 Single family detached 11231053 MD 20707 666 Single family detached 11226405 IL 60073 690 Single family detached 11214586 VA 20165 693 PUD project ( Attached) 11215806 CA 91344 711 Single family detached 11184499 MA 2333 608 Single family detached 11136727 NY 11216 675 Single family 4 unit 11197359 CA 92544 613 Single family detached 11217435 FL 33971 627 Single family detached 11224049 TX 77469 657 PUD single family( Detached) 11226420 VA 23509 612 Single family detached 11213108 CA 95838 629 Single family detached 11233210 MT 59404 636 Single family detached 11235512 TX 75035 586 Single family detached 11205675 CA 91340 776 Single family detached 11226316 GA 30310 640 Single family detached 11216261 CA 92021 726 Single family detached 11204121 OK 73118 626 Single family detached 11192147 CA 93312 704 Single family detached 11214916 NJ 8106 659 Single family detached 11200965 CA 92405 612 Single family detached 11221502 MS 38671 674 Single family detached 11206688 TN 37148 659 Single family detached 11212926 CA 95367 734 Single family detached 11210706 CA 94538 596 Single family detached 11197867 NH 3104 583 Condominium 11170187 CA 91344 588 Single family detached 11190474 CA 94565 706 Single family detached 11191672 CA 91709 672 Single family detached 11207839 IL 60440 621 Single family detached 11214317 TX 75052 619 Single family detached 11205095 TX 75234 615 Single family detached 11227009 CA 94589 657 Single family detached 11229032 CA 90710 582 Single family detached 11219027 TX 75115 658 Single family detached 11194914 CA 95687 611 Condominium 11216275 CA 95111 783 Condominium 11211811 CA 92509 638 Single family detached 11203585 CA 92805 780 Single family detached 11227866 MD 21702 683 PUD project ( Attached) 11227742 TX 77041 703 PUD single family( Detached) 11213538 CA 93535 591 Single family detached 11211265 CA 95833 621 Single family detached 11232972 MO 65802 754 Single family detached 11228884 CA 92264 714 Single family detached 11210876 GA 30296 602 PUD single family( Detached) 11222390 CA 92243 583 Single family detached 11214980 MO 63138 640 Single family detached 11212298 CA 92081 610 Condominium 11184426 NY 12601 750 Single family detached 11213112 IL 60631 670 Single family detached 11227465 CA 90282 591 Single family detached 11221129 CA 90745 687 Single family detached 11228266 CA 94954 702 Single family detached 11211608 GA 31419 599 PUD single family( Detached) 11208745 CA 91766 654 Single family detached 11215928 WA 98387 640 PUD single family( Detached) 11221630 CA 93536 639 Single family detached 11195249 VA 22306 665 PUD project ( Attached) 11199584 LA 70605 603 Single family detached 11213975 NY 11701 628 Single family detached 11191096 NY 12524 624 Condominium 11203370 NJ 8807 659 Single family detached 11218563 NV 89131 702 PUD single family( Detached) 11221342 CA 90604 666 Single family detached 11199864 CA 91801 591 Single family detached 11202102 NY 12540 675 Single family detached 11191010 CA 92117 582 Condominium 11164064 NV 89081 604 Single family detached 11216391 CA 92649 713 Condominium 11194527 CA 95901 664 Single family detached 11169215 CA 90019 699 Single family detached 11217860 TX 77084 674 PUD single family( Detached) 11215560 VA 20111 677 PUD project ( Attached) 11212948 NH 3868 659 Single family detached 11196158 FL 33755 649 Single family detached 11207365 FL 33018 698 Single family detached 11212291 MD 20772 599 Single family detached 11212369 NV 89506 753 Single family detached 11224521 MD 21074 672 Single family detached 11184002 CA 93619 642 Single family detached 11202800 NV 89110 631 Single family detached 11218464 TN 37042 592 Single family detached 11185496 CA 92563 582 Condominium 11223089 FL 33010 611 Single family detached 11215201 NM 88007 682 Single family detached 11211045 CT 6825 632 Condominium 11200737 GA 30518 615 PUD single family( Detached) 11217953 CA 91325 618 Single family detached 11203516 CA 92562 709 Single family detached 11215617 OR 97501 650 Single family detached 11218077 CA 92071 650 Single family detached 11189300 WA 98239 589 PUD single family( Detached) 11200007 CA 90606 677 Single family detached 11180136 CA 91010 673 Single family detached 11219167 MO 65714 653 Single family detached 11210839 WI 53105 637 Single family detached 11232989 VA 20136 641 PUD single family( Detached) 11204618 CA 93706 711 Single family detached 11210592 FL 33179 589 Single family detached 11199992 NV 89117 695 PUD single family( Detached) 11218302 AZ 85249 739 PUD single family( Detached) 11205446 AZ 85259 614 Single family detached 11203216 FL 33193 594 PUD single family( Detached) 11230468 DE 19805 630 Single family detached 11205728 TX 77055 636 PUD single family( Detached) 11209884 NV 89148 657 PUD single family( Detached) 11189091 MA 2031 615 Single family detached 11181432 CA 90262 619 Single family detached 11211314 WA 98445 681 Single family detached 11205910 MA 1760 683 Condominium 11206633 TN 37931 599 Single family detached 11213579 CA 91335 647 Single family detached 11227963 CA 90042 752 Condominium 11206148 CA 91360 667 Single family detached 11196462 CA 91744 734 Single family detached 11213294 IL 60188 598 Single family detached 11218286 MD 20748 646 Single family detached 11176608 NY 10303 595 Condominium 11204312 CA 92336 618 Single family detached 11214716 MA 2649 638 Condominium 11221013 CA 93003 632 Duplex 11219845 CA 91340 597 Single family detached 11212212 CA 93726 747 Single family detached 11209398 MA 2780 664 Triplex 11222069 TX 77449 667 PUD single family( Detached) 11218528 IL 60402 583 Single family detached 11218352 VA 20170 612 Condominium 11207916 TX 75115 656 Single family detached 11211473 CA 92335 621 Single family detached 11201157 MD 21921 641 Single family detached 11204501 WA 98223 623 Single family detached 11209116 NY 11417 723 Single family detached 11184408 CA 91331 704 Single family detached 11207910 MD 20772 699 PUD project ( Attached) 11198614 CA 92324 637 Single family detached 11232987 NY 11720 697 Single family detached 11223474 MI 48348 639 Single family detached 11222631 MD 20902 695 Single family detached 11175947 AZ 85268 657 PUD single family( Detached) 11208792 ID 83634 599 PUD single family( Detached) 11210736 CA 90220 714 Single family detached 11212602 MD 21236 692 PUD single family( Detached) 11224210 CA 90026 627 Duplex 11177979 CO 80013 633 Single family detached 11198866 NC 27292 618 Single family detached 11221058 WA 98077 598 Single family detached 11228962 NH 3820 639 Duplex 11208977 FL 34787 649 PUD single family( Detached) 11202734 ID 83605 610 PUD single family( Detached) 11206093 CA 95315 661 Single family detached 11203899 MA 1830 608 Single family detached 11207563 TX 77377 619 PUD single family( Detached) 11224132 IL 60074 716 Single family detached 11220296 VA 22124 721 PUD project ( Attached) 11210020 CA 92821 708 Single family detached 11200665 NY 10310 666 PUD project ( Attached) 11210026 AZ 85712 715 PUD single family( Detached) 11189671 NY 11236 754 Duplex 11199717 MD 20740 681 Single family detached 11227613 IL 60914 637 Single family detached 11229961 TX 75068 618 PUD single family( Detached) 11209552 DC 20001 688 Condominium 11229219 WA 98003 682 Single family detached 11190698 NY 10462 613 Duplex 11214257 IL 62226 648 Single family detached 11223343 TX 75048 624 Single family detached 11231680 MN 55102 630 Condominium 11217173 IL 60565 638 Condominium 11218114 OH 44107 632 Single family detached 11210059 CA 93720 714 Single family detached 11182471 FL 34741 589 PUD single family( Detached) 11205379 CA 95326 630 Single family detached 11210658 WA 98362 643 Single family detached 11192033 CA 94544 735 Single family detached 11222593 NC 27604 733 Single family detached 11225060 CA 92557 657 Single family detached 11184938 FL 34758 698 PUD single family( Detached) 11212666 CA 92503 636 Single family detached 11179969 CA 94589 727 Single family detached 11200994 WA 98042 625 Single family detached 11232652 CA 95833 651 Condominium 11209029 FL 33144 592 Single family detached 11236404 VA 22193 623 Single family detached 11209459 CA 94502 673 PUD single family( Detached) 11209568 CA 92703 602 Single family detached 11211113 PA 17055 628 Single family detached 11211597 VA 22191 715 PUD project ( Attached) 11213863 CA 92253 612 Single family detached 11220487 NJ 8840 619 Single family detached 11220260 CA 91605 590 Single family detached 11199210 WA 98258 672 Single family detached 11219764 MD 20774 627 Single family detached 11200686 NJ 8046 622 Single family detached 11213848 WA 98031 698 Single family detached 11193688 NV 89145 684 Condominium 11223667 CA 90011 623 Single family detached 11138352 NY 11520 653 Single family detached 11217493 VA 22191 653 PUD project ( Attached) 11211144 PA 15686 628 Single family detached 11211684 CA 92673 736 Condominium 11218010 MD 21774 593 Single family detached 11214135 IL 60085 740 Single family detached 11209199 CA 95377 763 PUD single family( Detached) 11234095 CA 91307 620 Single family detached 11217932 CA 92301 649 Single family detached 11204580 CA 91316 648 Condominium 11217113 TX 75050 580 Single family detached 11206122 MA 1902 631 Single family detached 11203814 TX 75134 666 PUD single family( Detached) 11189727 CA 93552 674 Single family detached 11210924 CA 93309 609 Single family detached 11207194 VA 22182 629 PUD single family( Detached) 11223457 CA 92234 648 Single family detached 11224081 WI 53545 599 Single family detached 11214301 NY 11433 773 Single family detached 11210669 CA 91402 709 Single family detached 11206306 CA 92807 622 Single family detached 11206571 NJ 7036 702 Single family detached 11206994 TX 76248 649 PUD single family( Detached) 11174170 CA 93063 675 Condominium 11193339 FL 33176 742 Single family detached 11230425 MA 1604 628 Single family detached 11216092 MA 1844 673 Condominium 11188338 CA 91311 689 Single family detached 11195272 MD 21236 631 Condominium 11199847 CA 94134 757 PUD project ( Attached) 11216295 MA 2601 702 Single family detached 11194661 MA 2169 660 Duplex 11233114 CA 91730 654 Single family detached 11211324 CA 95838 612 Single family detached 11222136 AZ 85023 691 Single family detached 11202035 CA 91201 687 Single family detached 11204148 CT 6451 614 Single family detached 11224850 TX 76522 700 Single family detached 11194530 FL 33147 699 Single family detached 11181591 NJ 7047 693 Duplex 11215858 CA 92596 659 Single family detached 11216988 CA 91304 668 Single family detached 11198316 IL 60302 593 Condominium 11223234 TX 75227 541 Single family detached 11200667 MD 20705 615 Single family detached 11201391 NY 11801 716 Single family detached 11192412 PA 19120 610 Single family detached 11210922 AZ 85335 664 PUD single family( Detached) 11215182 PA 19320 679 Single family detached 11219555 OH 43506 588 Single family detached 11224031 FL 34744 612 PUD single family( Detached) 11194439 MD 20783 653 Single family detached 11228352 MA 2026 688 Single family detached 11220425 FL 33613 696 Single family detached 11206979 CA 92335 634 Single family detached 11197926 IL 60120 636 Condominium 11207240 MI 48225 580 Single family detached 11198563 CA 93307 593 Single family detached 11194730 FL 33126 661 Condominium 11213660 MA 1532 703 Condominium 11214500 NV 89129 653 PUD single family( Detached) 11234758 TX 77004 662 Single family 4 unit 11194557 CA 93001 647 Single family detached 11221381 MD 20879 766 Single family detached 11232953 LA 71302 663 Single family detached 11199361 CA 93927 642 Single family detached 11224434 MA 2151 731 Single family detached 11210276 PA 16502 601 Single family detached 11200830 CA 93311 615 Single family detached 11220594 IL 61080 596 Single family detached 11190990 CA 95376 613 Single family detached 11225845 MA 2375 682 Condominium 11220569 FL 33777 628 Single family detached 11199875 MD 21044 690 PUD project ( Attached) 11212795 FL 33193 758 Condominium 11198579 VA 22191 673 PUD project ( Attached) 11209628 AZ 85224 699 Single family detached 11189808 FL 33015 680 PUD project ( Attached) 11180398 FL 34113 681 Single family detached 11207098 AZ 85204 633 Single family detached 11212582 VA 23509 614 Single family detached 11222416 DC 20032 609 Single family detached 11212767 NV 89084 771 PUD single family( Detached) 11217639 NC 28277 669 PUD single family( Detached) 11198854 CA 90621 642 Single family detached 11217664 VA 20109 676 PUD project ( Attached) 11211626 TX 77089 634 PUD single family( Detached) 11201201 VA 20109 633 PUD project ( Attached) 11221971 TX 77449 673 PUD single family( Detached) 11200099 TX 75115 649 Single family detached 11215805 WA 98034 654 Condominium 11234400 CA 91352 683 Condominium 11221350 TX 75234 592 Single family detached 11214792 TX 77506 725 Single family detached 11215227 LA 71328 669 Single family detached 11230246 CA 91601 766 Single family detached 11228384 MD 20874 620 PUD project ( Attached) 11219075 IL 60108 602 Condominium 11202132 CA 92646 659 Condominium 11212941 WA 98541 655 PUD single family( Detached) 11196318 NV 89506 590 Single family detached 11218683 CA 92882 637 Single family detached 11223867 AZ 85224 677 PUD single family( Detached) 11220366 NC 27215 596 Single family detached 11225576 CA 91765 638 Condominium 11226230 CA 94518 643 Condominium 11222067 CA 95148 670 Single family detached 11211953 CA 91605 649 Single family detached 11221392 CA 94531 610 Single family detached 11209163 VA 24523 635 Single family detached 11216547 TX 77389 619 PUD single family( Detached) 11181113 MA 1841 616 Single family detached 11223511 CA 91384 620 Single family detached 11208522 CA 95355 631 Single family detached 11225410 PA 17013 601 Single family detached 11211192 DC 20020 633 Single family detached 11215934 CA 92026 680 Single family detached 11217681 FL 33706 747 Condominium 11184353 WI 53570 617 Single family detached 11212792 TN 38016 586 Single family detached 11180767 CA 94621 685 Single family detached 11187453 MA 1880 772 Condominium 11220078 TN 38127 635 Single family detached 11231798 FL 33160 631 Condominium 11201565 FL 32065 731 PUD single family( Detached) 11210725 NC 28216 602 PUD single family( Detached) 11204082 MD 20706 628 PUD project ( Attached) 11183962 TX 75040 592 Single family detached 11220795 NJ 7424 712 Single family detached 11199083 ID 83607 587 PUD single family( Detached) 11211948 CA 91042 695 Single family detached 11188098 NY 11433 668 Duplex 11213036 FL 33183 631 Condominium 11207729 CA 92236 630 Single family detached 11232237 MD 20879 735 PUD project ( Attached) 11231436 VA 20111 693 Single family detached 11222167 CA 95901 744 Single family detached 11210991 MA 2766 687 Single family detached 11190668 LA 70448 619 Single family detached 11200162 MD 20814 675 Single family detached 11209678 CA 94509 686 Single family detached 11219448 WA 98155 686 Single family detached 11197536 CA 90804 674 Condominium 11217937 CA 91801 691 Duplex 11225914 UT 84088 649 PUD single family( Detached) 11204680 CA 92352 614 Single family detached 11212726 AZ 86404 737 Single family detached 11226611 CA 93307 645 Single family detached 11217033 NC 27260 645 Single family detached 11224912 CO 80640 626 PUD single family( Detached) 11217841 CA 91344 736 Single family detached 11208370 PA 18042 668 Single family detached 11198455 AZ 86004 660 Single family detached 11209537 TX 77379 588 PUD single family( Detached) 11203943 FL 33012 682 Single family detached 11213027 MD 20906 704 Condominium 11224092 VA 23434 624 Single family detached 11208327 WA 98902 575 Single family detached 11220996 WA 98584 610 Single family detached 11215688 WA 98203 627 Single family detached 11216320 CA 93222 617 Single family detached 11223131 TX 75088 594 Single family detached 11216107 NH 3062 670 Single family detached 11213306 CA 94509 600 PUD project ( Attached) 11219215 NJ 7017 639 Single family detached 11201873 WA 98144 606 Single family detached 11232575 NC 28216 791 PUD single family( Detached) 11221179 MS 39204 592 Single family detached 11210620 CA 93308 729 Single family detached 11203617 CA 91345 604 Single family detached 11217987 MD 21216 597 Single family detached 11210661 CA 94610 684 Condominium 11215903 NV 89084 654 PUD single family( Detached) 11217397 CA 92545 607 Single family detached 11222132 CA 92879 702 Single family detached 11190589 CA 95828 622 Single family detached 11202593 TX 77521 745 Single family detached 11200508 FL 34743 604 PUD single family( Detached) 11201552 NV 89110 768 Single family detached 11230636 PA 15129 651 Single family detached 11188932 WA 98155 580 Single family detached 11228522 TX 78412 667 Duplex 11210073 CA 90250 601 Single family detached 11229984 CA 90094 651 Condominium 11199232 FL 34450 624 Single family detached 11210093 NV 89436 720 Single family detached 11210010 CA 92020 675 Single family detached 11213328 GA 30180 737 Single family detached 11211337 MO 64055 765 Single family detached 11220604 VA 22310 700 Single family detached 11218201 NY 11784 727 Single family detached 11195608 CA 92234 673 Single family detached 11222368 CA 93662 707 Single family detached 11171486 ID 83811 596 Single family detached 11207230 VA 23320 677 Single family detached 11205888 NC 27703 612 Single family detached 11191671 CA 93536 652 Single family detached 11226133 CA 92562 651 Single family detached 11221739 PA 17565 630 Single family detached 11180799 PA 15301 600 Single family detached 11219986 AZ 85226 613 Single family detached 11201727 MD 21220 767 Single family detached 11228106 TX 78251 667 Single family detached 11207486 TN 38134 644 Single family detached 11202986 MD 20716 628 Condominium 11225692 KS 67701 584 Single family detached 11205716 WA 98199 670 Condominium 11219758 CA 95822 639 Single family detached 11213633 FL 34772 675 PUD single family( Detached) 11216684 TN 38109 598 Single family detached 11217221 WA 98023 648 Condominium 11208874 FL 33510 619 Single family detached 11198992 CA 91307 672 Single family detached 11205154 NY 11205 667 Duplex 11204729 NJ 7060 630 Single family detached 11193110 CA 95828 641 Single family detached 11218762 CA 95210 742 Single family detached 11232732 MO 63385 687 Single family detached 11204576 TX 77021 642 Single family detached 11223226 MD 21009 700 PUD single family( Detached) 11189755 PA 19149 650 Single family detached 11221033 CA 91504 683 Single family detached 11216018 CA 93560 622 Single family detached 11201413 TX 76040 743 Single family detached 11222829 CA 94806 649 Condominium 11182197 WI 53511 605 Single family detached 11182071 PA 18914 606 Single family detached 11209775 CA 92551 639 PUD single family( Detached) 11222636 TX 75181 606 Single family detached 11215675 CA 91207 635 Condominium 11188184 IL 61843 628 Single family detached 11219239 CA 90047 631 Single family detached 11209491 NC 28273 616 Single family detached 11228709 NY 11798 643 Single family detached 11219730 CA 93065 712 Single family detached 11197892 MA 2126 588 Single family detached 11204327 LA 71360 625 Single family detached 11217145 VA 20110 668 PUD project ( Attached) 11204276 TX 77088 701 Single family detached 11222270 MD 21237 753 PUD single family( Detached) 11176090 LA 70734 607 Single family detached 11225888 CA 92707 782 Condominium 11220354 NM 88220 598 Single family detached 11202426 NY 11950 659 Single family detached 11219921 CA 93065 705 Single family detached 11169594 CT 6066 581 Single family detached 11212079 CA 92882 653 PUD single family( Detached) 11228287 NJ 7643 638 Duplex 11208281 FL 34744 755 PUD single family( Detached) 11197284 CA 92626 665 Single family detached 11221370 TX 75093 673 Single family detached 11227288 TX 77494 632 PUD single family( Detached) 11212160 MD 21224 641 Single family detached 11206320 WA 98056 679 Single family detached 11203436 TX 75223 694 Single family detached 11211879 PA 19018 672 Single family detached 11203598 WI 53572 572 Single family detached 11214035 WA 98198 697 Single family detached 11206361 CA 94546 728 Single family detached 11194458 ID 83642 582 PUD single family( Detached) 11193817 CA 93662 605 Single family detached 11191011 MD 21208 648 Single family detached 11203201 VA 23323 584 Single family detached 11215262 RI 2915 625 Duplex 11192331 CA 90280 602 Single family detached 11227058 CA 94401 668 Single family detached 11216251 FL 33615 738 Single family detached 11218374 CA 90249 609 Single family detached 11187059 NY 11554 729 Single family detached 11220441 NV 89123 617 Condominium 11218821 VA 22039 658 Single family detached 11225674 IL 62034 628 Single family detached 11153249 CA 91765 720 Single family detached 11151786 TX 77573 613 PUD single family( Detached) 11180461 FL 33610 787 Single family detached 11183049 LA 70816 587 Single family detached 11181291 TX 77034 700 PUD single family( Detached) 11163975 NY 11207 691 Triplex 11159155 CA 96041 597 Single family detached 11176545 NY 11435 691 Single family detached 11162826 NY 11050 584 Single family detached 11188418 DC 20020 593 Condominium 11193100 VA 24263 592 Single family detached 11186575 WI 53147 614 Single family detached 11182971 LA 71270 585 Single family detached 11177447 CA 92234 788 Single family detached 11175754 MA 1604 651 Single family detached 11187348 CA 93305 587 Single family detached 11181632 PA 18092 614 Single family detached 11187017 FL 33183 699 Condominium 11179061 CA 90044 671 Single family 4 unit 11205711 MO 65721 578 Single family detached 11200454 TX 77080 694 Single family detached 11205745 AZ 86324 678 Single family detached 11196991 LA 71104 591 Single family detached 11170377 MD 20872 648 Single family detached 11197989 CA 90015 617 Condominium 11225402 TX 77396 607 Single family detached 11206391 CA 95688 634 Single family detached 11216734 MA 1752 705 Condominium 11211098 CA 95206 678 Single family detached 11204434 AZ 86001 685 Single family detached 11206967 AZ 85204 629 Single family detached 11196214 FL 33184 670 Condominium 11194253 NV 89122 691 PUD single family( Detached) 11217285 AZ 85303 782 PUD single family( Detached) 11223500 CA 91325 649 Single family detached 11226390 TX 75115 582 Single family detached 11202920 NV 89138 599 PUD single family( Detached) 11220443 GA 31088 731 Single family detached 11224249 CA 91792 633 Single family detached 11231338 CA 93312 667 Single family detached 11222361 AZ 85242 746 PUD single family( Detached) 11189741 MD 21157 628 Single family detached 11190629 IL 60164 622 Condominium 11222717 NV 89503 640 Single family detached 11214650 CA 94546 570 Condominium 11200857 ID 83686 706 Single family detached 11223061 MD 20783 622 Single family detached 11203676 CA 93535 655 Single family detached 11223334 CA 93535 604 Single family detached 11207329 TX 77493 609 PUD single family( Detached) 11208939 CA 94605 742 Duplex 11223950 CA 95621 696 Single family detached 11228742 WA 98506 604 Single family detached 11213482 CA 91402 734 Single family detached 11194242 FL 33463 659 PUD project ( Attached) 11221722 PA 17603 601 Single family detached 11216831 CA 91423 691 Condominium 11191531 WA 98003 610 Single family detached 11195752 MD 20872 659 PUD project ( Attached) 11202205 CA 93560 608 Single family detached 11219810 CA 92025 698 Condominium 11207952 NY 12568 612 Single family detached 11212513 WA 98501 647 PUD single family( Detached) 11220408 DE 19802 587 Single family detached 11212438 MS 38637 599 Single family detached 11225426 MD 20607 588 PUD single family( Detached) 11225078 MT 59701 678 Single family detached 11210388 VA 23704 655 Single family detached 11186650 WA 98801 590 Single family detached 11206823 CA 95610 617 Single family detached 11217865 NY 11550 598 Single family detached 11185035 NY 10455 743 Duplex 11200601 CT 6225 632 Single family detached 11209216 MO 64052 664 Single family detached 11210823 CA 93307 684 Single family detached 11206054 VA 20121 606 Condominium 11215961 WA 98056 694 PUD single family( Detached) 11212620 DC 20032 624 Single family detached 11210652 AZ 85014 716 Single family detached 11229856 CA 93535 588 Single family detached 11207454 MD 21087 642 Single family detached 11204667 VA 23523 589 Single family detached 11222153 MD 20877 692 Single family detached 11191391 CA 94619 813 Single family detached 11211658 PA 19606 643 Single family detached 11196205 IL 60466 644 Single family detached 11215945 NV 89436 688 PUD single family( Detached) 11199635 OR 97850 598 Single family detached 11177881 NY 11767 730 Single family detached 11225012 CA 91331 644 Single family detached 11219813 CA 91748 680 Single family detached 11222328 FL 33880 598 Single family detached 11197649 CA 92879 713 Single family detached 11177439 CA 94596 730 Condominium 11167778 CA 95987 682 Single family detached 11218753 CA 92084 651 Single family detached 11212168 CA 95363 649 Single family detached 11205682 WI 53218 603 Single family detached 11207649 CA 92591 622 PUD single family( Detached) 11210850 LA 70437 544 Single family detached 11191533 TX 78221 624 Single family detached 11223255 MD 20853 652 Single family detached 11218043 TX 77302 636 Single family detached 11222338 CA 93543 657 Single family detached 11211401 NY 11370 717 Duplex 11215890 CA 90059 702 Single family detached 11227197 MA 2186 602 Single family detached 11198569 CA 91331 668 Condominium 11211862 TX 77536 581 Single family detached 11217624 CA 93401 701 Condominium 11214148 CA 92056 685 Single family detached 11198637 CA 91331 597 Condominium 11227390 VA 22193 674 Single family detached 11229859 VA 22150 648 Single family detached 11211275 CA 93704 688 Single family detached 11218169 MO 65804 604 Single family detached 11220495 FL 32780 640 PUD single family( Detached) 11164647 NY 11385 701 Duplex 11210938 VA 20109 668 Single family detached 11213223 VA 22043 678 Single family detached 11193331 CA 92587 588 Single family detached 11191374 TX 76002 617 Single family detached 11217978 NJ 7026 697 Single family detached 11214113 TX 76015 659 Single family detached 11216612 WA 98012 692 Condominium 11204666 CA 92081 630 Condominium 11204814 CA 92307 746 Single family detached 11190106 CA 94534 663 Single family detached 11224749 TX 76247 597 Single family detached 11193864 CA 93274 611 Single family detached 11208783 CA 94589 619 Single family detached 11212584 OH 45227 625 Single family detached 11209986 CA 94945 670 Single family detached 11198584 CA 92123 620 Condominium 11190552 CA 92806 634 PUD project ( Attached) 11212936 CA 95376 785 Single family detached 11194364 CA 90041 686 Triplex 11203809 IN 46319 659 Single family detached 11215503 PA 18103 602 Single family detached 11205827 WA 98204 640 Condominium 11206073 CA 91324 657 Single family detached 11212123 CA 90620 743 Single family detached 11205196 MD 21012 702 PUD project ( Attached) 11212121 CA 92708 704 PUD project ( Attached) 11216973 MS 38671 598 Single family detached 11218478 CA 91605 665 Single family detached 11227448 CA 93012 628 Single family detached 11211956 CA 92110 705 Single family detached 11228968 MD 21144 725 Condominium 11220047 VA 20110 702 PUD project ( Attached) 11196775 FL 33404 605 PUD single family( Detached) 11211504 NJ 7306 655 Condominium 11210905 FL 33161 747 Duplex 11221573 CA 94502 685 PUD project ( Attached) 11212270 CA 94804 598 Single family detached 11209304 DC 20011 716 Single family detached 11178483 AZ 85201 582 PUD project ( Attached) 11211185 CA 92563 661 Condominium 11220051 TX 75227 657 PUD single family( Detached) 11224028 TX 77088 610 Single family detached 11208371 IL 60064 614 Single family detached 11192444 MD 21227 708 Single family detached 11200433 CA 91335 680 Single family detached 11211602 TX 77302 634 PUD single family( Detached) 11214482 CA 95621 668 Single family detached 11202164 CA 91355 630 PUD single family( Detached) 11213736 TX 78244 638 Single family detached 11227379 WA 98422 647 Single family detached 11194348 GA 30115 692 Single family detached 11189636 CA 92677 682 PUD single family( Detached) 11212214 MS 39110 603 Single family detached 11198236 CA 92509 639 Single family detached 11219971 MD 21227 679 Single family detached 11194508 CA 92557 597 Single family detached 11228979 LA 71111 606 Single family detached 11220965 CA 92411 651 Single family detached 11217320 CA 94621 617 Single family detached 11202255 NV 89108 668 Single family detached 11228234 CA 93458 652 Single family detached 11183576 NY 10469 761 Single family detached 11226764 VA 22407 680 Single family detached 11198222 GA 31907 676 Single family detached 11208128 TN 37601 660 Single family detached 11209190 FL 33161 705 Single family detached 11226069 WA 98294 586 Single family detached 11199257 FL 33604 788 Single family detached 11219543 CA 91767 644 Single family detached 11203241 TX 77489 726 Duplex 11209478 FL 32526 667 Single family detached 11197671 CA 92506 701 Single family detached 11199425 CA 92376 765 Single family detached 11210137 NY 11423 672 Single family detached 11197375 FL 33711 600 Single family detached 11205852 AZ 85037 628 Single family detached 11201187 FL 33065 648 Condominium 11231929 TX 77459 686 PUD single family( Detached) 11235133 MS 38654 625 Single family detached 11209233 MD 21212 780 Single family detached 11211038 CA 94513 670 Single family detached 11210195 NY 11379 682 Duplex 11188105 CT 6260 625 Duplex 11222746 CA 91342 654 Condominium 11223386 NJ 8003 675 Single family detached 11199369 WA 98042 608 Single family detached 11192470 NV 89139 715 PUD single family( Detached) 11201772 WA 99208 595 Single family detached 11208643 CA 91302 634 Condominium 11232055 NJ 8859 684 Single family detached 11215151 VA 24301 805 Single family detached 11207185 MA 1906 704 Single family detached 11217076 WI 53545 601 Single family detached 11225037 WA 98056 634 Condominium 11227232 MD 21771 616 Single family detached 11205589 NY 11722 631 Single family detached 11210017 CA 90280 683 Single family detached 11176190 NY 11746 722 Single family detached 11222224 CA 93534 636 Single family detached 11166335 NV 89030 659 Single family detached 11206216 CA 90746 685 Single family detached 11212534 CA 95628 705 Duplex 11216649 CO 80239 617 Single family detached 11222844 NC 27030 651 Single family detached 11211077 IL 60620 685 Duplex 11220830 CA 94015 687 Condominium 11215809 WA 98036 599 Condominium 11229795 VA 22192 606 PUD project ( Attached) 11224556 AZ 85204 672 PUD single family( Detached) 11213899 CA 92376 593 PUD single family( Detached) 11219013 TX 76018 607 Single family detached 11211264 CA 92683 720 Single family detached 11190255 WA 99216 731 Single family detached 11214931 MD 21783 652 Single family detached 11216199 OK 73013 680 PUD single family( Detached) 11196304 CA 95815 745 Single family detached 11211240 NV 89121 624 Single family detached 11210458 CA 91792 658 Single family detached 11216596 MO 65355 612 Single family detached 11212878 NV 89142 688 Condominium 11153745 NC 28704 611 Single family detached 11208292 CT 6770 610 Single family detached 11203507 NY 10467 809 Single family detached 11212084 MD 20877 617 Condominium 11226918 CA 92648 635 Single family detached 11232097 CA 90069 715 Condominium 11225229 CA 92234 655 Single family detached 11209147 AZ 85345 704 Single family detached 11208319 CA 92071 683 Single family detached 11201324 CA 92301 674 Single family detached 11206406 CA 92840 743 Single family detached 11217897 CA 95370 663 Single family detached 11207282 CA 92240 611 Single family detached 11221951 PA 19053 705 PUD project ( Attached) 11192696 CA 92223 652 PUD single family( Detached) 11151867 CA 94015 659 PUD project ( Attached) 11203457 TX 79412 613 Single family detached 11206246 CA 92883 714 PUD single family( Detached) 11215974 FL 33165 633 Single family detached 11210138 NV 89123 663 Condominium 11175070 CA 93536 665 Single family detached 11223328 TX 76103 645 Single family detached 11217631 NV 89147 669 Single family detached 11142123 CA 95467 684 PUD single family( Detached) 11228341 ME 4038 634 Single family detached 11220787 MD 21075 665 Condominium 11232230 NH 3235 661 Single family detached 11216126 GA 30296 690 Single family detached 11172866 CA 91331 579 Single family detached 11196848 NV 89135 707 Single family detached 11223637 CA 92404 718 Single family detached 11207312 NY 14621 609 Single family detached 11212907 CA 92807 653 Single family detached 11192104 CA 93314 657 Single family detached 11202721 CA 93551 725 Single family detached 11230007 CA 93535 635 Single family detached 11221063 CA 92345 666 Single family detached 11226964 CT 6607 734 Duplex 11200439 NC 28904 618 Single family detached 11192323 CA 93536 706 Single family detached 11216715 CA 92345 759 Single family detached 11216851 VA 22032 628 Single family detached 11200199 CA 91304 682 Condominium 11222321 CA 92555 650 PUD single family( Detached) 11214341 CA 92335 616 Single family detached 11185313 AZ 86401 790 Single family detached 11221913 MD 20876 657 PUD single family( Detached) 11158407 CT 6489 598 Single family detached 11192907 VA 23669 612 Single family detached 11188063 FL 33830 643 Single family detached 11227220 TX 77845 667 Single family detached 11204036 CA 90019 617 Duplex 11202076 CT 6877 663 Single family detached 11210273 ME 4429 647 Single family detached 11204341 CA 92509 654 Single family detached 11231754 MA 1108 678 Duplex 11210946 IL 60426 582 Single family detached 11211833 CA 93257 636 Single family detached 11196101 CA 90031 740 Duplex 11215521 MA 2152 718 Condominium 11204604 MT 59301 644 Single family detached 11203685 CA 91331 606 Single family detached 11208161 MD 21220 631 Single family detached 11178601 CA 92881 669 Single family detached 11153440 RI 2908 615 Duplex 11214567 CA 92345 599 Single family detached 11197535 NJ 7047 718 Duplex 11191761 WA 98001 621 Condominium 11210988 NJ 8096 563 Single family detached 11182314 OR 97132 593 Single family detached 11209899 CA 91406 632 Single family detached 11192995 AZ 85249 623 PUD single family( Detached) 11232573 CA 92679 601 Single family detached 11227349 CA 90222 625 Single family detached 11191231 NY 11722 655 Single family detached 11220105 FL 33904 738 Single family detached 11220381 TX 75071 618 PUD single family( Detached) 11226856 CA 94089 591 Single family detached 11207774 CA 90242 737 Single family detached 11210323 FL 33055 605 Single family detached 11178017 NY 11520 726 Single family detached 11207966 MI 49202 634 Duplex 11210704 CA 92240 663 Single family detached 11187410 TX 75181 721 Single family detached 11219250 CA 92345 668 Single family detached 11222414 CA 91748 686 Single family detached 11189745 CA 94555 762 Condominium 11230727 CA 92376 678 Single family detached 11203478 CA 92586 791 PUD single family( Detached) 11213849 CA 93535 693 Single family detached 11192284 MD 20785 539 PUD single family( Detached) 11216474 CA 92591 552 Single family detached 11139525 NJ 7109 697 Single family detached 11204268 CA 92394 558 Duplex 11205701 NV 89156 682 Single family detached 11202973 MA 2322 648 Duplex 11217560 OH 44708 525 Single family detached 11209772 CA 92582 648 Single family detached 11227025 NV 89030 669 Single family detached 11208465 CA 94801 604 Single family detached 11210050 CA 91605 658 Single family detached 11205391 CA 95687 753 PUD single family( Detached) 11197424 PA 19440 511 Single family detached 11218362 TX 76053 713 Single family detached 11218221 ID 83605 618 Single family detached 11214945 MD 20906 662 Single family detached 11175147 MS 39336 612 Single family detached 11212309 MD 20705 616 Single family detached 11209362 MD 20770 652 PUD single family( Detached) 11193604 CA 96073 683 Single family detached 11192132 IL 60453 589 Single family detached 11218781 FL 32712 761 PUD single family( Detached) 11199149 VA 23237 552 Single family detached 11201160 NY 11233 691 Duplex 11209833 ID 83704 632 Single family detached 11204502 MD 20715 645 Single family detached 11216208 MD 21158 613 Single family detached 11206399 NV 89117 724 PUD single family( Detached) 11171642 CA 94591 640 PUD single family( Detached) 11217261 CA 91331 509 Single family detached 11222330 CA 94521 661 Single family detached 11206834 CA 90044 668 Single family detached 11211379 CA 95993 662 Single family detached 11224781 FL 33035 681 PUD project ( Attached) 11222331 CA 91722 664 Single family detached 11221471 CA 90650 652 Single family detached 11227083 AZ 85015 668 Single family detached 11211868 CA 94561 520 Single family detached 11210494 VA 22041 745 Single family detached 11222706 FL 33055 694 PUD project ( Attached) 11182533 NY 14809 546 Single family detached 11199782 CA 92101 651 Condominium 11221432 CA 91942 656 Single family detached 11218503 CA 91301 660 Condominium 11214443 CA 93550 692 Single family detached 11216610 CA 92316 641 Single family detached 11181577 CA 93720 629 Single family detached 11221531 CA 91702 643 Single family detached 11199950 WA 99006 715 Single family detached 11216700 TX 76119 575 Single family detached 11229897 NH 3038 609 Single family detached 11198752 MA 1844 669 Condominium 11205436 MD 20861 536 Single family detached 11203186 IL 60617 589 PUD project ( Attached) 11220240 CA 92507 630 Single family detached 11189056 AZ 85018 659 Single family detached 11229962 WA 98252 624 Single family detached 11200937 IL 60433 642 Single family detached 11175206 VA 20170 690 PUD project ( Attached) 11206568 CA 95111 685 PUD single family( Detached) 11200435 CA 91355 602 PUD single family( Detached) 11232431 NY 11423 643 Duplex 11181735 TX 77021 580 PUD single family( Detached) 11223862 VA 22193 661 Single family detached 11230326 NJ 8050 541 Single family detached 11225536 CA 94509 604 Single family detached 11187510 NY 12590 710 Single family detached 11215765 CA 91324 709 Single family detached 11214359 IN 46368 537 Single family detached 11216631 VA 22030 665 Condominium 11218424 NY 12543 651 Single family detached 11192981 TX 75060 680 Single family detached 11208331 CA 90660 687 Single family detached 11201460 OK 74011 648 Single family detached 11214639 CA 90041 698 Single family detached 11215211 CA 92780 534 Single family detached 11207040 AZ 85382 586 PUD single family( Detached) 11215941 CA 92345 590 Single family detached 11218838 NV 89121 661 Condominium 11218876 NJ 7203 689 Single family detached 11202303 CA 90240 730 Single family detached 11210996 KS 66210 532 PUD single family( Detached) 11183201 TX 76579 583 Single family detached 11223291 MA 1905 568 Single family detached 11210985 MO 65712 548 Single family detached 11202251 CA 92410 669 Single family detached 11224733 TX 75116 587 Single family detached 11217649 FL 33903 735 Single family detached 11204018 CA 94541 586 Condominium 11206473 CA 91331 640 Single family detached 11202913 NJ 8854 692 Single family detached 11198715 MD 21122 690 Condominium 11189801 MO 65737 716 Single family detached 11226707 CA 93702 690 Single family detached 11228576 VA 22110 687 Single family detached 11218935 CA 91913 551 PUD single family( Detached) 11230874 NY 10965 774 Single family detached 11198790 NY 12302 710 Single family detached 11217354 AZ 85086 760 Single family detached 11181411 CA 90620 601 Single family detached 11200693 CA 92504 685 Single family detached 11184269 GA 30083 616 Single family detached 11188462 CA 90011 690 Duplex 11193885 CA 93635 507 Single family detached 11194670 TN 37127 591 Single family detached 11218903 FL 33445 515 Condominium 11193375 CA 90302 590 Single family detached 11205057 CA 92316 507 Single family detached 11214928 CA 91384 675 PUD single family( Detached) 11228372 TN 38063 600 Single family detached 11221988 RI 2888 629 Single family detached 11214016 TX 75040 619 Single family detached 11211410 CA 96094 622 Single family detached 11155077 WA 98858 607 Single family detached 11199604 TX 78251 591 PUD single family( Detached) 11209268 CA 95037 715 PUD project ( Attached) 11107768 CA 93313 536 Single family detached 11214283 PA 17331 703 Single family detached 11197141 TX 75001 600 Single family detached 11211246 VA 22312 680 Condominium 11193662 MD 21236 721 Single family detached 11195232 LA 70774 674 Single family detached 11206438 CA 95822 606 Single family detached 11203238 TX 75067 552 Single family detached 11220777 CA 92335 690 Single family detached 11174320 CO 80401 524 Single family detached 11222240 CA 91761 561 Single family detached 11195112 MS 39180 654 Single family detached 11203291 CA 95128 597 Single family detached 11196699 CA 90601 666 Single family detached 11202479 ME 3904 612 Single family detached 11203405 CA 90255 625 Single family detached 11228259 CA 94591 660 Single family detached 11211375 CO 81001 680 Single family detached 11216354 MS 39218 585 Single family detached 11235829 MA 1852 579 Single family detached 11175041 AR 72114 540 Single family detached 11226095 CA 91316 636 Condominium 11211914 IL 60046 591 Single family detached 11202130 CA 92117 702 Duplex 11224624 TX 75224 731 Single family detached 11121508 TX 75013 595 PUD single family( Detached) 11163582 NJ 7643 500 Condominium 11191154 CA 92301 696 Single family detached 11172989 CO 80104 638 PUD single family( Detached) 11223854 CA 93274 637 Single family detached 11215567 DC 20005 635 Condominium 11190970 MD 21239 669 Single family detached 11212838 IL 60440 632 Single family detached 11192886 VA 22405 514 PUD single family( Detached) 11218314 WA 98023 645 Single family detached 11225008 CA 91311 562 Condominium 11177707 MI 48162 663 Single family detached 11228302 NY 11757 688 Single family detached 11221482 CA 95404 600 PUD project ( Attached) 11217552 PA 16101 578 Single family detached 11212501 CA 92337 631 Single family detached 11200418 CA 96118 588 PUD single family( Detached) 11185069 WI 53714 660 Single family detached 11174134 WA 98513 712 Single family detached 11215313 IL 60544 641 Single family detached 11214620 LA 70401 595 Single family detached 11222524 NJ 7666 611 Single family detached 11211567 TX 75069 741 Single family detached 11175036 CA 91351 617 Condominium 11166719 KS 66610 613 Single family detached 11190350 CA 93702 585 Single family detached 11190902 CA 92234 667 Single family detached 11214352 IL 62040 517 Single family detached 11194935 FL 34601 606 Single family detached 11192798 CA 90716 636 Single family detached 11216355 CA 94561 653 Single family detached 11212177 NJ 7112 582 Single family detached 11205155 NY 11717 661 Single family detached 11220774 CA 94603 699 Duplex 11163096 PA 15613 622 Single family detached 11198425 CA 91739 718 Single family detached 11173532 NY 11220 628 Duplex 11163714 NJ 7050 561 Single family detached 11198548 CA 92879 654 Single family detached 11208308 MA 1851 664 Single family detached 11225453 GA 30310 759 Single family detached 11202735 CA 91766 548 PUD single family( Detached) 11177200 CA 91387 667 PUD single family( Detached) 11149574 CA 95252 618 Single family detached 11214447 WA 98802 622 Single family detached 11224981 CA 90042 634 Single family detached 11197709 CA 90004 506 Duplex 11150931 NY 14871 531 Single family detached 11228953 CA 93314 577 Single family detached 11210379 NY 11706 640 Duplex 11219546 CA 94134 791 Single family detached 11210190 CA 93561 633 Single family detached 11199767 WA 98903 614 Single family detached 11211932 LA 70734 678 Single family detached 11225182 CA 90262 604 Single family detached 11193634 NJ 8807 637 Single family detached 11208695 CA 90020 597 Condominium 11217296 CA 92656 743 PUD single family( Detached) 11186582 TX 78258 608 PUD single family( Detached) 11193196 CA 92236 714 Single family detached 11202078 CA 92392 643 Single family detached 11204417 CA 92592 569 PUD single family( Detached) 11219621 CA 92505 578 Single family detached 11182236 CA 93660 583 Single family detached 11186369 NJ 8081 527 Single family detached 11227309 TX 75762 622 Single family detached 11206357 WA 98003 669 Single family detached 11179757 IL 60411 608 Single family detached 11216307 CA 93314 602 Single family detached 11209401 NY 11429 631 Single family detached 11210024 AZ 85323 652 PUD single family( Detached) 11210789 CA 93635 771 Single family detached 11213980 CA 92708 664 Single family detached 11210757 CA 93277 604 Single family detached 11230794 TX 77031 663 PUD single family( Detached) 11204035 FL 33461 677 Condominium 11209819 MA 1844 595 PUD single family( Detached) 11210590 CA 90262 773 Single family detached 11221175 NY 11784 729 Single family detached 11209861 CA 92703 615 Condominium 11190947 NY 11422 532 Single family detached 11220461 CA 91744 724 Single family detached 11216000 FL 32808 659 Single family detached 11194958 CA 91402 612 Condominium 11223820 CA 95901 669 Single family detached 11202922 WI 53233 589 Single family detached 11219660 CA 92253 731 Single family detached 11220501 WI 53916 770 Single family detached 11185524 CA 92026 710 PUD single family( Detached) 11211214 OR 97424 674 Single family detached 11163247 CA 92234 662 Single family detached 11226828 CA 95691 557 Single family detached 11190642 NY 11717 632 Single family detached 11219852 NC 28465 664 Single family detached 11214764 CT 6855 606 Duplex 11201072 MA 2131 658 Duplex 11214821 CA 94952 643 Single family detached 11210525 NM 87110 684 Single family detached 11196870 FL 32776 668 Single family detached 11211323 CA 92804 601 Condominium 11203623 CA 93657 514 Single family detached 11200021 VA 22026 636 PUD project ( Attached) 11230881 CA 91402 699 Single family detached 11217063 NV 89110 642 Single family detached 11209343 NJ 7047 680 Duplex 11190506 CA 93702 643 Single family detached 11211765 CT 6095 727 Duplex 11229472 MO 63090 672 Single family detached 11211870 NV 89148 727 PUD project ( Attached) 11225354 VA 22701 644 Single family detached 11228692 WA 98001 679 PUD single family( Detached) 11228369 CA 93277 599 Single family detached 11198016 WA 98034 609 Condominium 11189651 MA 1420 650 Duplex 11210061 OH 44708 639 Single family detached 11208955 CA 93551 629 Single family detached 11199228 CA 92252 623 Single family detached 11212686 CA 93311 639 Single family detached 11217094 CA 91326 731 Single family detached 11214569 IL 60091 558 Single family detached 11205868 CA 95060 653 PUD single family( Detached) 11233175 TX 75013 621 PUD single family( Detached) 11179100 CA 90604 643 Single family detached 11210818 NY 11580 611 Single family detached 11202827 NV 89106 620 Single family detached 11214697 IL 60110 677 Condominium 11176972 LA 71115 595 PUD project ( Attached) 11184111 MN 56026 521 Single family detached 11216100 IL 60636 578 Single family detached 11210639 NV 89014 690 PUD project ( Attached) 11210428 CA 95252 570 Single family detached 11220085 NH 3864 571 Single family detached 11198736 MA 2152 620 Condominium 11178338 VA 20194 652 PUD project ( Attached) 11226371 PA 15042 640 Single family detached 11222181 WA 99301 707 Single family detached 11232012 GA 30019 694 Single family detached 11198592 CA 91723 730 Single family detached 11193679 CA 95206 598 Single family detached 11222398 AZ 85024 590 PUD single family( Detached) 11214427 CA 96007 625 Single family detached 11192739 CA 92371 615 Single family detached 11176865 NY 10312 571 Duplex 11225277 MA 1902 637 Single family detached 11188891 CA 92508 637 Single family detached 11200154 CA 90806 656 Duplex 11203661 CA 92336 530 Single family detached 11205705 GA 30097 599 Condominium 11198797 MD 20735 542 PUD project ( Attached) 11166661 IN 47861 656 Single family detached 11207511 CA 91744 641 Single family detached 11228776 MA 2149 705 Single family detached 11214571 CA 90502 675 Condominium 11205666 CA 93722 602 Single family detached 11173048 NY 10552 689 Triplex 11195582 OR 97305 581 Single family detached 11217093 CA 93306 695 Duplex 11203380 NC 28803 628 Single family detached 11226602 CA 90255 579 Single family detached 11183535 CA 91103 699 Single family detached 11217710 CA 94015 705 Single family detached 11210146 CA 95336 604 Single family detached 11157603 CA 91601 775 Duplex 11223858 VA 22152 688 PUD project ( Attached) 11220363 CA 95838 680 Single family detached 11195486 IL 60084 583 Single family detached 11221749 CA 90002 661 Single family detached 11227714 CA 92411 646 Single family detached 11232820 CA 90710 704 Condominium 11191490 MD 21229 601 Single family detached 11182257 WA 98371 515 PUD single family( Detached) 11200307 ID 83651 584 Single family detached 11212052 VA 22193 652 PUD project ( Attached) 11228798 CA 92057 671 PUD single family( Detached) 11171134 VA 22182 585 PUD single family( Detached) 11205325 AZ 85239 630 PUD single family( Detached) 11216532 CA 91911 660 Single family detached 11201248 PA 18505 601 Triplex 11206875 CA 92407 645 PUD single family( Detached) 11222460 CA 94606 781 Duplex 11204709 TX 77084 530 PUD single family( Detached) 11224196 MA 1923 700 Single family detached 11212094 CA 93551 505 Single family detached 11230068 CA 94531 645 Single family detached 11161762 CA 92562 607 PUD single family( Detached) 11231248 MS 39213 636 Single family detached 11196941 FL 34743 658 PUD single family( Detached) 11194822 TX 75006 606 Single family detached 11191149 CA 92530 667 Single family detached 11204359 CA 90710 664 Condominium 11193937 NV 89460 525 Single family detached 11222542 CA 91306 616 Single family detached 11194724 MA 2176 622 Single family detached 11190777 VA 20169 634 PUD single family( Detached) 11218350 FL 34688 638 Single family detached 11198209 MO 64079 655 Single family detached 11223513 CA 92870 602 Single family detached 11191355 IL 60409 661 Single family detached 11187047 OH 45338 724 Single family detached 11195155 IL 60629 661 Single family detached 11197594 NV 89706 513 Single family detached 11203401 TX 77084 593 PUD single family( Detached) 11215579 CA 92592 704 PUD single family( Detached) 11222640 NH 3255 593 Single family detached 11221958 AZ 85242 641 PUD single family( Detached) 11224285 MS 39047 553 Single family detached 11176188 CA 92345 771 Single family detached 11173268 NC 27262 788 PUD single family( Detached) 11199208 CA 90670 567 Single family detached 11199281 KS 67056 594 Single family detached 11200619 CA 95124 774 Single family detached 11197913 MD 20721 516 PUD single family( Detached) 11213714 CA 95307 633 Single family detached 11201828 WI 54665 630 Single family detached 11217529 PA 15203 745 Single family detached 11214373 CA 92057 678 PUD single family( Detached) 11229325 CA 93063 713 PUD project ( Attached) 11228426 VA 22942 722 Single family detached 11225724 LA 70586 655 Single family detached 11223331 IL 60152 597 Single family detached 11179423 CA 91381 653 Condominium 11211993 CA 92504 731 Single family detached 11173407 VA 22204 681 Single family detached 11200570 AZ 85050 725 PUD single family( Detached) 11203043 TX 77707 615 Single family detached 11207275 VA 20120 571 PUD project ( Attached) 11193873 CA 91030 627 Single family detached 11214886 NJ 7079 603 Single family detached 11210820 MD 20876 643 PUD project ( Attached) 11196213 IL 60440 595 Single family detached 11220040 CA 95864 608 Single family detached 11182098 WI 53511 581 Single family detached 11205596 CT 6451 590 Single family detached 11200858 NH 3570 642 Single family detached 11207167 CA 94591 696 Single family detached 11204250 CA 95815 628 Single family detached 11218131 FL 33186 535 Single family detached 11166955 PA 15122 672 Single family detached 11212904 FL 34743 674 PUD single family( Detached) 11203529 RI 2907 533 Duplex 11207999 MA 1801 729 Single family detached 11182004 LA 70810 655 Single family detached 11200932 CA 94578 595 Single family detached 11217246 CA 92595 700 Single family detached 11189955 CA 91202 638 Single family detached 11187013 TX 76020 526 Single family detached 11198342 TX 75032 600 Single family detached 11214278 CA 93458 630 Single family detached 11215623 TX 76705 592 Single family detached 11218203 LA 71301 607 Single family detached 11209339 MS 39272 529 Single family detached 11210394 IL 61111 553 Single family detached 11167827 CA 91745 686 Single family detached 11203447 IL 60630 675 Duplex 11216048 CA 90003 635 Duplex 11216325 VA 20120 752 Condominium 11220797 TN 38119 658 Single family detached 11180420 OH 45424 530 Single family detached 11209253 NY 11798 648 Single family detached 11168102 CA 94928 625 Single family detached 11166200 CA 93728 612 Condominium 11172092 CA 90018 649 Triplex 11193730 GA 30530 557 PUD single family( Detached) 11206036 TX 75002 655 Single family detached 11201363 CA 92345 639 Single family detached 11206432 NV 89030 667 Single family detached 11221375 TX 75034 713 PUD project ( Attached) 11209246 CA 93552 588 Single family detached 11201108 WA 98271 600 Single family detached 11199069 SC 29229 577 PUD single family( Detached) 11204768 IL 60193 558 Single family detached 11216584 NV 89108 649 Single family detached 11212631 TN 37411 519 Single family detached 11232612 CA 93442 682 Single family detached 11189380 LA 70817 809 Single family detached 11206062 CA 91402 595 Single family detached 11186842 NJ 7036 592 Duplex 11213283 FL 32822 609 PUD project ( Attached) 11210429 MD 20737 651 Single family detached 11212066 CA 91702 676 Single family detached 11180157 NV 89108 688 Condominium 11201551 PA 18102 544 Single family detached 11229491 MA 1960 724 Single family detached 11176429 TX 76119 780 Single family detached 11201224 MI 48197 615 Single family detached 11169653 NC 27539 599 PUD single family( Detached) 11183098 MD 20906 517 PUD project ( Attached) 11187593 MD 20735 676 Single family detached 11202980 CA 92805 634 Single family detached 11186952 NY 11550 668 Single family detached 11191964 CA 95242 652 Condominium 11198326 MA 1876 701 Single family detached 11205160 NC 28311 525 Single family detached 11205471 NJ 7083 585 Single family detached 11211955 NH 3887 691 Single family detached 11162584 CT 6606 653 Single family detached 11212499 CA 94806 670 PUD single family( Detached) 11198033 OR 97055 610 PUD single family( Detached) 11224270 FL 33912 545 PUD single family( Detached) 11215968 CA 92227 600 Single family detached 11212502 CA 91911 707 Single family detached 11210466 IN 46403 623 Single family detached 11202168 AZ 85242 616 PUD single family( Detached) 11219028 CA 95822 600 Single family detached 11198993 MS 38930 606 Single family detached 11213153 CA 91709 661 Single family detached 11179400 CA 94590 648 Condominium 11210562 VA 20155 631 PUD project ( Attached) 11201620 RI 2818 630 Single family detached 11203820 NC 27703 509 Single family detached 11219892 CA 92503 650 Single family detached 11202243 TX 77041 736 PUD single family( Detached) 11193105 ID 83686 669 PUD single family( Detached) 11204662 LA 70812 668 Single family detached 11187920 MD 20607 602 Single family detached 11213645 CA 92128 669 Condominium 11224239 NY 11901 660 Single family detached 11211639 MS 39059 682 Single family detached 11232655 TX 76137 601 Single family detached 11198147 NY 11803 715 Single family detached 11216983 IL 61401 607 Single family detached 11211056 CA 91352 640 Duplex 11217775 NJ 7094 602 Single family detached 11206779 NV 89142 651 Single family detached 11201805 MD 20745 642 Single family detached 11208698 WA 98038 602 Single family detached 11201225 FL 32303 695 PUD project ( Attached) 11199983 CA 95828 703 Single family detached 11142827 IL 60620 683 Single family detached 11179741 NH 3867 601 Single family detached 11222607 VA 23324 606 Single family detached 11186973 MS 39212 589 Single family detached 11172170 CT 6037 642 Single family detached 11213913 IL 60102 560 Single family detached 11220862 CA 92841 652 Condominium 11208204 CA 92335 614 Single family detached 11210471 MA 1905 691 Single family detached 11213870 CA 90201 593 Single family detached 11216669 WA 98106 735 PUD project ( Attached) 11209936 MA 1095 611 Single family detached 11175895 CA 92411 725 Single family detached 11186260 CA 94521 778 Single family detached 11197564 VA 23502 612 Single family detached 11211590 DC 20020 523 Single family detached 11193373 CA 95835 646 PUD single family( Detached) 11165579 CA 93560 607 Single family detached 11200698 WA 98387 626 Single family detached 11193132 CA 94589 569 Single family detached 11229460 AZ 85308 631 Single family detached 11203025 CA 90805 625 Single family detached 11222018 CA 93306 694 PUD single family( Detached) 11226892 IN 46235 783 PUD single family( Detached) 11205645 MO 65084 689 Single family detached 11195320 CA 91711 512 Single family detached 11206389 CA 92284 580 Single family detached 11206900 SC 29456 689 Single family detached 11197587 ID 83815 510 Single family detached 11158318 NY 11208 791 Single family detached 11190118 CA 94513 751 Single family detached 11207804 MA 2301 617 Single family detached 11214023 TN 38111 627 Single family detached 11222155 VA 23453 630 PUD project ( Attached) 11225336 FL 34769 662 Single family detached 11223413 CA 92394 627 Single family detached 11195476 OH 45822 634 Single family detached 11210360 VA 20110 621 Condominium 11201113 MD 21133 583 PUD project ( Attached) 11210889 NY 10553 689 Duplex 11191125 ND 58201 684 Single family detached 11188240 FL 32826 656 Single family detached 11227927 IL 60505 675 Single family detached 11139377 CA 92345 579 Single family detached 11208224 CA 94806 556 Single family detached 11191335 CA 92882 719 Single family detached 11209046 OH 43543 785 Single family detached 11200272 CA 91504 670 PUD single family( Detached) 11190681 NY 11550 642 Single family detached 11207197 MD 20784 588 Single family detached 11202436 CA 95491 699 PUD project ( Attached) 11207564 CA 90723 637 Condominium 11221717 CA 94531 630 Single family detached 11165776 NY 11590 621 Single family detached 11202748 CA 92346 663 Single family detached 11226886 FL 32738 649 Single family detached 11194353 TX 75241 625 Single family detached 11216093 NY 11717 757 Single family detached 11208940 CA 91340 621 Single family detached 11192129 IL 60137 693 Single family detached 11200504 MI 48089 615 Single family detached 11165076 CA 91776 716 Single family detached 11225921 CA 92374 647 Single family detached 11149373 TX 76109 644 Single family detached 11221680 CA 93510 619 Single family detached 11203558 CA 92804 645 Condominium 11193119 WA 98405 644 Single family detached 11205430 IL 60422 671 Single family detached 11219894 TX 79924 737 Single family detached 11190945 MD 20744 623 PUD single family( Detached) 11184330 NC 27292 664 Single family detached 11204253 CA 90805 608 Single family detached 11216047 CA 92553 671 Single family detached 11194776 NY 11434 640 Duplex 11220331 ME 3901 638 Single family detached 11229565 MD 20903 602 Single family detached 11220822 NV 89031 597 PUD single family( Detached) 11215745 CA 95833 646 Single family detached 11195512 NV 89431 668 Single family detached 11219488 CA 92404 661 Single family detached 11220356 CA 93702 627 Single family detached 11209097 VA 20110 707 PUD project ( Attached) 11207158 NY 12197 677 Single family detached 11213385 NV 89015 549 Single family detached 11172740 NC 28031 560 Single family detached 11217055 CA 91307 652 Single family detached 11212712 TX 76248 702 PUD single family( Detached) 11200655 MS 39501 759 Single family detached 11186660 MD 21740 528 PUD project ( Attached) 11217294 CA 91730 516 PUD single family( Detached) 11184127 TX 76123 754 PUD single family( Detached) 11188670 WA 98513 633 PUD single family( Detached) 11199955 CA 90502 685 Condominium 11202496 NJ 7107 625 Single family detached 11225167 AZ 85206 739 Condominium 11205916 TN 37082 614 Single family detached 11203022 MD 20613 671 Single family detached 11210756 CA 91706 638 Single family detached 11195676 CA 94804 608 Single family detached 11216752 TX 75002 711 Single family detached 11205443 NJ 7017 588 Single family detached 11215826 CO 81201 619 Single family detached 11212157 NV 89119 689 Single family detached 11199381 VA 22150 676 PUD project ( Attached) 11221107 CA 92316 590 Single family detached 11194753 NC 28173 594 PUD single family( Detached) 11209373 CA 91702 665 Single family detached 11208823 CA 92377 528 Single family detached 11204897 PA 17070 589 Single family detached 11227912 TX 78247 636 PUD single family( Detached) 11200465 CT 6705 610 Single family detached 11208347 CA 92530 632 Single family detached 11198000 TX 78501 604 Single family detached 11218379 CA 92868 612 PUD project ( Attached) 11212797 NY 11701 697 Single family detached 11216868 FL 32207 627 Single family detached 11222247 WA 98031 598 Single family detached 11195707 MA 1082 628 Single family detached 11194774 NY 11373 658 Triplex 11203906 DC 20019 571 Single family detached 11228988 CA 91307 636 Single family detached 11220287 CA 92335 653 Single family detached 11182087 MA 2301 703 Duplex 11203518 CA 91342 675 Condominium 11181400 CO 81652 585 Single family detached 11196016 ME 3904 625 Single family detached 11222860 CA 95695 688 Single family detached 11203132 WA 98026 558 Single family detached 11184422 MD 20735 613 Single family detached 11203686 CA 92201 583 Single family detached 11228029 UT 84321 640 Single family detached 11178566 CA 91730 517 Condominium 11230808 CA 93534 633 Single family detached 11226074 VA 20170 766 PUD single family( Detached) 11167776 TX 77061 648 Single family detached 11210762 TX 76135 710 PUD single family( Detached) 11212822 WA 98405 580 Single family detached 11217405 UT 84084 670 Single family detached 11199006 CA 94603 785 Single family detached 11205913 CA 91104 629 Single family detached 11208228 CA 94591 606 Single family detached 11208464 CA 93611 553 Single family detached 11202701 CO 81201 727 Single family detached 11198159 WA 98125 569 Single family detached 11196513 CA 95815 682 Single family detached 11198704 CT 6614 630 Duplex 11219663 TX 75228 675 Single family detached 11192693 NJ 8816 628 Single family detached 11225145 CA 92405 648 Single family detached 11206371 FL 33584 564 PUD single family( Detached) 11202924 OR 97217 579 Single family detached 11221097 CA 93041 626 PUD single family( Detached) 11207892 OR 97535 616 Single family detached 11233599 MD 20743 667 Single family detached 11195446 CA 95120 590 Single family detached 11174851 FL 33905 655 Single family 4 unit 11210335 MD 20772 627 Single family detached 11191983 CA 91343 737 Condominium 11233863 NV 89706 603 Single family detached 11196452 CA 91335 678 Single family detached 11182768 NY 11207 556 Triplex 11180032 CA 94603 639 Duplex 11229492 KS 66216 612 Single family detached 11159251 NJ 7093 632 Triplex 11220967 OH 45315 732 Single family detached 11188608 TX 77414 597 Single family detached 11220963 CA 94131 726 Single family detached 11217743 VA 20164 706 Single family detached 11205304 OR 97415 648 Single family detached 11230940 CA 95382 641 Single family detached 11203242 CA 91766 606 Single family detached 11208560 CA 92879 592 PUD single family( Detached) 11200940 WA 98208 523 Single family detached 11216542 MO 64015 538 Single family detached 11188514 CA 94536 593 PUD single family( Detached) 11225207 CA 93309 621 Single family detached 11151900 GA 30223 594 Single family detached 11209720 CA 92345 596 Single family detached 11188591 TX 76063 649 Single family detached 11215342 CA 92504 605 Duplex 11217739 CA 93314 652 PUD single family( Detached) 11188049 NC 27973 643 Single family detached 11212063 NY 10301 656 Duplex 11201839 CA 92883 530 PUD single family( Detached) 11221104 CA 95122 552 Single family detached 11184264 CA 91387 680 Condominium 11195212 MO 65723 644 Single family detached 11175834 LA 71295 622 Single family detached 11203865 MA 1850 676 Single family detached 11208343 CA 93550 703 Single family detached 11197017 CA 96148 609 Single family detached 11168849 WA 99205 620 Single family detached 11179285 TX 77707 526 Single family detached 11189257 TX 76114 644 Duplex 11189336 GA 30546 597 Single family detached 11225176 TX 77584 596 PUD single family( Detached) 11220010 CA 92545 647 Single family detached 11195688 CA 95020 636 Single family detached 11204648 NV 89101 632 Single family 4 unit 11164175 CA 91766 712 2- 4 family 11228337 IL 60402 742 Single family detached 11191117 CA 95307 681 Single family detached 11219303 PA 18015 590 Single family detached 11216025 CA 92410 587 Single family detached 11194102 NJ 8879 604 Triplex 11222749 FL 33331 728 PUD single family( Detached) 11209501 NY 11413 607 Single family detached 11201083 TX 75081 580 Single family detached 11225276 NJ 7832 625 Single family detached 11194782 CT 6483 505 Single family detached 11205835 NV 89031 621 Single family detached 11186216 CA 91730 650 Single family detached 11155595 NJ 8203 674 Condominium 11224580 CA 95823 647 Single family detached 11232762 VA 22407 639 Single family detached 11178570 PA 15221 502 Single family detached 11171068 TX 75246 612 PUD single family( Detached) 11187639 CA 91405 651 Single family detached 11217253 WY 82636 590 Single family detached 11220350 MD 21783 709 Single family detached 11210695 CA 95838 629 Single family detached 11169346 IL 61760 528 Single family detached 11221321 TN 37312 627 Single family detached 11165169 NY 11550 664 Single family detached 11192884 PA 18337 609 Single family detached 11198323 CA 90660 691 Single family detached 11208953 CA 92376 700 Single family detached 11203247 NY 12458 587 Single family detached 11199928 CA 94121 558 Single family detached 11203215 NM 87110 512 Single family detached 11169420 VA 22602 641 PUD single family( Detached) 11211787 CT 6770 656 Single family detached 11193008 CA 93263 768 Single family detached 11213582 CA 95648 657 PUD single family( Detached) 11204387 GA 30157 680 Single family detached 11226253 NV 89511 560 PUD project ( Attached) 11199492 MD 20784 593 Single family detached 11210849 GA 30310 715 Single family detached 11220033 MA 2724 552 Single family detached 11189558 OH 45406 609 Single family detached 11205427 MD 20772 573 Single family detached 11224163 NY 10465 564 Duplex 11202950 NY 11422 651 Single family detached 11227537 CA 92337 665 Single family detached 11160441 NY 11215 729 Triplex 11212198 VA 22003 737 Condominium 11203136 CA 93727 528 Single family detached 11186143 TX 75211 625 Single family detached 11225342 NY 10980 563 Duplex 11223524 IN 46324 606 Single family detached 11227472 AZ 85054 611 PUD single family( Detached) 11213719 MD 20878 640 PUD single family( Detached) 11217975 CA 95336 699 Single family detached 11193661 NJ 8205 603 Single family detached 11156412 PA 15003 526 Single family detached 11203656 CA 93722 628 Single family detached 11186533 TX 75044 557 Single family detached 11201106 CA 92780 707 Condominium 11220619 NY 11772 643 Single family detached 11199718 OR 97038 720 Single family detached 11201923 IL 60187 599 Single family detached 11178516 MA 2124 583 Duplex 11207107 TX 75218 641 Single family detached 11159265 NV 89108 772 Condominium 11212297 CA 92201 596 PUD single family( Detached) 11198056 CA 90240 618 Single family detached 11221547 CA 93535 602 Single family detached 11223289 IL 60133 598 Single family detached 11178316 CO 80915 592 Single family detached 11229116 TX 78258 620 PUD single family( Detached) 11194224 MA 1801 622 Single family detached 11207508 CT 6605 664 Duplex 11210054 FL 32808 557 PUD single family( Detached) 11160331 CA 93550 675 Condominium 11193671 WA 99344 704 Single family detached 11213471 VA 23701 657 Single family detached 11208884 AZ 85037 677 PUD single family( Detached) 11181979 MA 1020 627 Single family detached 11225121 CA 95111 646 Single family detached 11217409 CA 93444 627 PUD project ( Attached) 11197905 PA 15003 656 Single family 4 unit 11195982 CT 6413 582 Single family detached 11189961 MD 20735 594 Single family detached 11218930 VA 22701 622 PUD single family( Detached) 11214756 NV 89149 735 PUD single family( Detached) 11195847 VA 20164 588 Single family detached 11211675 MA 1844 667 Duplex 11201029 TX 76116 585 Single family detached 11206637 PA 19330 609 Single family detached 11231562 NJ 7901 645 Single family detached 11177909 CA 90262 756 Single family 4 unit 11168747 CT 6416 641 Condominium 11193363 CA 94601 624 Single family detached 11212306 WA 98032 588 Condominium 11177593 CA 91354 668 PUD single family( Detached) 11215634 WA 98422 569 Single family detached 11178387 IL 60501 641 Single family detached 11211942 CA 92405 706 Single family detached 11217209 ID 83713 609 PUD single family( Detached) 11158111 TX 75087 619 PUD single family( Detached) 11175086 NJ 7105 726 Duplex 11227745 GA 30039 716 PUD single family( Detached) 11220841 VA 22602 616 Single family detached 11171249 VA 22902 611 PUD single family( Detached) 11208376 PA 19038 655 Single family detached 11192074 DE 19720 610 Single family detached 11222945 CA 93675 734 Single family detached 11112558 CA 93924 653 Single family detached 11221399 IL 60172 609 Condominium 11174707 CA 93536 676 PUD single family( Detached) 11230546 CA 90262 619 Single family detached 11209987 CA 91801 650 Single family detached 11205074 CA 91345 580 Single family detached 11216277 CA 93451 695 Single family detached 11203926 IL 60610 625 Condominium 11221943 CA 91342 631 Condominium 11213926 CA 92618 790 Condominium 11188723 TX 77083 591 PUD single family( Detached) 11208297 CA 91040 602 Single family detached 11204848 TX 77532 613 PUD single family( Detached) 11184424 CA 90275 680 Single family detached 11164712 MD 21037 531 Single family detached 11181039 NJ 8865 665 Single family detached 11226776 AZ 86406 696 Single family detached 11190011 IN 46701 744 Single family detached 11209493 MD 20832 560 Condominium 11213034 NY 13807 501 Single family detached 11195855 OH 45377 519 Single family detached 11222000 MA 2062 775 Duplex 11210168 CA 92262 667 Single family detached 11206462 CA 90037 653 Single family detached 11212271 NJ 8753 688 Single family detached 11179444 LA 70068 631 Single family detached 11193148 OR 97504 617 Single family detached 11213987 NY 11717 634 Single family detached 11190703 VA 23060 597 Single family detached 11211243 WA 98055 705 Condominium 11200216 CA 94509 665 Single family detached 11193361 CA 92596 630 PUD single family( Detached) 11217489 FL 33830 541 Single family detached 11213370 TX 78046 628 Single family detached 11216029 CA 92337 619 Single family detached 11215461 TX 78247 740 PUD single family( Detached) 11191569 NM 87521 635 Single family detached 11215050 MD 20745 607 Single family detached 11203573 NV 89149 717 Condominium 11174209 TX 77096 596 PUD single family( Detached) 11215414 CA 93306 656 PUD single family( Detached) 11207945 FL 33602 616 Single family detached 11186342 CA 93705 611 Single family detached 11194786 MS 39204 584 Single family detached 11180648 IL 60621 647 Condominium 11213744 CA 92376 569 Single family detached 11173816 IL 60613 652 Condominium 11215696 CA 93311 615 Single family detached 11199363 CA 91355 705 Single family detached 11192628 CA 92394 637 Single family detached 11198639 CA 92307 543 Single family detached 11181153 CA 95747 668 PUD single family( Detached) 11175138 NM 88026 539 Single family detached 11204752 CA 93635 732 Single family detached 11214787 TX 75241 687 Single family detached 11203664 CA 93638 598 Single family detached 11215224 CA 92324 504 Single family detached 11202503 MD 20770 594 PUD project ( Attached) 11166010 WV 26505 644 Single family detached 11198017 OK 73036 632 Single family detached 11160565 IL 60103 712 Condominium 11214336 CA 93033 622 Single family detached 11178725 MO 65401 602 Single family detached 11229641 CA 91732 720 Condominium 11211320 CA 90016 723 Single family detached 11165065 NJ 7105 559 Duplex 11217010 WA 98360 634 Single family detached 11191304 MD 20772 615 PUD single family( Detached) 11151453 TN 38351 632 Single family detached 11203857 FL 33314 665 Condominium 11178111 NJ 7733 507 Single family detached 11179566 CA 92870 691 Single family detached 11234538 NY 11746 671 Single family detached 11222521 CA 94531 674 Single family detached 11168774 MA 1854 581 Single family detached 11203630 CA 93065 661 Condominium 11156549 NV 89130 675 PUD single family( Detached) 11164416 NV 89149 693 PUD single family( Detached) 11197132 WV 25419 622 PUD single family( Detached) 11207094 IL 62661 640 Single family detached 11117371 NY 11783 638 Single family detached 11204299 NY 11211 646 Condominium 11192724 LA 71202 527 Single family detached 11162384 OK 73572 590 Single family detached 11221645 FL 33544 615 PUD single family( Detached) 11204262 CA 93257 695 Single family detached 11213509 CA 91784 655 PUD single family( Detached) 11202328 IL 61011 603 Single family detached 11205340 MO 64138 514 Single family detached 11228181 VA 24153 644 Single family detached 11194622 MD 21218 630 Single family detached 11214321 MN 55056 643 Single family detached 11201296 NY 11967 682 Single family detached 11180491 CT 6902 758 Condominium 11227649 CA 91311 749 Single family detached 11216944 CA 94509 716 Single family detached 11220234 MO 65807 601 Single family detached 11210692 TX 75048 605 Single family detached 11215474 NJ 8757 585 Single family detached 11157378 CA 93725 671 Single family detached 11220252 NY 11212 709 Single family detached 11183688 FL 33055 631 Single family detached 11200711 NY 10312 686 Single family detached 11208690 CA 91977 708 Single family detached 11201354 CT 6770 640 Condominium 11197973 LA 70538 630 Single family detached 11207560 CA 92262 707 PUD single family( Detached) 11201577 TN 37757 581 Single family detached 11174696 WA 98375 501 Single family detached 11207029 VA 20120 624 PUD project ( Attached) 11219533 CA 93535 658 Single family detached 11222296 CA 94531 702 Single family detached 11232327 MN 55124 676 Condominium 11195426 WA 98059 661 PUD single family( Detached) 11196625 FL 33414 512 Single family detached 11202144 NV 89502 590 Condominium 11203541 CA 90047 603 Single family 4 unit 11222461 CA 92691 647 Condominium 11217619 MD 20746 504 Single family detached 11218825 TN 37307 614 Single family detached 11232366 CA 91790 619 Single family detached 11217637 GA 30032 611 Single family detached 11206883 MD 21044 587 Condominium 11208337 NJ 8215 542 Single family detached 11212022 NC 27704 615 Single family detached 11192178 NJ 7205 586 Single family detached 11208742 CA 94590 714 Condominium 11177009 NY 12572 506 Single family detached 11211968 CA 90034 663 Condominium 11213393 MO 63775 682 Single family detached 11214141 NY 11798 614 Single family detached 11214644 WA 98252 592 Single family detached 11213644 CA 92882 529 Single family detached 11196437 CA 92069 600 PUD single family( Detached) 11217836 NY 11206 588 Duplex 11197831 CA 94526 659 PUD single family( Detached) 11059190 NY 10566 563 Single family detached 11216709 CA 91762 687 Single family detached 11223101 TX 75032 675 PUD single family( Detached) 11175166 FL 33016 515 Condominium 11219213 CA 93905 607 Single family detached 11220182 SC 29059 640 Single family detached 11205819 IL 60202 603 Condominium 11209835 CA 94550 652 Single family detached 11214033 WA 98109 665 Condominium 11194925 CA 90808 694 Single family detached 11196990 VA 23503 586 Single family detached 11176855 CA 91762 648 Condominium 11222450 NC 27614 604 PUD single family( Detached) 11213457 TX 77433 666 PUD single family( Detached) 11175405 CA 90755 522 Condominium 11214345 CA 91724 602 Condominium 11210616 CA 94561 690 Single family detached 11213780 MI 49015 604 Single family detached 11210618 CA 92507 595 Single family detached 11191208 CA 93309 611 Single family detached 11199279 CA 95203 604 Single family detached 11207126 MD 21842 729 Single family detached 11210667 MI 48152 696 Condominium 11184760 IL 60185 567 Single family detached 11203718 CA 92505 734 Single family detached 11222242 KS 66218 560 Single family detached 11211111 CA 92307 639 Single family detached 11226752 CA 93304 689 Single family detached 11201863 CA 90262 769 Single family detached 11230108 CA 92392 563 Single family detached 11216314 CA 92253 754 Single family detached 11205652 NY 11553 646 Single family detached 11168761 GA 30815 535 Single family detached 11217884 CA 94591 752 Single family detached 11193842 NY 11216 630 Duplex 11213271 CA 93268 560 Single family detached 11231418 TN 37148 617 Single family detached 11186921 CA 90745 578 Single family detached 11157449 NY 14517 702 Single family detached 11216731 CA 91101 657 Condominium 11198160 NY 10928 647 Single family detached 11231334 NV 89122 719 PUD single family( Detached) 11220169 CA 93461 621 Single family detached 11197761 CO 80906 596 Single family detached 11183250 MD 20613 644 Single family detached 11193669 CA 90723 596 Condominium 11217245 CA 94804 508 Single family detached 11196824 MD 21206 636 Single family detached 11107986 MS 39216 617 Condominium 11197130 CA 90260 636 Triplex 11196827 RI 2909 621 Triplex 11210686 TX 75287 673 Single family detached 11188227 TX 75212 563 Single family detached 11217705 TX 76548 559 Single family detached 11207028 OH 45044 672 Single family detached 11216592 WA 98444 624 Single family detached 11230682 VA 22032 654 Single family detached 11216688 IL 60089 524 Single family detached 11223129 FL 32207 711 Single family detached 11183964 MA 2151 620 Single family detached 11179503 NY 11210 687 Single family detached 11210520 CA 92656 660 PUD project ( Attached) 11175424 CA 91605 698 Single family detached 11203076 FL 33189 683 PUD single family( Detached) 11213680 MA 2532 637 Single family detached 11200070 MD 20744 686 PUD single family( Detached) 11211894 CA 90660 594 Single family detached 11222370 ND 58623 663 Single family detached 11212725 AZ 86406 500 Single family detached 11175513 AZ 85042 586 Single family detached 11211882 CA 90022 631 Duplex 11196499 CA 95358 667 Single family detached 11218680 TX 75080 607 Single family detached 11198051 CA 91911 595 Single family detached 11155169 TX 75076 660 Single family detached 11205171 NJ 8234 624 Single family detached 11215854 CA 95610 600 Single family detached 11221632 NM 87144 643 PUD single family( Detached) 11179610 GA 30004 515 PUD single family( Detached) 11178481 CA 90265 636 Condominium 11210080 MS 39204 630 Single family detached 11212516 TX 77084 616 PUD single family( Detached) 11218672 CA 90002 605 Single family detached 11218185 CA 92399 651 Single family detached 11221929 TX 77489 645 PUD single family( Detached) 11218113 IL 60004 610 Single family detached 11209944 AL 36323 646 Single family detached 11210261 NY 14043 579 Single family detached 11189694 NJ 8210 610 Single family detached 11204923 CA 92553 678 Single family detached 11207260 CA 92880 614 Single family detached 11192800 PA 18103 718 Single family detached 11211355 CA 91724 676 Single family detached 11207189 CA 91016 795 Single family detached 11220080 MD 20710 684 Single family detached 11217338 CA 92411 641 Single family detached 11214386 TX 78250 784 Single family detached 11163598 MS 38654 597 PUD single family( Detached) 11230553 IN 46203 502 Single family detached 11217776 NY 11423 737 Single family detached 11213595 TX 77536 659 Single family detached 11194213 NJ 7093 686 Duplex 11220565 MD 20878 688 PUD project ( Attached) 11217309 AZ 85335 640 PUD single family( Detached) 11140686 AZ 85207 600 Single family detached 11199815 CA 92065 689 PUD single family( Detached) 11231783 FL 33315 651 Single family detached 11194873 NC 27018 813 Single family detached 11181762 TX 75025 636 PUD single family( Detached) 11187599 NM 87124 626 Condominium 11220502 NJ 7840 621 Single family detached 11176174 WA 98373 633 PUD single family( Detached) 11196292 CA 91307 636 PUD single family( Detached) 11205024 CA 93307 643 Single family detached 11198410 CA 95949 681 Single family detached 11211520 MD 21206 587 Single family detached 11206982 NY 11746 650 Single family detached 11191687 CA 95376 637 Single family detached 11223703 CA 95670 511 PUD single family( Detached) 11208997 NC 27513 650 Single family detached 11203690 CA 91763 571 Single family detached 11187055 OH 45389 745 Single family detached 11212854 MD 21231 757 Single family detached 11210431 FL 34953 617 Single family detached 11203423 WA 98136 695 Duplex 11219647 IL 60655 645 Single family detached 11227378 AZ 85254 608 PUD single family( Detached) 11221002 CA 93010 622 Condominium 11192892 WA 98036 644 Single family detached 11206837 CA 93552 736 Single family detached 11211277 CA 95204 731 Single family detached 11214964 FL 32641 624 Single family detached 11190459 CA 92119 675 Condominium 11219103 FL 33897 639 Single family detached 11197418 NY 10541 589 Single family detached 11212289 LA 70607 569 Single family detached 11212155 CA 93304 684 Single family detached 11228243 AZ 85338 723 PUD single family( Detached) 11214901 LA 70811 795 Single family detached 11210067 TX 77008 582 Single family detached 11214015 ID 83634 743 PUD single family( Detached) 11204959 CA 93313 748 Single family detached 11179407 CA 92410 647 Single family detached 11204499 CA 92201 675 Duplex 11196043 FL 33169 583 Single family detached 11217918 NH 3038 758 Duplex 11212862 CA 95206 662 PUD single family( Detached) 11208494 NY 11732 562 Single family detached 11178707 WA 98012 615 Condominium 11230114 CA 91739 650 Single family detached 11226551 TX 78121 683 Single family detached 11225211 CA 92571 644 Single family detached 11201900 CA 91321 735 Condominium 11199253 CA 92553 612 Single family detached 11204208 TX 77080 609 Single family detached 11197561 TX 77477 582 PUD single family( Detached) 11214119 CA 90805 696 Duplex 11184850 WI 53511 624 Single family detached 11198798 FL 33319 555 PUD single family( Detached) 11171348 AR 72017 582 Single family detached 11202895 CA 92324 656 PUD single family( Detached) 11179638 AZ 85041 551 PUD single family( Detached) 11217814 CA 93702 670 Single family detached 11186588 CA 92881 625 Condominium 11208145 CA 91744 692 Single family detached 11220669 CA 91701 635 Single family detached 11176110 CA 91436 740 Single family detached 11182064 TX 76016 641 Single family detached 11200183 IL 60628 613 Single family detached 11233315 MD 20708 671 PUD single family( Detached) 11216179 CT 6704 677 Single family detached 11216279 MD 20720 660 Single family detached 11215044 WA 98058 711 Condominium 11201600 MI 48843 552 Single family detached 11195276 TN 38118 601 Single family detached 11221084 VA 22405 748 PUD single family( Detached) 11215791 CA 94555 564 Single family detached 11198694 FL 32407 738 Single family detached 11189654 WA 99362 682 Single family detached 11183650 ME 4062 618 Single family detached 11208286 WA 98383 505 PUD single family( Detached) 11225278 FL 32805 649 Single family detached 11213142 CA 94949 629 Single family detached 11218956 NY 11368 718 Duplex 11224938 MT 59701 745 Single family detached 11211897 CA 90020 696 Condominium 11223286 NJ 7728 552 Single family detached 11192017 CA 92841 710 Single family detached 11190980 FL 33907 750 Single family detached 11228890 PA 16229 591 Single family detached 11165861 LA 71351 679 Single family detached 11145719 CA 94124 584 Single family detached 11202687 CA 91762 607 Single family detached 11216426 DC 20002 687 Single family detached 11203849 RI 2831 694 Single family detached 11200027 MD 21122 629 Condominium 11228353 NJ 7011 704 Duplex 11207030 MD 21234 556 Single family detached 11229361 MD 21001 617 Single family detached 11214466 CA 91706 677 Single family detached 11183506 CA 93635 593 Single family detached 11206715 TX 79925 680 Single family detached 11212833 CO 80104 702 Single family detached 11172981 CA 91737 612 Single family detached 11157508 CA 92557 530 Single family detached 11196375 CA 94547 704 Condominium 11201468 CA 91730 750 Single family detached 11185419 NY 10306 636 Duplex 11222059 CA 92555 726 Single family detached 11168687 NY 12566 611 Single family detached 11210501 CA 91001 509 Single family detached 11210536 CT 6040 517 Duplex 11196641 CA 90031 662 Single family detached 11205344 MD 21234 578 Single family detached 11193374 CA 94014 674 Single family detached 11193439 NY 11426 676 Single family detached 11224250 CA 92110 612 Condominium 11218585 CA 94533 696 Single family detached 11213126 CA 93063 591 Single family detached 11153929 MS 39212 593 Single family detached 11163599 MS 38654 597 Single family detached 11151901 GA 30223 594 Single family detached 11169661 NC 27539 599 PUD single family( Detached) 11163868 FL 33549 660 Condominium 11154931 NJ 7102 651 Condominium 11179504 NY 11210 687 Single family detached 11146188 CA 92407 591 Condominium 11181194 CA 93535 704 Single family detached 11145565 CA 93924 653 Single family detached 11178059 FL 32208 600 Single family detached 11179567 CA 92870 691 Single family detached 11159266 NV 89108 772 Condominium 11165489 CA 91776 716 Single family detached 11177199 CA 91387 667 Condominium 11178967 CA 92887 614 Single family detached 11173471 VA 22182 585 PUD single family( Detached) 11189890 CA 91773 609 Single family detached 11152522 OR 97222 650 Single family detached 11182561 TX 75070 624 PUD single family( Detached) 11155611 NJ 8203 674 Condominium 11195879 MS 39189 633 Single family detached 11182551 LA 71115 595 PUD project ( Attached) 11195277 TN 38118 601 Single family detached 11185463 IL 60162 671 Single family detached 11181047 NJ 8865 665 Single family detached 11190290 LA 70725 626 Single family detached 11200926 IL 60433 642 Single family detached 11195398 CA 94531 739 Single family detached 11192714 CA 92054 632 Single family detached 11191232 RI 2908 605 Single family detached 11178603 CA 92881 669 Single family detached 11158319 NY 11208 791 Single family detached 11186263 NY 10472 589 Duplex 11178940 CA 94565 689 Single family detached 11205428 IL 60422 671 Single family detached 11179101 CA 90604 643 Single family detached 11206596 MS 39563 615 Single family detached 11214350 CA 93033 622 Single family detached 11221383 CA 91344 655 Single family detached 11207946 FL 33602 616 Single family detached 11221992 RI 2888 629 Single family detached 11215761 CA 91423 659 Duplex 11195546 OR 97305 581 Single family detached 11203292 CA 95128 597 Single family detached 11217651 IL 60453 684 Condominium 11205917 TN 37082 614 Single family detached 11216058 CA 90004 752 Condominium 11217359 CA 95206 749 Single family detached 11193605 CA 96073 683 Single family detached 11216840 MA 2148 659 Duplex 11214647 WA 98252 592 Single family detached 11213615 WA 98012 608 PUD single family( Detached) 11228799 CA 92057 671 PUD single family( Detached) 11206042 CA 95829 699 Single family detached 11210918 WA 98001 661 Condominium 11196554 CA 92404 628 Single family detached 11232763 VA 22407 639 Single family detached 11193806 TX 78218 676 Single family detached 11198735 MA 2152 620 Condominium 11187273 CA 93041 659 Condominium 11205392 CA 95687 753 PUD single family( Detached) 11199670 CA 90623 614 Single family detached 11222522 CA 94531 674 Single family detached 11202499 NJ 7107 625 Single family detached 11218489 MD 20602 679 PUD single family( Detached) 11214381 CA 92057 678 PUD single family( Detached) 11211284 CA 95204 731 Single family detached 11219098 TX 75013 652 PUD single family( Detached) 11221936 FL 34758 583 PUD single family( Detached) 11210461 MD 20747 735 Single family detached 11212520 LA 71111 625 Single family detached 11181578 CA 93720 629 Single family detached 11230397 MT 59602 599 Single family detached 11224740 TX 75116 587 Single family detached 11213458 TX 77433 666 PUD single family( Detached) 11195754 FL 33410 709 PUD project ( Attached) 11161770 NV 89130 601 PUD single family( Detached) 11195488 MD 20707 693 Single family detached 11193752 CA 93304 594 Single family detached 11218196 CA 92399 651 Single family detached 11187519 NY 12590 710 Single family detached 11194333 CA 92553 709 Single family detached 11220235 MO 65807 601 Single family detached 11201082 TX 75081 580 Single family detached 11169429 VA 22602 641 PUD single family( Detached) 11228339 IL 60402 742 Single family detached 11213717 TX 77469 615 PUD single family( Detached) 11224794 TX 76010 581 PUD single family( Detached) 11194216 NJ 7093 686 Duplex 11219855 NC 28465 664 Single family detached 11221545 CA 93923 650 Condominium 11228299 NJ 7522 677 Duplex 11225727 MO 65806 611 Single family detached 11219834 CA 91602 754 Single family detached 11204211 TX 77080 609 Single family detached 11197755 CO 80906 596 Single family detached 11232830 CA 90710 704 Condominium 11208450 NH 3842 669 Single family detached 11211174 NY 11420 615 Single family detached 11220081 MD 20710 684 Single family detached 11195991 ID 83869 598 Single family detached 11200437 CA 91355 602 PUD single family( Detached) 11222061 CA 92555 726 Single family detached 11233602 MD 20871 657 PUD project ( Attached) 11203187 IL 60617 589 PUD project ( Attached) 11199269 CA 92553 612 Single family detached 11213916 VA 23701 657 Single family detached 11214694 CA 92411 695 Single family detached 11204645 CA 92392 612 Single family detached 11176856 CA 91762 648 Condominium 11219893 CA 92503 650 Single family detached 11216378 MS 39218 585 Single family detached 11171643 CA 94591 640 PUD single family( Detached) 11197740 WA 98023 615 Single family detached 11205465 WA 98036 644 Single family detached 11223865 VA 22193 661 Single family detached 11224801 CA 92703 696 Single family detached 11225168 AZ 85206 739 Condominium 11219667 CA 92882 676 PUD project ( Attached) 11205319 TX 77708 622 Single family detached 11193377 CA 94014 674 Single family detached 11218208 LA 71301 607 Single family detached 11180658 IL 60621 647 Condominium 11206144 FL 32244 681 PUD single family( Detached) 11222417 CA 91748 686 Single family detached 11212324 VA 22554 718 PUD project ( Attached) 11226076 VA 20170 766 PUD single family( Detached) 11184657 ID 83687 696 PUD single family( Detached) 11221585 IL 60440 630 Single family detached 11212015 AR 72150 590 Single family detached 11162587 CT 6606 653 Single family detached 11196883 CA 94103 780 Single family 4 unit 11175986 CA 95212 709 Single family detached 11203853 RI 2831 694 Single family detached 11217410 CA 93444 627 PUD project ( Attached) 11213596 TX 77536 659 Single family detached 11213632 CA 90062 770 Single family detached 11211872 FL 32119 661 Single family detached 11221654 FL 33544 615 PUD single family( Detached) 11208692 CA 91977 708 Single family detached 11189656 MA 1420 650 Duplex 11194777 NY 11434 640 Duplex 11227539 CA 92337 665 Single family detached 11227250 TX 77386 590 PUD single family( Detached) 11195339 IL 60014 683 Single family detached 11228695 WA 98001 679 PUD single family( Detached) 11227408 PA 15042 640 Single family detached 11202169 AZ 85242 616 PUD single family( Detached) 11229475 MO 63090 672 Single family detached 11211204 NV 89015 633 PUD single family( Detached) 11210671 CA 95210 674 Single family detached 11209270 CA 95037 715 PUD project ( Attached) 11220227 CA 91326 740 PUD single family( Detached) 11221258 FL 34743 674 PUD single family( Detached) 11209975 CA 95843 662 Single family detached 11222862 CA 95695 688 Single family detached 11211155 NY 11580 611 Single family detached 11164180 CA 91766 712 Duplex 11168105 CA 94928 625 Single family detached 11221844 CA 92253 609 Single family detached 11195156 IL 60629 661 Single family detached 11187339 CA 95823 668 Single family detached 11212054 VA 22193 652 PUD project ( Attached) 11221646 NM 87144 643 PUD single family( Detached) 11194317 CA 90746 640 Single family detached 11210763 TX 78597 651 Condominium 11218684 TX 75080 607 Single family detached 11220426 CA 93446 640 Single family detached 11216326 VA 20120 752 Condominium 11220382 TX 75071 618 PUD single family( Detached) 11206430 IL 60639 706 Single family detached 11209448 CA 93550 679 Single family detached 11215277 CA 91326 629 Single family detached 11212099 UT 84041 615 Single family detached 11212302 CA 92201 596 PUD single family( Detached) 11193952 CA 91402 730 Condominium 11195677 CA 94804 608 Single family detached 11218284 CA 93634 598 Single family detached 11193775 CA 92345 677 Single family detached 11205836 NV 89031 621 Single family detached 11203021 CA 90031 663 Single family detached 11233402 MA 1960 724 Single family detached 11224120 CA 90717 669 Single family detached 11214284 CA 93458 630 Single family detached 11217783 WA 98208 703 Single family detached 11214196 WA 98043 630 Single family detached 11205302 MD 20851 651 Single family detached 11229463 AZ 85308 631 Single family detached 11211518 TX 77545 655 PUD single family( Detached) 11149974 NJ 7624 612 Single family detached 11206081 CA 91307 629 Condominium 11165170 NY 11550 664 Single family detached 11217378 CA 95210 637 Single family detached 11197990 LA 70538 630 Single family detached 11221408 MD 20601 702 PUD project ( Attached) 11219360 CA 91710 685 Single family detached 11208520 WA 98092 693 Single family detached 11212403 IL 60457 645 Condominium 11206433 NV 89030 667 Single family detached 11209863 CA 92703 615 Condominium 11213707 VA 22312 639 Condominium 11201729 CA 95206 675 Single family detached 11212344 CA 94801 635 Single family detached 11236632 NV 89503 639 Single family detached 11191919 CA 93010 684 Single family detached 11211594 ID 83454 639 Single family detached 11214346 CA 91724 602 Condominium 11178502 CA 90265 636 Condominium 11203859 FL 33314 665 Condominium 11210032 TX 77389 645 PUD single family( Detached) 11198705 CT 6614 630 Duplex 11211244 WA 98055 705 Condominium 11199719 OR 97038 720 Single family detached 11203454 WA 98042 634 Single family detached 11206551 CA 91744 676 Single family detached 11213659 CA 92128 669 Condominium 11182321 OR 97132 593 Single family detached 11205175 NJ 8234 624 Single family detached 11216639 VA 22030 665 Condominium 11191654 NV 89141 775 PUD single family( Detached) 11215046 WA 98058 711 Condominium 11198149 NY 11803 715 Single family detached 11227312 TX 75762 622 Single family detached 11221113 CA 92071 650 Single family detached 11200022 VA 22026 636 PUD project ( Attached) 11209928 WA 98225 586 Single family detached 11212221 CA 92883 616 PUD single family( Detached) 11225415 PA 19465 640 Single family detached 11210121 CA 94544 628 PUD project ( Attached) 11202304 CA 90240 730 Single family detached 11202260 CA 93510 685 Single family detached 11199375 CA 91355 705 Single family detached 11188759 CA 93543 662 Single family detached 11221862 CA 93536 595 Single family detached 11206351 WA 98003 669 Single family detached 11205971 NY 11756 633 Single family detached 11207099 IL 62651 640 Single family detached 11189057 AZ 85018 659 Single family detached 11195695 MA 1775 660 Single family detached 11213697 CA 92240 618 Single family detached 11194874 NC 27018 813 Single family detached 11213360 ID 83703 636 PUD single family( Detached) 11199967 CA 92262 580 Condominium 11193107 ID 83686 669 PUD single family( Detached) 11221376 TX 75034 713 PUD project ( Attached) 11166020 WV 26505 644 Single family detached 11137919 CA 92223 741 PUD single family( Detached) 11190157 CA 90255 729 Single family detached 11200620 CA 95124 774 Single family detached 11205655 NY 11553 646 Single family detached 11213721 CA 95307 633 Single family detached 11201223 FL 32433 602 Single family detached 11220462 CA 91744 724 Single family detached 11216097 LA 70068 603 Single family detached 11212363 OK 73013 600 Single family detached 11227678 CA 91406 743 Condominium 11193149 OR 97504 617 Single family detached 11215984 NY 11435 703 Single family detached 11205598 CT 6451 590 Single family detached 11223319 CO 81501 620 Condominium 11178409 IL 60543 589 Single family detached 11182088 MA 2301 703 Duplex 11222157 VA 23453 630 PUD project ( Attached) 11220241 CA 92507 630 Single family detached 11198593 CA 91723 730 Single family detached 11210233 VA 20191 613 PUD project ( Attached) 11218382 CA 92868 612 PUD project ( Attached) 11221750 CA 90002 661 Single family detached 11220632 NY 11772 643 Single family detached 11205679 MD 21701 624 Single family detached 11224636 TX 75224 731 Single family detached 11202318 CA 92335 721 Single family detached 11207204 MD 20784 588 Single family detached 11201031 TX 76116 585 Single family detached 11196103 CA 90031 740 Duplex 11208941 CA 91340 621 Single family detached 11216732 CA 91101 657 Condominium 11212199 VA 22003 737 Condominium 11223493 WA 98409 630 Single family detached 11198053 CA 91911 595 Single family detached 11218363 TX 76053 713 Single family detached 11202244 TX 77041 736 PUD single family( Detached) 11217527 WA 98144 648 Condominium 11223517 CA 92870 602 PUD single family( Detached) 11203983 VA 22193 658 Single family detached 11210800 MD 21740 647 Single family 4 unit 11230561 WY 82636 590 Single family detached 11215828 CO 81201 619 Single family detached 11210421 LA 71360 602 Single family detached 11218504 CA 91301 660 Condominium 11213371 TX 78046 628 Single family detached 11216142 FL 33903 735 Single family detached 11211446 CA 95148 723 Single family detached 11201981 IN 46517 585 Single family detached 11227747 GA 30039 716 PUD single family( Detached) 11221719 CA 94531 630 Single family detached 11212098 CA 91702 784 Single family detached 11217698 MD 20706 678 Single family detached 11207047 AZ 85382 586 PUD single family( Detached) 11228430 VA 22942 722 Single family detached 11210355 TX 77515 551 Single family detached 11224169 NJ 7017 593 Single family detached 11202110 CA 92392 732 Single family detached 11210645 NV 89014 690 PUD project ( Attached) 11212393 WA 99205 678 Single family detached 11196439 LA 70774 674 Single family detached 11212134 TX 77459 662 PUD single family( Detached) 11195705 MA 2045 611 Single family detached 11197004 CA 91351 650 Single family detached 11195425 WA 98059 661 PUD single family( Detached) 11214416 CA 94534 631 Single family detached 11211248 VA 22312 680 Condominium 11196780 MD 20851 642 Single family detached 11222824 VA 23462 712 Single family detached 11192708 NJ 8816 628 Single family detached 11233320 MD 20708 671 Single family detached 11198753 MA 1844 669 Condominium 11202480 ME 3904 612 Single family detached 11208960 WA 98375 581 PUD single family( Detached) 11199352 KS 67056 594 Single family detached 11220448 CA 91342 733 Single family detached 11198057 CA 90240 618 Single family detached 11216464 CA 95377 651 Single family detached 11207046 CA 92234 689 Single family detached 11179412 CA 92410 647 Single family detached 11205431 IN 46806 584 Single family detached 11208507 TX 76248 642 PUD single family( Detached) 11201474 OK 74011 648 Single family detached 11225131 CO 80260 610 Single family detached 11214868 MA 2302 637 Single family detached 11210543 NM 87110 684 Single family detached 11180162 NV 89108 688 Condominium 11203866 MA 1850 676 Single family detached 11221098 CA 93041 626 PUD single family( Detached) 11204045 MD 20743 635 Single family detached 11192130 IL 60137 693 Single family detached 11198161 NY 10928 647 Single family detached 11227242 MI 49525 614 Single family detached 11203547 AZ 85037 692 PUD single family( Detached) 11212810 CA 92374 595 Single family detached 11221567 CA 91367 590 Condominium 11220186 SC 29059 640 Single family detached 11223272 CA 92336 604 Single family detached 11219382 TX 78412 643 Single family detached 11144272 CA 94513 603 Single family detached 11160332 CA 93550 675 Condominium 11149374 TX 76109 644 Single family detached 11163004 ID 83854 692 Single family detached 11173107 NY 12566 611 Single family detached 11176868 NY 10312 571 Duplex 11166197 CA 93728 612 Condominium 11172375 CA 94572 621 Single family detached 11172982 CA 91737 612 Single family detached 11185710 TX 76248 650 PUD single family( Detached) 11186131 WY 82801 721 Single family detached 11190648 NY 11717 632 Single family detached 11203051 MO 64126 638 Single family detached 11167232 NY 11215 729 Triplex 11198343 TX 75032 600 Single family detached 11197778 CA 92337 618 Single family detached 11177708 MI 48162 663 Single family detached 11216094 NY 11717 757 Single family detached 11212855 MD 21231 757 Single family detached 11191966 CA 95242 652 Condominium 11197131 CA 90260 636 Triplex 11204040 KS 66109 587 PUD single family( Detached) 11216792 FL 33461 677 Condominium 11200712 NY 10312 686 Single family detached 11232850 CA 94533 658 Single family detached 11218841 NV 89121 661 Condominium 11197142 TX 75001 600 Single family detached 11206835 CA 90044 668 Single family detached 11216672 WA 98106 735 PUD project ( Attached) 11214633 CA 90018 602 Single family detached 11189382 IL 60181 669 Single family detached 11177465 CA 91911 669 Condominium 11211242 CA 95207 648 PUD single family( Detached) 11199607 CA 91367 663 Condominium 11211057 CA 91352 640 Duplex 11228429 TX 75232 693 Single family detached 11215766 CA 91324 709 Single family detached 11206569 CA 95111 685 PUD single family( Detached) 11231190 WA 98117 710 Single family detached 11200998 CA 95020 636 Single family detached 11224780 FL 33035 681 Single family detached 11201656 WA 98223 658 Condominium 11223414 CA 92394 627 Single family detached 11209406 NY 11429 631 Single family detached 11209247 CA 93552 588 Single family detached 11202206 CA 90405 757 Condominium 11221089 VA 22405 748 PUD single family( Detached) 11199605 TX 78251 591 PUD single family( Detached) 11208562 CA 92879 592 PUD single family( Detached) 11198140 CA 90043 646 Single family detached 11208703 WA 98038 602 Single family detached 11188905 CA 90731 656 Single family detached 11215599 CA 92592 704 PUD single family( Detached) 11165783 NY 11590 621 Single family detached 11200751 ID 83702 632 Single family detached 11207263 NV 89015 630 PUD single family( Detached) 11197822 CA 94526 659 PUD single family( Detached) 11227995 TX 78247 636 PUD single family( Detached) 11200546 OR 97024 589 Single family detached 11208313 MA 1851 664 Single family detached 11211633 PA 17110 650 Single family detached 11224252 CA 92110 612 Condominium 11212668 WA 98032 588 Condominium 11234979 FL 33055 694 PUD project ( Attached) 11193638 NJ 8807 637 Single family detached 11211321 CA 90016 723 Single family detached 11230796 TX 77031 663 PUD single family( Detached) 11222333 CA 94521 661 Single family detached 11221401 IL 60172 609 Condominium 11225338 FL 34769 662 Single family detached 11214156 FL 32174 622 Single family detached 11209722 WI 53233 589 Single family detached 11228937 MS 38654 588 Single family detached 11210500 VA 22041 745 Single family detached 11203403 TX 77084 593 PUD single family( Detached) 11220879 NV 89015 673 PUD single family( Detached) 11222228 OR 97503 628 Single family detached 11215724 CA 90047 704 Duplex 11212622 FL 33015 635 PUD single family( Detached) 11226884 CA 93552 599 Condominium 11187995 NY 11550 665 Single family detached 11209900 CA 91406 632 Single family detached 11194230 NY 11722 655 Single family detached 11212782 IL 60077 708 Single family detached 11216603 CA 92056 622 Single family detached 11206608 SC 29617 625 Single family detached 11216356 CA 94561 653 Single family detached 11203237 LA 70433 614 Single family detached 11213394 MO 63775 682 Single family detached 11203005 TX 77707 615 Single family detached 11234508 CA 93033 698 Condominium 11203860 WI 53158 677 Single family detached 11222505 CA 94550 756 Single family detached 11208954 CA 92376 700 Single family detached 11209140 CT 6516 685 Condominium 11200697 CA 94531 605 Single family detached 11204346 GA 30157 680 PUD single family( Detached) 11220124 ME 4076 595 Single family detached 11216009 AZ 85028 689 Single family detached 11212153 NV 89119 689 Single family detached 11216024 WI 53105 672 Single family detached 11215619 MO 63121 717 Single family 4 unit 11212713 TX 76248 702 PUD single family( Detached) 11226789 CA 90303 651 Single family detached 11211941 CA 92407 694 Single family detached 11202982 CA 92805 634 Single family detached 11223312 CA 93012 600 Single family detached 11182041 LA 70810 655 Single family detached 11226658 CA 93552 634 Single family detached 11214125 CA 90221 664 Single family detached 11211994 CA 92504 731 Single family detached 11206469 WA 98042 705 Single family detached 11202437 CA 95491 699 PUD project ( Attached) 11205297 OR 97415 648 Single family detached 11203645 NV 89119 612 Single family detached 11207624 CA 92270 626 Condominium 11199668 CA 90042 680 Single family detached 11223914 CA 95123 612 Condominium 11213574 CA 92551 814 Single family detached 11200430 CA 96118 588 PUD single family( Detached) 11210766 TX 76135 710 PUD single family( Detached) 11215070 GA 30066 718 Single family detached 11228957 AZ 85204 632 Single family detached 11184323 IL 60638 638 Condominium 11214967 FL 32641 624 Single family detached 11199007 CA 94603 785 Single family detached 11219547 CA 94134 791 Single family detached 11232610 CA 93442 682 Single family detached 11216572 CA 91406 703 Single family detached 11139942 NJ 7109 697 Single family detached 11167392 NY 11798 678 Single family detached 11213978 FL 33433 707 PUD project ( Attached) 11211768 CT 6095 727 Duplex 11212807 CA 94514 614 Single family detached 11229080 CA 91042 687 Single family detached 11217779 NY 11423 737 Single family detached 11231755 MA 1108 678 Duplex 11209570 TX 77478 691 PUD single family( Detached) 11208332 CA 90660 687 Single family detached 11233596 VA 22193 658 PUD project ( Attached) 11223525 IN 46324 606 Single family detached 11208694 MT 59602 677 Single family detached Loanid OCC DOC - 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Stated/Stated ) 11193147 Primary Full ( w2 & Tax Returns) 11203115 Primary Full ( w2 & Tax Returns) 11199349 Primary Full ( w2 & Tax Returns) 11149975 Primary Full ( w2 & Tax Returns) 11200727 Primary Limited ( 12 Months Bank Statements) 11183173 Primary Stated ( Stated/Stated ) 11212934 Second/Vacation Lite ( 6 Months Bank Statements) 11200202 Primary Full ( w2 & Tax Returns) 11193398 Second/Vacation Full ( w2 & Tax Returns) 11221498 Primary Stated ( Stated/Stated ) 11229012 Primary Streamlined - Stated ( PITI Verified) 11174601 Primary Streamlined - Stated ( PITI Verified) 11222232 Primary Full ( w2 & Tax Returns) 11200815 Primary Full ( w2 & Tax Returns) 11208158 Primary Limited ( 12 Months Bank Statements) 11198437 Primary Limited ( 12 Months Bank Statements) 11194655 Primary Stated ( Stated/Stated ) 11227055 Second/Vacation Limited ( 12 Months Bank Statements) 11223026 Primary Full ( w2 & Tax Returns) 11208511 Primary Limited ( 12 Months Bank Statements) 11217985 Primary 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Streamlined - Stated ( PITI Verified) 11205817 Primary Full ( w2 & Tax Returns) 11208438 Primary Lite ( 6 Months Bank Statements) 11220310 Primary Stated ( Stated/Stated ) 11210994 Primary Limited ( 12 Months Bank Statements) 11197791 Primary Streamlined - Stated ( PITI Verified) 11164646 Primary Streamlined - Stated ( PITI Verified) 11219037 Primary Streamlined - Stated ( PITI Verified) 11220802 Primary Streamlined - Stated ( PITI Verified) 11231417 Primary Full ( w2 & Tax Returns) 11153248 Primary Lite ( 6 Months Bank Statements) 11228388 Primary Full ( w2 & Tax Returns) 11212179 Primary Full ( w2 & Tax Returns) 11148162 Primary Full ( w2 & Tax Returns) 11204021 Primary Stated ( Stated/Stated ) 11226220 Primary Limited ( 12 Months Bank Statements) 11210945 Investment Stated ( Stated/Stated ) 11162780 Primary Full ( w2 & Tax Returns) 11205440 Primary Limited ( 12 Months Bank Statements) 11219731 Primary Stated ( Stated/Stated ) 11216546 Primary Streamlined - Stated ( PITI Verified) 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Stated/Stated ) 11206685 Primary Full ( w2 & Tax Returns) 11209186 Primary Stated ( Stated/Stated ) 11207065 Primary Streamlined - Stated ( PITI Verified) 11223684 Primary Full ( w2 & Tax Returns) 11169481 Primary Stated ( Stated/Stated ) 11217734 Primary Limited ( 12 Months Bank Statements) 11211224 Primary Full ( w2 & Tax Returns) 11194929 Primary Full ( w2 & Tax Returns) 11219470 Primary Streamlined - Stated ( PITI Verified) 11228404 Primary Full ( w2 & Tax Returns) 11207354 Primary Streamlined - Stated ( PITI Verified) 11221391 Primary Streamlined - Stated ( PITI Verified) 11211036 Primary Full ( w2 & Tax Returns) 11222468 Second/Vacation Streamlined - Stated ( PITI Verified) 11210544 Primary Stated ( Stated/Stated ) 11216118 Primary Full ( w2 & Tax Returns) 11191003 Primary Full ( w2 & Tax Returns) 11199066 Primary Full ( w2 & Tax Returns) 11200289 Primary Full ( w2 & Tax Returns) 11203506 Primary Full ( w2 & Tax Returns) 11208383 Investment Full ( w2 & Tax Returns) 11196621 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Stated ( Stated/Stated ) 11137718 Primary Full ( w2 & Tax Returns) 11155647 Primary Streamlined - Stated ( PITI Verified) 11158960 Primary Full ( w2 & Tax Returns) 11130873 Primary Full ( w2 & Tax Returns) 11128094 Primary Full ( w2 & Tax Returns) 11159212 Primary Full ( w2 & Tax Returns) 11159256 Primary Full ( w2 & Tax Returns) 11166547 Primary Full ( w2 & Tax Returns) 11152371 Primary Full ( w2 & Tax Returns) 11165289 Primary Limited ( 12 Months Bank Statements) 11180445 Primary Streamlined - Stated ( PITI Verified) 11170934 Primary Streamlined - Stated ( PITI Verified) 11172338 Primary Streamlined - Stated ( PITI Verified) 11157501 Primary Streamlined - Stated ( PITI Verified) 11167988 Primary Full ( w2 & Tax Returns) 11171304 Primary Streamlined - Stated ( PITI Verified) 11132450 Primary Full ( w2 & Tax Returns) 11169134 Primary Streamlined - Stated ( PITI Verified) 11169869 Primary Full ( w2 & Tax Returns) 11181813 Primary Full ( w2 & Tax Returns) 11173409 Primary Streamlined - Stated ( PITI Verified) 11173326 Primary Full ( w2 & Tax Returns) 11175177 Primary Limited ( 12 Months Bank Statements) 11183229 Primary Streamlined - Stated ( PITI Verified) 11174724 Primary Full ( w2 & Tax Returns) 11176053 Primary Full ( w2 & Tax Returns) 11182499 Primary Full ( w2 & Tax Returns) 11170222 Primary Full ( w2 & Tax Returns) 11176454 Primary Streamlined - Stated ( PITI Verified) 11184006 Primary Full ( w2 & Tax Returns) 11159336 Primary Full ( w2 & Tax Returns) 11176883 Primary Full ( w2 & Tax Returns) 11183308 Primary Streamlined - Stated ( PITI Verified) 11173336 Primary Lite ( 6 Months Bank Statements) 11184666 Primary Limited ( 12 Months Bank Statements) 11186169 Primary Stated ( Stated/Stated ) 11160161 Primary Full ( w2 & Tax Returns) 11188601 Primary Limited ( 12 Months Bank Statements) 11166411 Primary Full ( w2 & Tax Returns) 11174278 Primary Lite ( 6 Months Bank Statements) 11125459 Primary Streamlined - Stated ( PITI Verified) 11182326 Primary Streamlined - Stated ( PITI Verified) 11167651 Primary Full-alt ( 24 Months Bank Statements) 11186471 Primary Streamlined - Stated ( PITI Verified) 11148174 Primary Limited ( 12 Months Bank Statements) 11161108 Primary Limited ( 12 Months Bank Statements) 11183055 Primary Full ( w2 & Tax Returns) 11176646 Primary Streamlined - Stated ( PITI Verified) 11186962 Primary Full ( w2 & Tax Returns) 11190775 Primary Full-alt ( 24 Months Bank Statements) 11195274 Primary Streamlined - Stated ( PITI Verified) 11170954 Primary Full ( w2 & Tax Returns) 11183747 Primary Full ( w2 & Tax Returns) 11182256 Primary Streamlined - Stated ( PITI Verified) 11141764 Primary Limited ( 12 Months Bank Statements) 11186231 Primary Limited ( 12 Months Bank Statements) 11182579 Primary Streamlined - Stated ( PITI Verified) 11198828 Primary Limited ( 12 Months Bank Statements) 11192858 Primary Streamlined - Stated ( PITI Verified) 11191021 Primary Streamlined - Stated ( PITI Verified) 11201289 Primary Streamlined - Stated ( PITI Verified) 11197928 Primary Streamlined - Stated ( PITI Verified) 11188322 Primary Streamlined - Stated ( PITI Verified) 11191691 Primary Streamlined - Stated ( PITI Verified) 11195632 Primary Streamlined - Stated ( PITI Verified) 11181321 Primary Limited ( 12 Months Bank Statements) 11188365 Primary Limited ( 12 Months Bank Statements) 11194484 Primary Streamlined - Stated ( PITI Verified) 11191262 Primary Streamlined - Stated ( PITI Verified) 11198830 Primary Streamlined - Stated ( PITI Verified) 11185138 Primary Streamlined - Stated ( PITI Verified) 11185465 Primary Full ( w2 & Tax Returns) 11198814 Primary Full ( w2 & Tax Returns) 11168534 Primary Limited ( 12 Months Bank Statements) 11205880 Primary Streamlined - Stated ( PITI Verified) 11155628 Primary Streamlined - Stated ( PITI Verified) 11196933 Primary Streamlined - Stated ( PITI Verified) 11201376 Primary Full ( w2 & Tax Returns) 11185208 Primary Streamlined - Stated ( PITI Verified) 11190757 Primary Full ( w2 & Tax 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Streamlined - Stated ( PITI Verified) 11221711 Primary Limited ( 12 Months Bank Statements) 11229518 Primary Full ( w2 & Tax Returns) 11220886 Primary Streamlined - Stated ( PITI Verified) 11211753 Primary Full ( w2 & Tax Returns) 11218525 Primary Streamlined - Stated ( PITI Verified) 11220711 Primary Limited ( 12 Months Bank Statements) 11199161 Primary Full ( w2 & Tax Returns) 11208750 Primary Streamlined - Stated ( PITI Verified) 11214610 Primary Limited ( 12 Months Bank Statements) 11204869 Primary Full ( w2 & Tax Returns) 11210573 Primary Streamlined - Stated ( PITI Verified) 11193027 Primary Streamlined - Stated ( PITI Verified) 11208713 Primary Full ( w2 & Tax Returns) 11212228 Primary Full ( w2 & Tax Returns) 11208052 Primary Lite ( 6 Months Bank Statements) 11183460 Primary Stated ( Stated/Stated ) 11210361 Primary Streamlined - Stated ( PITI Verified) 11212894 Primary Streamlined - Stated ( PITI Verified) 11226735 Primary Streamlined - Stated ( PITI Verified) 11202377 Primary Streamlined - Stated ( PITI Verified) 11213310 Primary Full ( w2 & Tax Returns) 11205326 Primary Full ( w2 & Tax Returns) 11186007 Primary Full ( w2 & Tax Returns) 11208926 Primary Full ( w2 & Tax Returns) 11227452 Primary Full ( w2 & Tax Returns) 11216789 Primary Streamlined - Stated ( PITI Verified) 11221837 Primary Full ( w2 & Tax Returns) 11214424 Primary Full ( w2 & Tax Returns) 11196937 Primary Streamlined - Stated ( PITI Verified) 11204699 Primary Streamlined - Stated ( PITI Verified) 11220570 Primary Streamlined - Stated ( PITI Verified) 11218091 Primary Limited ( 12 Months Bank Statements) 11184945 Primary Full ( w2 & Tax Returns) 11221499 Primary Streamlined - Stated ( PITI Verified) 11192047 Primary Full ( w2 & Tax Returns) 11215648 Primary Streamlined - Stated ( PITI Verified) 11225273 Primary Streamlined - Stated ( PITI Verified) 11201319 Primary Full ( w2 & Tax Returns) 11223850 Primary Streamlined - Stated ( PITI Verified) 11214564 Primary Full ( w2 & Tax Returns) 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PITI Verified) 11217339 Primary Full ( w2 & Tax Returns) 11202689 Primary Limited ( 12 Months Bank Statements) 11176044 Second/Vacation Full ( w2 & Tax Returns) 11187856 Primary Full ( w2 & Tax Returns) 11200480 Primary Streamlined - Stated ( PITI Verified) 11195427 Primary Limited ( 12 Months Bank Statements) 11215332 Primary Streamlined - Stated ( PITI Verified) 11215780 Primary Streamlined - Stated ( PITI Verified) 11238130 Primary Streamlined - Stated ( PITI Verified) 11158719 Primary Streamlined - Stated ( PITI Verified) 11230582 Primary Full ( w2 & Tax Returns) 11188566 Primary Streamlined - Stated ( PITI Verified) 11219578 Primary Streamlined - Stated ( PITI Verified) 11230439 Primary Full ( w2 & Tax Returns) 11161271 Primary Full ( w2 & Tax Returns) 11214738 Primary Full ( w2 & Tax Returns) 11227112 Primary Streamlined - Stated ( PITI Verified) 11216599 Primary Full ( w2 & Tax Returns) 11211258 Primary Streamlined - Stated ( PITI Verified) 11222974 Primary Streamlined - Stated ( PITI Verified) 11214651 Primary Full ( w2 & Tax Returns) 11221513 Primary Limited ( 12 Months Bank Statements) 11213375 Primary Streamlined - Stated ( PITI Verified) 11183934 Primary Streamlined - Stated ( PITI Verified) 11216478 Primary Full ( w2 & Tax Returns) 11188981 Primary Full ( w2 & Tax Returns) 11230213 Primary Full ( w2 & Tax Returns) 11205821 Primary Full ( w2 & Tax Returns) 11228001 Primary Full ( w2 & Tax Returns) 11216452 Primary Full ( w2 & Tax Returns) 11209663 Primary Streamlined - Stated ( PITI Verified) 11226467 Primary Streamlined - Stated ( PITI Verified) 11210169 Primary Limited ( 12 Months Bank Statements) 11211097 Primary Full ( w2 & Tax Returns) 11211794 Primary Limited ( 12 Months Bank Statements) 11203872 Primary Streamlined - Stated ( PITI Verified) 11216345 Primary Streamlined - Stated ( PITI Verified) 11202208 Primary Full ( w2 & Tax Returns) 11199120 Primary Streamlined - Stated ( PITI Verified) 11221455 Primary Streamlined - Stated ( PITI Verified) 11196504 Primary Full ( w2 & Tax Returns) 11217831 Primary Limited ( 12 Months Bank Statements) 11217912 Primary Full ( w2 & Tax Returns) 11209652 Primary Streamlined - Stated ( PITI Verified) 11219800 Second/Vacation Streamlined - Stated ( PITI Verified) 11213397 Primary Full-alt ( 24 Months Bank Statements) 11210397 Primary Limited ( 12 Months Bank Statements) 11216908 Primary Limited ( 12 Months Bank Statements) 11219439 Primary Limited ( 12 Months Bank Statements) 11216108 Primary Full ( w2 & Tax Returns) 11214506 Primary Streamlined - Stated ( PITI Verified) 11213042 Primary Streamlined - Stated ( PITI Verified) 11215533 Primary Full ( w2 & Tax Returns) 11196150 Primary Full ( w2 & Tax Returns) 11214631 Primary Stated ( Stated/Stated ) 11206696 Primary Full ( w2 & Tax Returns) 11229863 Primary Lite ( 6 Months Bank Statements) 11201869 Primary Streamlined - Stated ( PITI Verified) 11206141 Primary Streamlined - Stated ( PITI Verified) 11216545 Primary Streamlined - Stated ( PITI Verified) 11221488 Primary Full ( w2 & Tax Returns) 11181523 Primary Streamlined - Stated ( PITI Verified) 11211444 Primary Limited ( 12 Months Bank Statements) 11219047 Primary Streamlined - Stated ( PITI Verified) 11205042 Second/Vacation Streamlined - Stated ( PITI Verified) 11199501 Second/Vacation Streamlined - Stated ( PITI Verified) 11214976 Primary Limited ( 12 Months Bank Statements) 11211177 Primary Limited ( 12 Months Bank Statements) 11193131 Primary Limited ( 12 Months Bank Statements) 11218963 Primary Full ( w2 & Tax Returns) 11186820 Primary Full ( w2 & Tax Returns) 11187468 Primary Full ( w2 & Tax Returns) 11219413 Primary Full ( w2 & Tax Returns) 11204414 Primary Streamlined - Stated ( PITI Verified) 11212898 Primary Streamlined - Stated ( PITI Verified) 11214604 Primary Streamlined - Stated ( PITI Verified) 11196295 Primary Full ( w2 & Tax Returns) 11223986 Primary Limited ( 12 Months Bank Statements) 11208338 Primary Streamlined - Stated ( PITI Verified) 11224755 Primary Streamlined - Stated ( PITI Verified) 11221467 Primary Limited ( 12 Months Bank Statements) 11206957 Primary Limited ( 12 Months Bank Statements) 11146754 Primary Full ( w2 & Tax Returns) 11221650 Primary Full ( w2 & Tax Returns) 11193470 Primary Full ( w2 & Tax Returns) 11215447 Primary Streamlined - Stated ( PITI Verified) 11195636 Second/Vacation Streamlined - Stated ( PITI Verified) 11180350 Primary Streamlined - Stated ( PITI Verified) 11206814 Primary Streamlined - Stated ( PITI Verified) 11194546 Primary Streamlined - Stated ( PITI Verified) 11218496 Primary Full ( w2 & Tax Returns) 11187428 Primary Full ( w2 & Tax Returns) 11216642 Primary Full ( w2 & Tax Returns) 11206494 Primary Streamlined - Stated ( PITI Verified) 11200294 Primary Full ( w2 & Tax Returns) 11215850 Primary Streamlined - Stated ( PITI Verified) 11201834 Primary Full ( w2 & Tax Returns) 11204785 Primary Streamlined - Stated ( PITI Verified) 11185458 Primary Streamlined - Stated ( PITI Verified) 11209759 Primary Streamlined - Stated ( PITI Verified) 11223348 Primary Limited ( 12 Months Bank Statements) 11219038 Primary Streamlined - Stated ( PITI Verified) 11208689 Primary Full ( w2 & Tax Returns) 11204293 Primary Limited ( 12 Months Bank Statements) 11190209 Primary Limited ( 12 Months Bank Statements) 11202456 Primary Full ( w2 & Tax Returns) 11165269 Primary Limited ( 12 Months Bank Statements) 11203294 Primary Full ( w2 & Tax Returns) 11213402 Primary Streamlined - Stated ( PITI Verified) 11222775 Primary Streamlined - Stated ( PITI Verified) 11168771 Primary Full ( w2 & Tax Returns) 11219428 Primary Full ( w2 & Tax Returns) 11212636 Primary Full ( w2 & Tax Returns) 11196048 Primary Full ( w2 & Tax Returns) 11217852 Primary Full ( w2 & Tax Returns) 11219471 Primary Streamlined - Stated ( PITI Verified) 11233414 Primary Full ( w2 & Tax Returns) 11218252 Primary Streamlined - Stated ( PITI Verified) 11197574 Primary Streamlined - Stated ( PITI Verified) 11221819 Second/Vacation Limited ( 12 Months Bank Statements) 11223994 Primary Limited ( 12 Months Bank Statements) 11214796 Primary Streamlined - Stated ( PITI Verified) 11200918 Primary Streamlined - Stated ( PITI Verified) 11207518 Primary Limited ( 12 Months Bank Statements) 11210825 Primary Full ( w2 & Tax Returns) 11209656 Primary Full ( w2 & Tax Returns) 11207741 Primary Streamlined - Stated ( PITI Verified) 11223241 Primary Streamlined - Stated ( PITI Verified) 11215356 Primary Limited ( 12 Months Bank Statements) 11208804 Primary Streamlined - Stated ( PITI Verified) 11200624 Primary Limited ( 12 Months Bank Statements) 11231053 Primary Streamlined - Stated ( PITI Verified) 11226405 Primary Streamlined - Stated ( PITI Verified) 11214586 Primary Streamlined - Stated ( PITI Verified) 11215806 Primary Full ( w2 & Tax Returns) 11184499 Primary Full ( w2 & Tax Returns) 11136727 Primary Stated ( Stated/Stated ) 11197359 Primary Streamlined - Stated ( PITI Verified) 11217435 Primary Full ( w2 & Tax Returns) 11224049 Primary Full ( w2 & Tax Returns) 11226420 Primary Full ( w2 & Tax Returns) 11213108 Primary Streamlined - Stated ( PITI Verified) 11233210 Primary Full ( w2 & Tax Returns) 11235512 Primary Full ( w2 & Tax Returns) 11205675 Primary Full ( w2 & Tax Returns) 11226316 Primary Streamlined - Stated ( PITI Verified) 11216261 Primary Full ( w2 & Tax Returns) 11204121 Primary Limited ( 12 Months Bank Statements) 11192147 Primary Streamlined - Stated ( PITI Verified) 11214916 Primary Limited ( 12 Months Bank Statements) 11200965 Primary Streamlined - Stated ( PITI Verified) 11221502 Primary Full ( w2 & Tax Returns) 11206688 Primary Full ( w2 & Tax Returns) 11212926 Primary Full ( w2 & Tax Returns) 11210706 Primary Full ( w2 & Tax Returns) 11197867 Primary Full ( w2 & Tax Returns) 11170187 Primary Full ( w2 & Tax Returns) 11190474 Primary Streamlined - Stated ( PITI Verified) 11191672 Primary Streamlined - Stated ( PITI Verified) 11207839 Primary Full ( w2 & Tax Returns) 11214317 Primary Lite ( 6 Months Bank Statements) 11205095 Primary Streamlined - Stated ( PITI Verified) 11227009 Primary Full ( w2 & Tax Returns) 11229032 Primary Full ( w2 & Tax Returns) 11219027 Primary Limited ( 12 Months Bank Statements) 11194914 Primary Full ( w2 & Tax Returns) 11216275 Primary Streamlined - Stated ( PITI Verified) 11211811 Primary Streamlined - Stated ( PITI Verified) 11203585 Primary Full ( w2 & Tax Returns) 11227866 Primary Streamlined - Stated ( PITI Verified) 11227742 Primary Full ( w2 & Tax Returns) 11213538 Primary Lite ( 6 Months Bank Statements) 11211265 Primary Full ( w2 & Tax Returns) 11232972 Second/Vacation Full ( w2 & Tax Returns) 11228884 Primary Streamlined - Stated ( PITI Verified) 11210876 Primary Streamlined - Stated ( PITI Verified) 11222390 Primary Limited ( 12 Months Bank Statements) 11214980 Primary Limited ( 12 Months Bank Statements) 11212298 Primary Full ( w2 & Tax Returns) 11184426 Primary Full ( w2 & Tax Returns) 11213112 Primary Full ( w2 & Tax Returns) 11227465 Primary Full ( w2 & Tax Returns) 11221129 Primary Limited ( 12 Months Bank Statements) 11228266 Primary Full ( w2 & Tax Returns) 11211608 Primary Full ( w2 & Tax Returns) 11208745 Primary Streamlined - Stated ( PITI Verified) 11215928 Primary Full ( w2 & Tax Returns) 11221630 Primary Stated ( Stated/Stated ) 11195249 Primary Limited ( 12 Months Bank Statements) 11199584 Primary Full ( w2 & Tax Returns) 11213975 Primary Full ( w2 & Tax Returns) 11191096 Primary Full ( w2 & Tax Returns) 11203370 Primary Streamlined - Stated ( PITI Verified) 11218563 Primary Stated ( Stated/Stated ) 11221342 Primary Full ( w2 & Tax Returns) 11199864 Primary Full ( w2 & Tax Returns) 11202102 Primary Streamlined - Stated ( PITI Verified) 11191010 Primary Full ( w2 & Tax Returns) 11164064 Primary Limited ( 12 Months Bank Statements) 11216391 Primary Streamlined - Stated ( PITI Verified) 11194527 Primary Streamlined - Stated ( PITI Verified) 11169215 Primary Full ( w2 & Tax Returns) 11217860 Primary Full ( w2 & Tax Returns) 11215560 Primary Streamlined - Stated ( PITI Verified) 11212948 Primary Full ( w2 & Tax Returns) 11196158 Primary Limited ( 12 Months Bank Statements) 11207365 Primary Full ( w2 & Tax Returns) 11212291 Primary Full ( w2 & Tax Returns) 11212369 Primary Streamlined - Stated ( PITI Verified) 11224521 Primary Streamlined - Stated ( PITI Verified) 11184002 Primary Full ( w2 & Tax Returns) 11202800 Primary Lite ( 6 Months Bank Statements) 11218464 Primary Full ( w2 & Tax Returns) 11185496 Primary Full ( w2 & Tax Returns) 11223089 Primary Full ( w2 & Tax Returns) 11215201 Second/Vacation Limited ( 12 Months Bank Statements) 11211045 Primary Full ( w2 & Tax Returns) 11200737 Primary Full ( w2 & Tax Returns) 11217953 Primary Streamlined - Stated ( PITI Verified) 11203516 Second/Vacation Streamlined - Stated ( PITI Verified) 11215617 Primary Full ( w2 & Tax Returns) 11218077 Primary Streamlined - Stated ( PITI Verified) 11189300 Primary Full ( w2 & Tax Returns) 11200007 Primary Streamlined - Stated ( PITI Verified) 11180136 Primary Full ( w2 & Tax Returns) 11219167 Primary Full ( w2 & Tax Returns) 11210839 Primary Full ( w2 & Tax Returns) 11232989 Primary Full ( w2 & Tax Returns) 11204618 Primary Streamlined - Stated ( PITI Verified) 11210592 Primary Full ( w2 & Tax Returns) 11199992 Primary Limited ( 12 Months Bank Statements) 11218302 Second/Vacation Full ( w2 & Tax Returns) 11205446 Primary Full ( w2 & Tax Returns) 11203216 Primary Full ( w2 & Tax Returns) 11230468 Primary Full ( w2 & Tax Returns) 11205728 Primary Streamlined - Stated ( PITI Verified) 11209884 Primary Limited ( 12 Months Bank Statements) 11189091 Primary Full ( w2 & Tax Returns) 11181432 Primary Full ( w2 & Tax Returns) 11211314 Primary Full ( w2 & Tax Returns) 11205910 Primary Full ( w2 & Tax Returns) 11206633 Primary Full ( w2 & Tax Returns) 11213579 Primary Streamlined - Stated ( PITI Verified) 11227963 Primary Streamlined - Stated ( PITI Verified) 11206148 Primary Limited ( 12 Months Bank Statements) 11196462 Primary Streamlined - Stated ( PITI Verified) 11213294 Primary Full ( w2 & Tax Returns) 11218286 Primary Full ( w2 & Tax Returns) 11176608 Primary Streamlined - Stated ( PITI Verified) 11204312 Primary Limited ( 12 Months Bank Statements) 11214716 Primary Limited ( 12 Months Bank Statements) 11221013 Primary Full ( w2 & Tax Returns) 11219845 Primary Streamlined - Stated ( PITI Verified) 11212212 Primary Streamlined - Stated ( PITI Verified) 11209398 Primary Streamlined - Stated ( PITI Verified) 11222069 Primary Full ( w2 & Tax Returns) 11218528 Primary Full ( w2 & Tax Returns) 11218352 Primary Full ( w2 & Tax Returns) 11207916 Primary Streamlined - Stated ( PITI Verified) 11211473 Primary Full ( w2 & Tax Returns) 11201157 Primary Full ( w2 & Tax Returns) 11204501 Primary Full ( w2 & Tax Returns) 11209116 Primary Streamlined - Stated ( PITI Verified) 11184408 Primary Streamlined - Stated ( PITI Verified) 11207910 Primary Full ( w2 & Tax Returns) 11198614 Primary Full-alt ( 24 Months Bank Statements) 11232987 Primary Streamlined - Stated ( PITI Verified) 11223474 Primary Full ( w2 & Tax Returns) 11222631 Primary Streamlined - Stated ( PITI Verified) 11175947 Primary Limited ( 12 Months Bank Statements) 11208792 Primary Full ( w2 & Tax Returns) 11210736 Primary Streamlined - Stated ( PITI Verified) 11212602 Primary Full ( w2 & Tax Returns) 11224210 Primary Full ( w2 & Tax Returns) 11177979 Primary Full ( w2 & Tax Returns) 11198866 Primary Full ( w2 & Tax Returns) 11221058 Primary Limited ( 12 Months Bank Statements) 11228962 Primary Streamlined - Stated ( PITI Verified) 11208977 Primary Lite ( 6 Months Bank Statements) 11202734 Primary Full ( w2 & Tax Returns) 11206093 Primary Streamlined - Stated ( PITI Verified) 11203899 Primary Full ( w2 & Tax Returns) 11207563 Primary Full ( w2 & Tax Returns) 11224132 Primary Streamlined - Stated ( PITI Verified) 11220296 Primary Full ( w2 & Tax Returns) 11210020 Primary Streamlined - Stated ( PITI Verified) 11200665 Primary Streamlined - Stated ( PITI Verified) 11210026 Primary Streamlined - Stated ( PITI Verified) 11189671 Primary Full ( w2 & Tax Returns) 11199717 Primary Streamlined - Stated ( PITI Verified) 11227613 Primary Streamlined - Stated ( PITI Verified) 11229961 Primary Full ( w2 & Tax Returns) 11209552 Primary Streamlined - Stated ( PITI Verified) 11229219 Primary Streamlined - Stated ( PITI Verified) 11190698 Primary Stated ( Stated/Stated ) 11214257 Primary Limited ( 12 Months Bank Statements) 11223343 Primary Streamlined - Stated ( PITI Verified) 11231680 Primary Limited ( 12 Months Bank Statements) 11217173 Primary Streamlined - Stated ( PITI Verified) 11218114 Primary Streamlined - Stated ( PITI Verified) 11210059 Primary Streamlined - Stated ( PITI Verified) 11182471 Primary Limited ( 12 Months Bank Statements) 11205379 Primary Streamlined - Stated ( PITI Verified) 11210658 Primary Full ( w2 & Tax Returns) 11192033 Primary Limited ( 12 Months Bank Statements) 11222593 Primary Full ( w2 & Tax Returns) 11225060 Primary Full ( w2 & Tax Returns) 11184938 Second/Vacation Streamlined - Stated ( PITI Verified) 11212666 Primary Streamlined - Stated ( PITI Verified) 11179969 Primary Full ( w2 & Tax Returns) 11200994 Primary Full ( w2 & Tax Returns) 11232652 Primary Full ( w2 & Tax Returns) 11209029 Primary Full ( w2 & Tax Returns) 11236404 Primary Limited ( 12 Months Bank Statements) 11209459 Primary Streamlined - Stated ( PITI Verified) 11209568 Primary Full ( w2 & Tax Returns) 11211113 Primary Full ( w2 & Tax Returns) 11211597 Primary Streamlined - Stated ( PITI Verified) 11213863 Primary Streamlined - Stated ( PITI Verified) 11220487 Primary Limited ( 12 Months Bank Statements) 11220260 Primary Full ( w2 & Tax Returns) 11199210 Primary Streamlined - Stated ( PITI Verified) 11219764 Primary Full ( w2 & Tax Returns) 11200686 Primary Streamlined - Stated ( PITI Verified) 11213848 Primary Streamlined - Stated ( PITI Verified) 11193688 Primary Streamlined - Stated ( PITI Verified) 11223667 Primary Streamlined - Stated ( PITI Verified) 11138352 Primary Streamlined - Stated ( PITI Verified) 11217493 Primary Stated ( Stated/Stated ) 11211144 Primary Streamlined - Stated ( PITI Verified) 11211684 Second/Vacation Full ( w2 & Tax Returns) 11218010 Primary Full ( w2 & Tax Returns) 11214135 Primary Streamlined - Stated ( PITI Verified) 11209199 Second/Vacation Full ( w2 & Tax Returns) 11234095 Primary Streamlined - Stated ( PITI Verified) 11217932 Primary Streamlined - Stated ( PITI Verified) 11204580 Primary Full ( w2 & Tax Returns) 11217113 Primary Full ( w2 & Tax Returns) 11206122 Primary Full ( w2 & Tax Returns) 11203814 Primary Full ( w2 & Tax Returns) 11189727 Primary Full ( w2 & Tax Returns) 11210924 Primary Full ( w2 & Tax Returns) 11207194 Primary Full ( w2 & Tax Returns) 11223457 Primary Limited ( 12 Months Bank Statements) 11224081 Primary Full ( w2 & Tax Returns) 11214301 Primary Streamlined - Stated ( PITI Verified) 11210669 Primary Streamlined - Stated ( PITI Verified) 11206306 Primary Streamlined - Stated ( PITI Verified) 11206571 Primary Full ( w2 & Tax Returns) 11206994 Primary Full ( w2 & Tax Returns) 11174170 Primary Full ( w2 & Tax Returns) 11193339 Second/Vacation Full-alt ( 24 Months Bank Statements) 11230425 Primary Full ( w2 & Tax Returns) 11216092 Primary Full ( w2 & Tax Returns) 11188338 Primary Full ( w2 & Tax Returns) 11195272 Primary Full ( w2 & Tax Returns) 11199847 Primary Streamlined - Stated ( PITI Verified) 11216295 Primary Streamlined - Stated ( PITI Verified) 11194661 Primary Streamlined - Stated ( PITI Verified) 11233114 Primary Streamlined - Stated ( PITI Verified) 11211324 Primary Streamlined - Stated ( PITI Verified) 11222136 Primary Full ( w2 & Tax Returns) 11202035 Primary Full ( w2 & Tax Returns) 11204148 Primary Full ( w2 & Tax Returns) 11224850 Primary Full ( w2 & Tax Returns) 11194530 Primary Streamlined - Stated ( PITI Verified) 11181591 Primary Streamlined - Stated ( PITI Verified) 11215858 Primary Full ( w2 & Tax Returns) 11216988 Primary Full ( w2 & Tax Returns) 11198316 Primary Full ( w2 & Tax Returns) 11223234 Primary Streamlined - Stated ( PITI Verified) 11200667 Primary Limited ( 12 Months Bank Statements) 11201391 Primary Streamlined - Stated ( PITI Verified) 11192412 Primary Streamlined - Stated ( PITI Verified) 11210922 Primary Full ( w2 & Tax Returns) 11215182 Primary Streamlined - Stated ( PITI Verified) 11219555 Primary Full ( w2 & Tax Returns) 11224031 Primary Full ( w2 & Tax Returns) 11194439 Primary Streamlined - Stated ( PITI Verified) 11228352 Primary Streamlined - Stated ( PITI Verified) 11220425 Second/Vacation Streamlined - Stated ( PITI Verified) 11206979 Primary Streamlined - Stated ( PITI Verified) 11197926 Primary Full ( w2 & Tax Returns) 11207240 Primary Full-alt ( 24 Months Bank Statements) 11198563 Primary Full ( w2 & Tax Returns) 11194730 Primary Streamlined - Stated ( PITI Verified) 11213660 Primary Streamlined - Stated ( PITI Verified) 11214500 Primary Full ( w2 & Tax Returns) 11234758 Primary Stated ( Stated/Stated ) 11194557 Primary Streamlined - Stated ( PITI Verified) 11221381 Primary Streamlined - Stated ( PITI Verified) 11232953 Primary Full ( w2 & Tax Returns) 11199361 Primary Streamlined - Stated ( PITI Verified) 11224434 Primary Streamlined - Stated ( PITI Verified) 11210276 Primary Full ( w2 & Tax Returns) 11200830 Primary Full ( w2 & Tax Returns) 11220594 Primary Full ( w2 & Tax Returns) 11190990 Primary Full ( w2 & Tax Returns) 11225845 Primary Full ( w2 & Tax Returns) 11220569 Primary Full ( w2 & Tax Returns) 11199875 Primary Streamlined - Stated ( PITI Verified) 11212795 Primary Full ( w2 & Tax Returns) 11198579 Primary Streamlined - Stated ( PITI Verified) 11209628 Second/Vacation Full ( w2 & Tax Returns) 11189808 Primary Full ( w2 & Tax Returns) 11180398 Primary Streamlined - Stated ( PITI Verified) 11207098 Primary Streamlined - Stated ( PITI Verified) 11212582 Primary Full ( w2 & Tax Returns) 11222416 Primary Full ( w2 & Tax Returns) 11212767 Second/Vacation Streamlined - Stated ( PITI Verified) 11217639 Primary Limited ( 12 Months Bank Statements) 11198854 Primary Streamlined - Stated ( PITI Verified) 11217664 Primary Streamlined - Stated ( PITI Verified) 11211626 Primary Streamlined - Stated ( PITI Verified) 11201201 Primary Lite ( 6 Months Bank Statements) 11221971 Primary Streamlined - Stated ( PITI Verified) 11200099 Primary Full ( w2 & Tax Returns) 11215805 Primary Full ( w2 & Tax Returns) 11234400 Primary Streamlined - Stated ( PITI Verified) 11221350 Primary Full ( w2 & Tax Returns) 11214792 Primary Streamlined - Stated ( PITI Verified) 11215227 Primary Full ( w2 & Tax Returns) 11230246 Primary Streamlined - Stated ( PITI Verified) 11228384 Primary Streamlined - Stated ( PITI Verified) 11219075 Primary Limited ( 12 Months Bank Statements) 11202132 Primary Full ( w2 & Tax Returns) 11212941 Primary Streamlined - Stated ( PITI Verified) 11196318 Primary Full ( w2 & Tax Returns) 11218683 Primary Full ( w2 & Tax Returns) 11223867 Primary Lite ( 6 Months Bank Statements) 11220366 Primary Full ( w2 & Tax Returns) 11225576 Primary Streamlined - Stated ( PITI Verified) 11226230 Primary Streamlined - Stated ( PITI Verified) 11222067 Primary Streamlined - Stated ( PITI Verified) 11211953 Primary Full ( w2 & Tax Returns) 11221392 Primary Limited ( 12 Months Bank Statements) 11209163 Primary Full ( w2 & Tax Returns) 11216547 Primary Streamlined - Stated ( PITI Verified) 11181113 Primary Streamlined - Stated ( PITI Verified) 11223511 Primary Full ( w2 & Tax Returns) 11208522 Primary Streamlined - Stated ( PITI Verified) 11225410 Primary Full ( w2 & Tax Returns) 11211192 Primary Full ( w2 & Tax Returns) 11215934 Primary Streamlined - Stated ( PITI Verified) 11217681 Second/Vacation Streamlined - Stated ( PITI Verified) 11184353 Primary Full ( w2 & Tax Returns) 11212792 Primary Full ( w2 & Tax Returns) 11180767 Primary Streamlined - Stated ( PITI Verified) 11187453 Primary Streamlined - Stated ( PITI Verified) 11220078 Primary Full ( w2 & Tax Returns) 11231798 Primary Lite ( 6 Months Bank Statements) 11201565 Second/Vacation Streamlined - Stated ( PITI Verified) 11210725 Primary Streamlined - Stated ( PITI Verified) 11204082 Primary Streamlined - Stated ( PITI Verified) 11183962 Primary Full ( w2 & Tax Returns) 11220795 Primary Streamlined - Stated ( PITI Verified) 11199083 Primary Full ( w2 & Tax Returns) 11211948 Primary Streamlined - Stated ( PITI Verified) 11188098 Primary Streamlined - Stated ( PITI Verified) 11213036 Primary Full ( w2 & Tax Returns) 11207729 Primary Streamlined - Stated ( PITI Verified) 11232237 Primary Limited ( 12 Months Bank Statements) 11231436 Primary Streamlined - Stated ( PITI Verified) 11222167 Primary Streamlined - Stated ( PITI Verified) 11210991 Primary Full ( w2 & Tax Returns) 11190668 Primary Limited ( 12 Months Bank Statements) 11200162 Primary Full ( w2 & Tax Returns) 11209678 Primary Streamlined - Stated ( PITI Verified) 11219448 Primary Full ( w2 & Tax Returns) 11197536 Primary Streamlined - Stated ( PITI Verified) 11217937 Primary Full ( w2 & Tax Returns) 11225914 Primary Full ( w2 & Tax Returns) 11204680 Primary Streamlined - Stated ( PITI Verified) 11212726 Primary Full ( w2 & Tax Returns) 11226611 Primary Streamlined - Stated ( PITI Verified) 11217033 Primary Streamlined - Stated ( PITI Verified) 11224912 Primary Full ( w2 & Tax Returns) 11217841 Primary Full ( w2 & Tax Returns) 11208370 Primary Streamlined - Stated ( PITI Verified) 11198455 Primary Streamlined - Stated ( PITI Verified) 11209537 Primary Full ( w2 & Tax Returns) 11203943 Primary Full ( w2 & Tax Returns) 11213027 Primary Streamlined - Stated ( PITI Verified) 11224092 Primary Full ( w2 & Tax Returns) 11208327 Primary Full ( w2 & Tax Returns) 11220996 Primary Lite ( 6 Months Bank Statements) 11215688 Primary Streamlined - Stated ( PITI Verified) 11216320 Primary Streamlined - Stated ( PITI Verified) 11223131 Primary Full ( w2 & Tax Returns) 11216107 Primary Streamlined - Stated ( PITI Verified) 11213306 Primary Full ( w2 & Tax Returns) 11219215 Primary Streamlined - Stated ( PITI Verified) 11201873 Primary Stated ( Stated/Stated ) 11232575 Second/Vacation Streamlined - Stated ( PITI Verified) 11221179 Primary Full ( w2 & Tax Returns) 11210620 Primary Full ( w2 & Tax Returns) 11203617 Primary Full ( w2 & Tax Returns) 11217987 Primary Full ( w2 & Tax Returns) 11210661 Primary Streamlined - Stated ( PITI Verified) 11215903 Primary Streamlined - Stated ( PITI Verified) 11217397 Primary Full ( w2 & Tax Returns) 11222132 Primary Streamlined - Stated ( PITI Verified) 11190589 Primary Limited ( 12 Months Bank Statements) 11202593 Primary Streamlined - Stated ( PITI Verified) 11200508 Primary Full ( w2 & Tax Returns) 11201552 Second/Vacation Streamlined - Stated ( PITI Verified) 11230636 Primary Limited ( 12 Months Bank Statements) 11188932 Primary Full ( w2 & Tax Returns) 11228522 Primary Streamlined - Stated ( PITI Verified) 11210073 Primary Stated ( Stated/Stated ) 11229984 Primary Full ( w2 & Tax Returns) 11199232 Primary Lite ( 6 Months Bank Statements) 11210093 Second/Vacation Full ( w2 & Tax Returns) 11210010 Primary Streamlined - Stated ( PITI Verified) 11213328 Primary Full ( w2 & Tax Returns) 11211337 Second/Vacation Full ( w2 & Tax Returns) 11220604 Primary Streamlined - Stated ( PITI Verified) 11218201 Primary Streamlined - Stated ( PITI Verified) 11195608 Primary Full ( w2 & Tax Returns) 11222368 Primary Streamlined - Stated ( PITI Verified) 11171486 Primary Full ( w2 & Tax Returns) 11207230 Primary Streamlined - Stated ( PITI Verified) 11205888 Primary Full ( w2 & Tax Returns) 11191671 Primary Limited ( 12 Months Bank Statements) 11226133 Primary Full ( w2 & Tax Returns) 11221739 Primary Full ( w2 & Tax Returns) 11180799 Primary Full ( w2 & Tax Returns) 11219986 Primary Full ( w2 & Tax Returns) 11201727 Primary Streamlined - Stated ( PITI Verified) 11228106 Primary Streamlined - Stated ( PITI Verified) 11207486 Primary Full ( w2 & Tax Returns) 11202986 Primary Full ( w2 & Tax Returns) 11225692 Primary Full ( w2 & Tax Returns) 11205716 Primary Full ( w2 & Tax Returns) 11219758 Primary Full ( w2 & Tax Returns) 11213633 Primary Limited ( 12 Months Bank Statements) 11216684 Primary Full ( w2 & Tax Returns) 11217221 Primary Full ( w2 & Tax Returns) 11208874 Primary Lite ( 6 Months Bank Statements) 11198992 Primary Streamlined - Stated ( PITI Verified) 11205154 Primary Streamlined - Stated ( PITI Verified) 11204729 Primary Full ( w2 & Tax Returns) 11193110 Primary Streamlined - Stated ( PITI Verified) 11218762 Primary Streamlined - Stated ( PITI Verified) 11232732 Primary Full ( w2 & Tax Returns) 11204576 Primary Full ( w2 & Tax Returns) 11223226 Primary Full ( w2 & Tax Returns) 11189755 Primary Stated ( Stated/Stated ) 11221033 Primary Streamlined - Stated ( PITI Verified) 11216018 Primary Full ( w2 & Tax Returns) 11201413 Primary Full ( w2 & Tax Returns) 11222829 Primary Full ( w2 & Tax Returns) 11182197 Primary Full ( w2 & Tax Returns) 11182071 Primary Full ( w2 & Tax Returns) 11209775 Primary Full ( w2 & Tax Returns) 11222636 Primary Full ( w2 & Tax Returns) 11215675 Primary Full ( w2 & Tax Returns) 11188184 Primary Full ( w2 & Tax Returns) 11219239 Primary Streamlined - Stated ( PITI Verified) 11209491 Second/Vacation Limited ( 12 Months Bank Statements) 11228709 Primary Streamlined - Stated ( PITI Verified) 11219730 Primary Full ( w2 & Tax Returns) 11197892 Primary Full ( w2 & Tax Returns) 11204327 Primary Full ( w2 & Tax Returns) 11217145 Primary Streamlined - Stated ( PITI Verified) 11204276 Primary Streamlined - Stated ( PITI Verified) 11222270 Primary Full ( w2 & Tax Returns) 11176090 Primary Lite ( 6 Months Bank Statements) 11225888 Primary Full ( w2 & Tax Returns) 11220354 Primary Full ( w2 & Tax Returns) 11202426 Primary Full ( w2 & Tax Returns) 11219921 Primary Streamlined - Stated ( PITI Verified) 11169594 Primary Full ( w2 & Tax Returns) 11212079 Primary Full ( w2 & Tax Returns) 11228287 Primary Streamlined - Stated ( PITI Verified) 11208281 Primary Limited ( 12 Months Bank Statements) 11197284 Primary Full ( w2 & Tax Returns) 11221370 Primary Full ( w2 & Tax Returns) 11227288 Primary Streamlined - Stated ( PITI Verified) 11212160 Primary Full ( w2 & Tax Returns) 11206320 Primary Streamlined - Stated ( PITI Verified) 11203436 Primary Streamlined - Stated ( PITI Verified) 11211879 Primary Full ( w2 & Tax Returns) 11203598 Primary Full ( w2 & Tax Returns) 11214035 Primary Streamlined - Stated ( PITI Verified) 11206361 Second/Vacation Streamlined - Stated ( PITI Verified) 11194458 Primary Full ( w2 & Tax Returns) 11193817 Primary Streamlined - Stated ( PITI Verified) 11191011 Primary Limited ( 12 Months Bank Statements) 11203201 Primary Full-alt ( 24 Months Bank Statements) 11215262 Primary Full ( w2 & Tax Returns) 11192331 Primary Streamlined - Stated ( PITI Verified) 11227058 Primary Full ( w2 & Tax Returns) 11216251 Second/Vacation Streamlined - Stated ( PITI Verified) 11218374 Primary Streamlined - Stated ( PITI Verified) 11187059 Primary Full ( w2 & Tax Returns) 11220441 Primary Full ( w2 & Tax Returns) 11218821 Primary Streamlined - Stated ( PITI Verified) 11225674 Primary Stated ( Stated/Stated ) 11153249 Primary Lite ( 6 Months Bank Statements) 11151786 Primary Full ( w2 & Tax Returns) 11180461 Second/Vacation Full ( w2 & Tax Returns) 11183049 Primary Full ( w2 & Tax Returns) 11181291 Primary Full ( w2 & Tax Returns) 11163975 Primary Full ( w2 & Tax Returns) 11159155 Primary Full ( w2 & Tax Returns) 11176545 Primary Streamlined - Stated ( PITI Verified) 11162826 Primary Full ( w2 & Tax Returns) 11188418 Primary Full ( w2 & Tax Returns) 11193100 Primary Full ( w2 & Tax Returns) 11186575 Primary Streamlined - Stated ( PITI Verified) 11182971 Primary Full ( w2 & Tax Returns) 11177447 Primary Streamlined - Stated ( PITI Verified) 11175754 Primary Full ( w2 & Tax Returns) 11187348 Primary Full ( w2 & Tax Returns) 11181632 Primary Limited ( 12 Months Bank Statements) 11187017 Primary Streamlined - Stated ( PITI Verified) 11179061 Primary Full ( w2 & Tax Returns) 11205711 Primary Full ( w2 & Tax Returns) 11200454 Primary Streamlined - Stated ( PITI Verified) 11205745 Primary Full ( w2 & Tax Returns) 11196991 Primary Full ( w2 & Tax Returns) 11170377 Primary Full ( w2 & Tax Returns) 11197989 Primary Full ( w2 & Tax Returns) 11225402 Primary Full ( w2 & Tax Returns) 11206391 Primary Streamlined - Stated ( PITI Verified) 11216734 Primary Streamlined - Stated ( PITI Verified) 11211098 Primary Full ( w2 & Tax Returns) 11204434 Second/Vacation Streamlined - Stated ( PITI Verified) 11206967 Primary Full ( w2 & Tax Returns) 11196214 Primary Streamlined - Stated ( PITI Verified) 11194253 Second/Vacation Streamlined - Stated ( PITI Verified) 11217285 Second/Vacation Streamlined - Stated ( PITI Verified) 11223500 Primary Stated ( Stated/Stated ) 11226390 Primary Full ( w2 & Tax Returns) 11202920 Primary Lite ( 6 Months Bank Statements) 11220443 Second/Vacation Streamlined - Stated ( PITI Verified) 11224249 Primary Streamlined - Stated ( PITI Verified) 11231338 Primary Streamlined - Stated ( PITI Verified) 11222361 Primary Streamlined - Stated ( PITI Verified) 11189741 Primary Streamlined - Stated ( PITI Verified) 11190629 Primary Streamlined - Stated ( PITI Verified) 11222717 Primary Streamlined - Stated ( PITI Verified) 11214650 Primary Full ( w2 & Tax Returns) 11200857 Primary Streamlined - Stated ( PITI Verified) 11223061 Primary Streamlined - Stated ( PITI Verified) 11203676 Primary Full ( w2 & Tax Returns) 11223334 Primary Streamlined - Stated ( PITI Verified) 11207329 Primary Streamlined - Stated ( PITI Verified) 11208939 Primary Full ( w2 & Tax Returns) 11223950 Primary Streamlined - Stated ( PITI Verified) 11228742 Primary Full ( w2 & Tax Returns) 11213482 Primary Streamlined - Stated ( PITI Verified) 11194242 Primary Streamlined - Stated ( PITI Verified) 11221722 Primary Full ( w2 & Tax Returns) 11216831 Primary Streamlined - Stated ( PITI Verified) 11191531 Primary Full ( w2 & Tax Returns) 11195752 Primary Streamlined - Stated ( PITI Verified) 11202205 Primary Streamlined - Stated ( PITI Verified) 11219810 Primary Streamlined - Stated ( PITI Verified) 11207952 Primary Full ( w2 & Tax Returns) 11212513 Primary Limited ( 12 Months Bank Statements) 11220408 Primary Full ( w2 & Tax Returns) 11212438 Primary Full ( w2 & Tax Returns) 11225426 Primary Full ( w2 & Tax Returns) 11225078 Primary Full ( w2 & Tax Returns) 11210388 Primary Streamlined - Stated ( PITI Verified) 11186650 Primary Full ( w2 & Tax Returns) 11206823 Primary Streamlined - Stated ( PITI Verified) 11217865 Primary Full ( w2 & Tax Returns) 11185035 Primary Full ( w2 & Tax Returns) 11200601 Primary Full ( w2 & Tax Returns) 11209216 Primary Full ( w2 & Tax Returns) 11210823 Primary Streamlined - Stated ( PITI Verified) 11206054 Primary Streamlined - Stated ( PITI Verified) 11215961 Primary Streamlined - Stated ( PITI Verified) 11212620 Primary Limited ( 12 Months Bank Statements) 11210652 Primary Full ( w2 & Tax Returns) 11229856 Primary Full ( w2 & Tax Returns) 11207454 Primary Full ( w2 & Tax Returns) 11204667 Primary Full ( w2 & Tax Returns) 11222153 Primary Streamlined - Stated ( PITI Verified) 11191391 Second/Vacation Full ( w2 & Tax Returns) 11211658 Primary Full ( w2 & Tax Returns) 11196205 Primary Full ( w2 & Tax Returns) 11215945 Second/Vacation Streamlined - Stated ( PITI Verified) 11199635 Primary Full ( w2 & Tax Returns) 11177881 Primary Streamlined - Stated ( PITI Verified) 11225012 Primary Full ( w2 & Tax Returns) 11219813 Primary Full ( w2 & Tax Returns) 11222328 Primary Full ( w2 & Tax Returns) 11197649 Primary Streamlined - Stated ( PITI Verified) 11177439 Primary Streamlined - Stated ( PITI Verified) 11167778 Primary Streamlined - Stated ( PITI Verified) 11218753 Primary Streamlined - Stated ( PITI Verified) 11212168 Primary Full ( w2 & Tax Returns) 11205682 Primary Full ( w2 & Tax Returns) 11207649 Primary Lite ( 6 Months Bank Statements) 11210850 Primary Full ( w2 & Tax Returns) 11191533 Primary Full ( w2 & Tax Returns) 11223255 Primary Streamlined - Stated ( PITI Verified) 11218043 Primary Streamlined - Stated ( PITI Verified) 11222338 Primary Limited ( 12 Months Bank Statements) 11211401 Primary Streamlined - Stated ( PITI Verified) 11215890 Primary Streamlined - Stated ( PITI Verified) 11227197 Primary Streamlined - Stated ( PITI Verified) 11198569 Primary Full ( w2 & Tax Returns) 11211862 Primary Full ( w2 & Tax Returns) 11217624 Primary Full ( w2 & Tax Returns) 11214148 Primary Streamlined - Stated ( PITI Verified) 11198637 Primary Limited ( 12 Months Bank Statements) 11227390 Primary Streamlined - Stated ( PITI Verified) 11229859 Primary Streamlined - Stated ( PITI Verified) 11211275 Primary Streamlined - Stated ( PITI Verified) 11218169 Primary Full ( w2 & Tax Returns) 11220495 Primary Full ( w2 & Tax Returns) 11164647 Primary Streamlined - Stated ( PITI Verified) 11210938 Primary Streamlined - Stated ( PITI Verified) 11213223 Primary Streamlined - Stated ( PITI Verified) 11193331 Primary Full ( w2 & Tax Returns) 11191374 Primary Full ( w2 & Tax Returns) 11217978 Primary Streamlined - Stated ( PITI Verified) 11214113 Primary Streamlined - Stated ( PITI Verified) 11216612 Primary Streamlined - Stated ( PITI Verified) 11204666 Primary Streamlined - Stated ( PITI Verified) 11204814 Primary Limited ( 12 Months Bank Statements) 11190106 Primary Streamlined - Stated ( PITI Verified) 11224749 Primary Full ( w2 & Tax Returns) 11193864 Primary Streamlined - Stated ( PITI Verified) 11208783 Primary Full ( w2 & Tax Returns) 11212584 Primary Full ( w2 & Tax Returns) 11209986 Primary Limited ( 12 Months Bank Statements) 11198584 Primary Streamlined - Stated ( PITI Verified) 11190552 Primary Full ( w2 & Tax Returns) 11212936 Second/Vacation Lite ( 6 Months Bank Statements) 11194364 Primary Full ( w2 & Tax Returns) 11203809 Primary Limited ( 12 Months Bank Statements) 11215503 Primary Full ( w2 & Tax Returns) 11205827 Primary Full ( w2 & Tax Returns) 11206073 Primary Limited ( 12 Months Bank Statements) 11212123 Primary Streamlined - Stated ( PITI Verified) 11205196 Primary Streamlined - Stated ( PITI Verified) 11212121 Primary Streamlined - Stated ( PITI Verified) 11216973 Primary Limited ( 12 Months Bank Statements) 11218478 Primary Streamlined - Stated ( PITI Verified) 11227448 Primary Streamlined - Stated ( PITI Verified) 11211956 Primary Streamlined - Stated ( PITI Verified) 11228968 Primary Streamlined - Stated ( PITI Verified) 11220047 Primary Streamlined - Stated ( PITI Verified) 11196775 Primary Full ( w2 & Tax Returns) 11211504 Primary Full ( w2 & Tax Returns) 11210905 Primary Full ( w2 & Tax Returns) 11221573 Primary Full ( w2 & Tax Returns) 11212270 Primary Full ( w2 & Tax Returns) 11209304 Primary Lite ( 6 Months Bank Statements) 11178483 Primary Full ( w2 & Tax Returns) 11211185 Primary Streamlined - Stated ( PITI Verified) 11220051 Primary Streamlined - Stated ( PITI Verified) 11224028 Primary Streamlined - Stated ( PITI Verified) 11208371 Primary Streamlined - Stated ( PITI Verified) 11192444 Primary Full ( w2 & Tax Returns) 11200433 Primary Full ( w2 & Tax Returns) 11211602 Primary Streamlined - Stated ( PITI Verified) 11214482 Primary Full ( w2 & Tax Returns) 11202164 Primary Streamlined - Stated ( PITI Verified) 11213736 Primary Streamlined - Stated ( PITI Verified) 11227379 Primary Streamlined - Stated ( PITI Verified) 11194348 Primary Full ( w2 & Tax Returns) 11189636 Primary Lite ( 6 Months Bank Statements) 11212214 Primary Full ( w2 & Tax Returns) 11198236 Primary Streamlined - Stated ( PITI Verified) 11219971 Primary Full ( w2 & Tax Returns) 11194508 Primary Streamlined - Stated ( PITI Verified) 11228979 Primary Limited ( 12 Months Bank Statements) 11220965 Primary Limited ( 12 Months Bank Statements) 11217320 Primary Full ( w2 & Tax Returns) 11202255 Primary Streamlined - Stated ( PITI Verified) 11228234 Primary Streamlined - Stated ( PITI Verified) 11183576 Primary Streamlined - Stated ( PITI Verified) 11226764 Primary Streamlined - Stated ( PITI Verified) 11198222 Primary Full ( w2 & Tax Returns) 11208128 Primary Full ( w2 & Tax Returns) 11209190 Primary Full ( w2 & Tax Returns) 11226069 Primary Full ( w2 & Tax Returns) 11199257 Second/Vacation Full ( w2 & Tax Returns) 11219543 Primary Streamlined - Stated ( PITI Verified) 11203241 Primary Streamlined - Stated ( PITI Verified) 11209478 Primary Streamlined - Stated ( PITI Verified) 11197671 Primary Streamlined - Stated ( PITI Verified) 11199425 Primary Streamlined - Stated ( PITI Verified) 11210137 Primary Streamlined - Stated ( PITI Verified) 11197375 Primary Full ( w2 & Tax Returns) 11205852 Primary Streamlined - Stated ( PITI Verified) 11201187 Primary Lite ( 6 Months Bank Statements) 11231929 Primary Streamlined - Stated ( PITI Verified) 11235133 Primary Full ( w2 & Tax Returns) 11209233 Primary Streamlined - Stated ( PITI Verified) 11211038 Primary Streamlined - Stated ( PITI Verified) 11210195 Primary Streamlined - Stated ( PITI Verified) 11188105 Primary Full ( w2 & Tax Returns) 11222746 Primary Streamlined - Stated ( PITI Verified) 11223386 Primary Streamlined - Stated ( PITI Verified) 11199369 Primary Full ( w2 & Tax Returns) 11192470 Second/Vacation Streamlined - Stated ( PITI Verified) 11201772 Primary Full ( w2 & Tax Returns) 11208643 Primary Limited ( 12 Months Bank Statements) 11232055 Primary Streamlined - Stated ( PITI Verified) 11215151 Second/Vacation Streamlined - Stated ( PITI Verified) 11207185 Primary Stated ( Stated/Stated ) 11217076 Primary Full ( w2 & Tax Returns) 11225037 Primary Full ( w2 & Tax Returns) 11227232 Primary Streamlined - Stated ( PITI Verified) 11205589 Primary Full ( w2 & Tax Returns) 11210017 Primary Streamlined - Stated ( PITI Verified) 11176190 Primary Streamlined - Stated ( PITI Verified) 11222224 Primary Streamlined - Stated ( PITI Verified) 11166335 Primary Streamlined - Stated ( PITI Verified) 11206216 Primary Stated ( Stated/Stated ) 11212534 Primary Full ( w2 & Tax Returns) 11216649 Primary Streamlined - Stated ( PITI Verified) 11222844 Primary Lite ( 6 Months Bank Statements) 11211077 Primary Limited ( 12 Months Bank Statements) 11220830 Primary Streamlined - Stated ( PITI Verified) 11215809 Primary Full ( w2 & Tax Returns) 11229795 Primary Stated ( Stated/Stated ) 11224556 Primary Streamlined - Stated ( PITI Verified) 11213899 Primary Full ( w2 & Tax Returns) 11219013 Primary Full ( w2 & Tax Returns) 11211264 Primary Streamlined - Stated ( PITI Verified) 11190255 Primary Streamlined - Stated ( PITI Verified) 11214931 Primary Stated ( Stated/Stated ) 11216199 Primary Full ( w2 & Tax Returns) 11196304 Primary Limited ( 12 Months Bank Statements) 11211240 Primary Streamlined - Stated ( PITI Verified) 11210458 Primary Streamlined - Stated ( PITI Verified) 11216596 Primary Full ( w2 & Tax Returns) 11212878 Primary Streamlined - Stated ( PITI Verified) 11153745 Primary Full ( w2 & Tax Returns) 11208292 Primary Full ( w2 & Tax Returns) 11203507 Primary Full ( w2 & Tax Returns) 11212084 Primary Streamlined - Stated ( PITI Verified) 11226918 Primary Limited ( 12 Months Bank Statements) 11232097 Primary Streamlined - Stated ( PITI Verified) 11225229 Primary Streamlined - Stated ( PITI Verified) 11209147 Second/Vacation Limited ( 12 Months Bank Statements) 11208319 Primary Limited ( 12 Months Bank Statements) 11201324 Primary Full ( w2 & Tax Returns) 11206406 Primary Streamlined - Stated ( PITI Verified) 11217897 Primary Full ( w2 & Tax Returns) 11207282 Primary Streamlined - Stated ( PITI Verified) 11221951 Primary Limited ( 12 Months Bank Statements) 11192696 Primary Full ( w2 & Tax Returns) 11151867 Primary Full ( w2 & Tax Returns) 11203457 Primary Full ( w2 & Tax Returns) 11206246 Primary Streamlined - Stated ( PITI Verified) 11215974 Primary Lite ( 6 Months Bank Statements) 11210138 Primary Streamlined - Stated ( PITI Verified) 11175070 Primary Streamlined - Stated ( PITI Verified) 11223328 Primary Streamlined - Stated ( PITI Verified) 11217631 Primary Streamlined - Stated ( PITI Verified) 11142123 Primary Limited ( 12 Months Bank Statements) 11228341 Primary Limited ( 12 Months Bank Statements) 11220787 Primary Full ( w2 & Tax Returns) 11232230 Primary Streamlined - Stated ( PITI Verified) 11216126 Primary Streamlined - Stated ( PITI Verified) 11172866 Primary Limited ( 12 Months Bank Statements) 11196848 Second/Vacation Streamlined - Stated ( PITI Verified) 11223637 Primary Streamlined - Stated ( PITI Verified) 11207312 Primary Full ( w2 & Tax Returns) 11212907 Primary Streamlined - Stated ( PITI Verified) 11192104 Primary Streamlined - Stated ( PITI Verified) 11202721 Primary Streamlined - Stated ( PITI Verified) 11230007 Primary Streamlined - Stated ( PITI Verified) 11221063 Primary Streamlined - Stated ( PITI Verified) 11226964 Primary Streamlined - Stated ( PITI Verified) 11200439 Primary Full ( w2 & Tax Returns) 11192323 Primary Streamlined - Stated ( PITI Verified) 11216715 Primary Full ( w2 & Tax Returns) 11216851 Primary Full ( w2 & Tax Returns) 11200199 Primary Streamlined - Stated ( PITI Verified) 11222321 Primary Streamlined - Stated ( PITI Verified) 11214341 Primary Streamlined - Stated ( PITI Verified) 11185313 Second/Vacation Limited ( 12 Months Bank Statements) 11221913 Primary Streamlined - Stated ( PITI Verified) 11158407 Primary Full ( w2 & Tax Returns) 11192907 Primary Full ( w2 & Tax Returns) 11188063 Primary Full ( w2 & Tax Returns) 11227220 Primary Streamlined - Stated ( PITI Verified) 11204036 Primary 86 stated - Stated loans over 85 LTV 11202076 Primary Full ( w2 & Tax Returns) 11210273 Primary Limited ( 12 Months Bank Statements) 11204341 Primary Full ( w2 & Tax Returns) 11231754 Primary Limited ( 12 Months Bank Statements) 11210946 Primary Full ( w2 & Tax Returns) 11211833 Primary Streamlined - Stated ( PITI Verified) 11196101 Primary Streamlined - Stated ( PITI Verified) 11215521 Primary Streamlined - Stated ( PITI Verified) 11204604 Primary Full ( w2 & Tax Returns) 11203685 Primary Stated ( Stated/Stated ) 11208161 Primary Full ( w2 & Tax Returns) 11178601 Primary Lite ( 6 Months Bank Statements) 11153440 Primary Streamlined - Stated ( PITI Verified) 11214567 Primary Stated ( Stated/Stated ) 11197535 Primary Lite ( 6 Months Bank Statements) 11191761 Primary Full ( w2 & Tax Returns) 11210988 Primary Full ( w2 & Tax Returns) 11182314 Primary Full ( w2 & Tax Returns) 11209899 Primary Streamlined - Stated ( PITI Verified) 11192995 Primary Lite ( 6 Months Bank Statements) 11232573 Primary Full ( w2 & Tax Returns) 11227349 Primary Full ( w2 & Tax Returns) 11191231 Primary Streamlined - Stated ( PITI Verified) 11220105 Second/Vacation Lite ( 6 Months Bank Statements) 11220381 Primary Streamlined - Stated ( PITI Verified) 11226856 Primary Stated ( Stated/Stated ) 11207774 Primary Full ( w2 & Tax Returns) 11210323 Primary Limited ( 12 Months Bank Statements) 11178017 Primary Streamlined - Stated ( PITI Verified) 11207966 Investment Full ( w2 & Tax Returns) 11210704 Primary Full ( w2 & Tax Returns) 11187410 Primary Streamlined - Stated ( PITI Verified) 11219250 Primary Stated ( Stated/Stated ) 11222414 Primary Streamlined - Stated ( PITI Verified) 11189745 Investment Full ( w2 & Tax Returns) 11230727 Primary Full ( w2 & Tax Returns) 11203478 Primary Streamlined - Stated ( PITI Verified) 11213849 Primary Stated ( Stated/Stated ) 11192284 Primary Full ( w2 & Tax Returns) 11216474 Primary Limited ( 12 Months Bank Statements) 11139525 Primary Streamlined - Stated ( PITI Verified) 11204268 Investment Full ( w2 & Tax Returns) 11205701 Primary Limited ( 12 Months Bank Statements) 11202973 Primary Stated ( Stated/Stated ) 11217560 Primary Full ( w2 & Tax Returns) 11209772 Primary Streamlined - Stated ( PITI Verified) 11227025 Primary Streamlined - Stated ( PITI Verified) 11208465 Primary Stated ( Stated/Stated ) 11210050 Primary Streamlined - Stated ( PITI Verified) 11205391 Primary Limited ( 12 Months Bank Statements) 11197424 Primary Limited ( 12 Months Bank Statements) 11218362 Primary Streamlined - Stated ( PITI Verified) 11218221 Primary Streamlined - Stated ( PITI Verified) 11214945 Primary Streamlined - Stated ( PITI Verified) 11175147 Primary Full ( w2 & Tax Returns) 11212309 Primary Streamlined - Stated ( PITI Verified) 11209362 Primary Full ( w2 & Tax Returns) 11193604 Second/Vacation Streamlined - Stated ( PITI Verified) 11192132 Primary Stated ( Stated/Stated ) 11218781 Second/Vacation Streamlined - Stated ( PITI Verified) 11199149 Primary Full ( w2 & Tax Returns) 11201160 Primary Full ( w2 & Tax Returns) 11209833 Primary Limited ( 12 Months Bank Statements) 11204502 Primary Full ( w2 & Tax Returns) 11216208 Primary Limited ( 12 Months Bank Statements) 11206399 Primary Full ( w2 & Tax Returns) 11171642 Primary Streamlined - Stated ( PITI Verified) 11217261 Primary Full ( w2 & Tax Returns) 11222330 Primary Limited ( 12 Months Bank Statements) 11206834 Primary Streamlined - Stated ( PITI Verified) 11211379 Primary Limited ( 12 Months Bank Statements) 11224781 Primary Limited ( 12 Months Bank Statements) 11222331 Primary Streamlined - Stated ( PITI Verified) 11221471 Primary Full ( w2 & Tax Returns) 11227083 Primary Streamlined - Stated ( PITI Verified) 11211868 Primary Full ( w2 & Tax Returns) 11210494 Primary Streamlined - Stated ( PITI Verified) 11222706 Primary Limited ( 12 Months Bank Statements) 11182533 Primary Full ( w2 & Tax Returns) 11199782 Primary Streamlined - Stated ( PITI Verified) 11221432 Primary Stated ( Stated/Stated ) 11218503 Primary Full ( w2 & Tax Returns) 11214443 Primary Full ( w2 & Tax Returns) 11216610 Primary Full ( w2 & Tax Returns) 11181577 Primary Stated ( Stated/Stated ) 11221531 Primary Full ( w2 & Tax Returns) 11199950 Investment Stated ( Stated/Stated ) 11216700 Primary Full ( w2 & Tax Returns) 11229897 Primary Full ( w2 & Tax Returns) 11198752 Primary Full ( w2 & Tax Returns) 11205436 Primary Full-alt ( 24 Months Bank Statements) 11203186 Primary Full ( w2 & Tax Returns) 11220240 Primary Full ( w2 & Tax Returns) 11189056 Primary Limited ( 12 Months Bank Statements) 11229962 Primary Stated ( Stated/Stated ) 11200937 Primary Streamlined - Stated ( PITI Verified) 11175206 Primary Streamlined - Stated ( PITI Verified) 11206568 Primary Streamlined - Stated ( PITI Verified) 11200435 Primary Full ( w2 & Tax Returns) 11232431 Primary Streamlined - Stated ( PITI Verified) 11181735 Primary Full ( w2 & Tax Returns) 11223862 Primary Streamlined - Stated ( PITI Verified) 11230326 Primary Full ( w2 & Tax Returns) 11225536 Primary Stated ( Stated/Stated ) 11187510 Primary Streamlined - Stated ( PITI Verified) 11215765 Primary Streamlined - Stated ( PITI Verified) 11214359 Primary Full ( w2 & Tax Returns) 11216631 Primary Limited ( 12 Months Bank Statements) 11218424 Primary Full ( w2 & Tax Returns) 11192981 Primary Streamlined - Stated ( PITI Verified) 11208331 Primary Streamlined - Stated ( PITI Verified) 11201460 Primary Full ( w2 & Tax Returns) 11214639 Primary Full ( w2 & Tax Returns) 11215211 Primary Stated ( Stated/Stated ) 11207040 Primary Full ( w2 & Tax Returns) 11215941 Primary Stated ( Stated/Stated ) 11218838 Primary Streamlined - Stated ( PITI Verified) 11218876 Primary Streamlined - Stated ( PITI Verified) 11202303 Primary Streamlined - Stated ( PITI Verified) 11210996 Primary Full ( w2 & Tax Returns) 11183201 Primary Limited ( 12 Months Bank Statements) 11223291 Primary Full ( w2 & Tax Returns) 11210985 Primary Full ( w2 & Tax Returns) 11202251 Primary Streamlined - Stated ( PITI Verified) 11224733 Primary Full ( w2 & Tax Returns) 11217649 Primary Full ( w2 & Tax Returns) 11204018 Primary Full ( w2 & Tax Returns) 11206473 Primary Full ( w2 & Tax Returns) 11202913 Primary Full ( w2 & Tax Returns) 11198715 Primary Full ( w2 & Tax Returns) 11189801 Primary Full-alt ( 24 Months Bank Statements) 11226707 Primary Streamlined - Stated ( PITI Verified) 11228576 Primary Streamlined - Stated ( PITI Verified) 11218935 Primary Full ( w2 & Tax Returns) 11230874 Primary Full ( w2 & Tax Returns) 11198790 Primary Limited ( 12 Months Bank Statements) 11217354 Second/Vacation Stated ( Stated/Stated ) 11181411 Primary Streamlined - Stated ( PITI Verified) 11200693 Primary Streamlined - Stated ( PITI Verified) 11184269 Primary Full ( w2 & Tax Returns) 11188462 Primary Streamlined - Stated ( PITI Verified) 11193885 Primary Stated ( Stated/Stated ) 11194670 Primary Full ( w2 & Tax Returns) 11218903 Primary Full ( w2 & Tax Returns) 11193375 Primary Stated ( Stated/Stated ) 11205057 Primary Full ( w2 & Tax Returns) 11214928 Primary Limited ( 12 Months Bank Statements) 11228372 Primary Full ( w2 & Tax Returns) 11221988 Primary Full ( w2 & Tax Returns) 11214016 Primary Full ( w2 & Tax Returns) 11211410 Primary Full ( w2 & Tax Returns) 11155077 Primary Full ( w2 & Tax Returns) 11199604 Primary Full ( w2 & Tax Returns) 11209268 Primary Streamlined - Stated ( PITI Verified) 11107768 Primary Full ( w2 & Tax Returns) 11214283 Primary Streamlined - Stated ( PITI Verified) 11197141 Primary Full ( w2 & Tax Returns) 11211246 Primary Streamlined - Stated ( PITI Verified) 11193662 Primary Full ( w2 & Tax Returns) 11195232 Primary Full ( w2 & Tax Returns) 11206438 Primary Limited ( 12 Months Bank Statements) 11203238 Primary Full ( w2 & Tax Returns) 11220777 Primary Streamlined - Stated ( PITI Verified) 11174320 Primary Limited ( 12 Months Bank Statements) 11222240 Primary Limited ( 12 Months Bank Statements) 11195112 Primary Full ( w2 & Tax Returns) 11203291 Primary Full ( w2 & Tax Returns) 11196699 Primary Stated ( Stated/Stated ) 11202479 Primary Full ( w2 & Tax Returns) 11203405 Primary Full ( w2 & Tax Returns) 11228259 Primary Full ( w2 & Tax Returns) 11211375 Investment Full ( w2 & Tax Returns) 11216354 Primary Full ( w2 & Tax Returns) 11235829 Primary Stated ( Stated/Stated ) 11175041 Primary Full ( w2 & Tax Returns) 11226095 Primary Stated ( Stated/Stated ) 11211914 Primary Full ( w2 & Tax Returns) 11202130 Primary Streamlined - Stated ( PITI Verified) 11224624 Primary Streamlined - Stated ( PITI Verified) 11121508 Primary Stated ( Stated/Stated ) 11163582 Primary Stated ( Stated/Stated ) 11191154 Primary Streamlined - Stated ( PITI Verified) 11172989 Primary Stated ( Stated/Stated ) 11223854 Investment Stated ( Stated/Stated ) 11215567 Primary Stated ( Stated/Stated ) 11190970 Primary Stated ( Stated/Stated ) 11212838 Primary Streamlined - Stated ( PITI Verified) 11192886 Primary Limited ( 12 Months Bank Statements) 11218314 Primary Full ( w2 & Tax Returns) 11225008 Primary Limited ( 12 Months Bank Statements) 11177707 Primary Full ( w2 & Tax Returns) 11228302 Primary Streamlined - Stated ( PITI 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Streamlined - Stated ( PITI Verified) 11193806 Primary Streamlined - Stated ( PITI Verified) 11198735 Primary Limited ( 12 Months Bank Statements) 11187273 Primary Limited ( 12 Months Bank Statements) 11205392 Primary Limited ( 12 Months Bank Statements) 11199670 Primary Full ( w2 & Tax Returns) 11222522 Primary Full ( w2 & Tax Returns) 11202499 Primary Limited ( 12 Months Bank Statements) 11218489 Primary Limited ( 12 Months Bank Statements) 11214381 Primary Full ( w2 & Tax Returns) 11211284 Primary Streamlined - Stated ( PITI Verified) 11219098 Primary Full ( w2 & Tax Returns) 11221936 Primary Limited ( 12 Months Bank Statements) 11210461 Primary Full ( w2 & Tax Returns) 11212520 Primary Full ( w2 & Tax Returns) 11181578 Primary Stated ( Stated/Stated ) 11230397 Primary Full ( w2 & Tax Returns) 11224740 Primary Full ( w2 & Tax Returns) 11213458 Primary Full ( w2 & Tax Returns) 11195754 Primary Streamlined - Stated ( PITI Verified) 11161770 Primary Lite ( 6 Months Bank Statements) 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Streamlined - Stated ( PITI Verified) 11211174 Primary Streamlined - Stated ( PITI Verified) 11220081 Primary Streamlined - Stated ( PITI Verified) 11195991 Primary Full ( w2 & Tax Returns) 11200437 Primary Full ( w2 & Tax Returns) 11222061 Primary Full ( w2 & Tax Returns) 11233602 Primary Streamlined - Stated ( PITI Verified) 11203187 Primary Full ( w2 & Tax Returns) 11199269 Primary Streamlined - Stated ( PITI Verified) 11213916 Primary Full ( w2 & Tax Returns) 11214694 Primary Limited ( 12 Months Bank Statements) 11204645 Primary Full ( w2 & Tax Returns) 11176856 Primary Streamlined - Stated ( PITI Verified) 11219893 Primary Limited ( 12 Months Bank Statements) 11216378 Primary Full ( w2 & Tax Returns) 11171643 Primary Streamlined - Stated ( PITI Verified) 11197740 Primary Full ( w2 & Tax Returns) 11205465 Primary Full ( w2 & Tax Returns) 11223865 Primary Streamlined - Stated ( PITI Verified) 11224801 Primary Streamlined - Stated ( PITI Verified) 11225168 Primary Full ( w2 & Tax Returns) 11219667 Primary Streamlined - Stated ( PITI Verified) 11205319 Primary Full ( w2 & Tax Returns) 11193377 Primary Limited ( 12 Months Bank Statements) 11218208 Primary Full ( w2 & Tax Returns) 11180658 Primary Full ( w2 & Tax Returns) 11206144 Primary Full ( w2 & Tax Returns) 11222417 Primary Streamlined - Stated ( PITI Verified) 11212324 Primary Streamlined - Stated ( PITI Verified) 11226076 Primary Streamlined - Stated ( PITI Verified) 11184657 Primary Streamlined - Stated ( PITI Verified) 11221585 Primary Streamlined - Stated ( PITI Verified) 11212015 Primary Full ( w2 & Tax Returns) 11162587 Primary Streamlined - Stated ( PITI Verified) 11196883 Primary Stated ( Stated/Stated ) 11175986 Primary Streamlined - Stated ( PITI Verified) 11203853 Primary Full ( w2 & Tax Returns) 11217410 Primary Full ( w2 & Tax Returns) 11213596 Primary Full ( w2 & Tax Returns) 11213632 Primary Full ( w2 & Tax Returns) 11211872 Primary Limited ( 12 Months Bank Statements) 11221654 Primary Streamlined - Stated ( PITI Verified) 11208692 Primary Limited ( 12 Months Bank Statements) 11189656 Primary Full ( w2 & Tax Returns) 11194777 Primary Streamlined - Stated ( PITI Verified) 11227539 Primary Streamlined - Stated ( PITI Verified) 11227250 Primary Full ( w2 & Tax Returns) 11195339 Primary Streamlined - Stated ( PITI Verified) 11228695 Primary Stated ( Stated/Stated ) 11227408 Primary Streamlined - Stated ( PITI Verified) 11202169 Primary Full ( w2 & Tax Returns) 11229475 Primary Full ( w2 & Tax Returns) 11211204 Primary Streamlined - Stated ( PITI Verified) 11210671 Primary Full ( w2 & Tax Returns) 11209270 Primary Streamlined - Stated ( PITI Verified) 11220227 Primary Limited ( 12 Months Bank Statements) 11221258 Primary Streamlined - Stated ( PITI Verified) 11209975 Primary Full ( w2 & Tax Returns) 11222862 Primary Streamlined - Stated ( PITI Verified) 11211155 Primary Stated ( Stated/Stated ) 11164180 Primary Full ( w2 & Tax Returns) 11168105 Primary Full ( w2 & Tax Returns) 11221844 Primary Streamlined - Stated ( PITI Verified) 11195156 Primary Streamlined - Stated ( PITI Verified) 11187339 Primary Streamlined - Stated ( PITI Verified) 11212054 Primary Streamlined - Stated ( PITI Verified) 11221646 Primary Streamlined - Stated ( PITI Verified) 11194317 Primary Full ( w2 & Tax Returns) 11210763 Second/Vacation Limited ( 12 Months Bank Statements) 11218684 Primary Limited ( 12 Months Bank Statements) 11220426 Primary Streamlined - Stated ( PITI Verified) 11216326 Primary Streamlined - Stated ( PITI Verified) 11220382 Primary Streamlined - Stated ( PITI Verified) 11206430 Primary Streamlined - Stated ( PITI Verified) 11209448 Primary Full ( w2 & Tax Returns) 11215277 Primary Full ( w2 & Tax Returns) 11212099 Primary Limited ( 12 Months Bank Statements) 11212302 Primary Lite ( 6 Months Bank Statements) 11193952 Primary Limited ( 12 Months Bank Statements) 11195677 Primary Streamlined - Stated ( PITI Verified) 11218284 Primary Full ( w2 & Tax Returns) 11193775 Primary Full ( w2 & Tax Returns) 11205836 Primary Lite ( 6 Months Bank Statements) 11203021 Primary Streamlined - Stated ( PITI Verified) 11233402 Primary Stated ( Stated/Stated ) 11224120 Primary Streamlined - Stated ( PITI Verified) 11214284 Primary Limited ( 12 Months Bank Statements) 11217783 Primary Full ( w2 & Tax Returns) 11214196 Primary Full ( w2 & Tax Returns) 11205302 Primary Lite ( 6 Months Bank Statements) 11229463 Primary Streamlined - Stated ( PITI Verified) 11211518 Primary Streamlined - Stated ( PITI Verified) 11149974 Primary Streamlined - Stated ( PITI Verified) 11206081 Primary Full ( w2 & Tax Returns) 11165170 Primary Streamlined - Stated ( PITI Verified) 11217378 Primary Full ( w2 & Tax Returns) 11197990 Primary Limited ( 12 Months Bank Statements) 11221408 Primary Streamlined - Stated ( PITI Verified) 11219360 Primary Streamlined - Stated ( PITI Verified) 11208520 Primary Streamlined - Stated ( PITI Verified) 11212403 Primary Lite ( 6 Months Bank Statements) 11206433 Primary Streamlined - Stated ( PITI Verified) 11209863 Primary Lite ( 6 Months Bank Statements) 11213707 Primary Streamlined - Stated ( PITI Verified) 11201729 Primary Streamlined - Stated ( PITI Verified) 11212344 Primary Full ( w2 & Tax Returns) 11236632 Primary Streamlined - Stated ( PITI Verified) 11191919 Primary Full ( w2 & Tax Returns) 11211594 Primary Limited ( 12 Months Bank Statements) 11214346 Primary Full ( w2 & Tax Returns) 11178502 Second/Vacation Stated ( Stated/Stated ) 11203859 Primary Streamlined - Stated ( PITI Verified) 11210032 Primary Limited ( 12 Months Bank Statements) 11198705 Primary Streamlined - Stated ( PITI Verified) 11211244 Primary Limited ( 12 Months Bank Statements) 11199719 Second/Vacation Streamlined - Stated ( PITI Verified) 11203454 Primary Full ( w2 & Tax Returns) 11206551 Primary Limited ( 12 Months Bank Statements) 11213659 Primary Streamlined - Stated ( PITI Verified) 11182321 Primary Full ( w2 & Tax Returns) 11205175 Primary Streamlined - Stated ( PITI Verified) 11216639 Primary Limited ( 12 Months Bank Statements) 11191654 Primary Stated ( Stated/Stated ) 11215046 Primary Limited ( 12 Months Bank Statements) 11198149 Primary Streamlined - Stated ( PITI Verified) 11227312 Primary Full ( w2 & Tax Returns) 11221113 Primary Full ( w2 & Tax Returns) 11200022 Primary Streamlined - Stated ( PITI Verified) 11209928 Primary Full ( w2 & Tax Returns) 11212221 Primary Full ( w2 & Tax Returns) 11225415 Primary Limited ( 12 Months Bank Statements) 11210121 Primary Streamlined - Stated ( PITI Verified) 11202304 Primary Streamlined - Stated ( PITI Verified) 11202260 Primary Streamlined - Stated ( PITI Verified) 11199375 Primary Limited ( 12 Months Bank Statements) 11188759 Primary Streamlined - Stated ( PITI Verified) 11221862 Primary Full ( w2 & Tax Returns) 11206351 Primary Streamlined - Stated ( PITI Verified) 11205971 Primary Streamlined - Stated ( PITI Verified) 11207099 Primary Full ( w2 & Tax Returns) 11189057 Primary Limited ( 12 Months Bank Statements) 11195695 Primary Streamlined - Stated ( PITI Verified) 11213697 Primary Streamlined - Stated ( PITI Verified) 11194874 Primary Full ( w2 & Tax Returns) 11213360 Primary Streamlined - Stated ( PITI Verified) 11199967 Primary Full ( w2 & Tax Returns) 11193107 Primary Streamlined - Stated ( PITI Verified) 11221376 Primary Streamlined - Stated ( PITI Verified) 11166020 Primary Lite ( 6 Months Bank Statements) 11137919 Primary Streamlined - Stated ( PITI Verified) 11190157 Primary Streamlined - Stated ( PITI Verified) 11200620 Primary Streamlined - Stated ( PITI Verified) 11205655 Primary Streamlined - Stated ( PITI Verified) 11213721 Primary Lite ( 6 Months Bank Statements) 11201223 Primary Streamlined - Stated ( PITI Verified) 11220462 Primary Streamlined - Stated ( PITI Verified) 11216097 Primary Full ( w2 & Tax Returns) 11212363 Primary Streamlined - Stated ( PITI Verified) 11227678 Primary Streamlined - Stated ( PITI Verified) 11193149 Primary Full ( w2 & Tax Returns) 11215984 Primary Streamlined - Stated ( PITI Verified) 11205598 Primary Full ( w2 & Tax Returns) 11223319 Primary Full ( w2 & Tax Returns) 11178409 Primary Full ( w2 & Tax Returns) 11182088 Primary Streamlined - Stated ( PITI Verified) 11222157 Primary Streamlined - Stated ( PITI Verified) 11220241 Primary Full ( w2 & Tax Returns) 11198593 Primary Streamlined - Stated ( PITI Verified) 11210233 Primary Full ( w2 & Tax Returns) 11218382 Primary Streamlined - Stated ( PITI Verified) 11221750 Primary Streamlined - Stated ( PITI Verified) 11220632 Primary Streamlined - Stated ( PITI Verified) 11205679 Primary Full ( w2 & Tax Returns) 11224636 Primary Streamlined - Stated ( PITI Verified) 11202318 Primary Streamlined - Stated ( PITI Verified) 11207204 Primary Full ( w2 & Tax Returns) 11201031 Primary Full ( w2 & Tax Returns) 11196103 Primary Streamlined - Stated ( PITI Verified) 11208941 Primary Full ( w2 & Tax Returns) 11216732 Primary Streamlined - Stated ( PITI Verified) 11212199 Primary Streamlined - Stated ( PITI Verified) 11223493 Primary Limited ( 12 Months Bank Statements) 11198053 Primary Lite ( 6 Months Bank Statements) 11218363 Primary Streamlined - Stated ( PITI Verified) 11202244 Primary Streamlined - Stated ( PITI Verified) 11217527 Primary Limited ( 12 Months Bank Statements) 11223517 Primary Streamlined - Stated ( PITI Verified) 11203983 Primary Streamlined - Stated ( PITI Verified) 11210800 Primary Limited ( 12 Months Bank Statements) 11230561 Primary Full ( w2 & Tax Returns) 11215828 Primary Limited ( 12 Months Bank Statements) 11210421 Primary Full ( w2 & Tax Returns) 11218504 Primary Full ( w2 & Tax Returns) 11213371 Primary Streamlined - Stated ( PITI Verified) 11216142 Primary Full ( w2 & Tax Returns) 11211446 Primary Streamlined - Stated ( PITI Verified) 11201981 Primary Full ( w2 & Tax Returns) 11227747 Second/Vacation Streamlined - Stated ( PITI Verified) 11221719 Primary Streamlined - Stated ( PITI Verified) 11212098 Primary Limited ( 12 Months Bank Statements) 11217698 Primary Full ( w2 & Tax Returns) 11207047 Primary Full ( w2 & Tax Returns) 11228430 Primary Streamlined - Stated ( PITI Verified) 11210355 Primary Full ( w2 & Tax Returns) 11224169 Primary Full ( w2 & Tax Returns) 11202110 Primary Streamlined - Stated ( PITI Verified) 11210645 Primary Streamlined - Stated ( PITI Verified) 11212393 Primary Streamlined - Stated ( PITI Verified) 11196439 Primary Limited ( 12 Months Bank Statements) 11212134 Primary Streamlined - Stated ( PITI Verified) 11195705 Primary Streamlined - Stated ( PITI Verified) 11197004 Primary Streamlined - Stated ( PITI Verified) 11195425 Primary Streamlined - Stated ( PITI Verified) 11214416 Primary Full ( w2 & Tax Returns) 11211248 Primary Streamlined - Stated ( PITI Verified) 11196780 Primary Streamlined - Stated ( PITI Verified) 11222824 Primary Limited ( 12 Months Bank Statements) 11192708 Primary Stated ( Stated/Stated ) 11233320 Primary Streamlined - Stated ( PITI Verified) 11198753 Primary Full ( w2 & Tax Returns) 11202480 Primary Full ( w2 & Tax Returns) 11208960 Primary Full ( w2 & Tax Returns) 11199352 Primary Full-alt ( 24 Months Bank Statements) 11220448 Primary Full ( w2 & Tax Returns) 11198057 Primary Streamlined - Stated ( PITI Verified) 11216464 Primary Limited ( 12 Months Bank Statements) 11207046 Primary Limited ( 12 Months Bank Statements) 11179412 Primary Streamlined - Stated ( PITI Verified) 11205431 Primary Full ( w2 & Tax Returns) 11208507 Primary Streamlined - Stated ( PITI Verified) 11201474 Primary Full ( w2 & Tax Returns) 11225131 Primary Full ( w2 & Tax Returns) 11214868 Primary Streamlined - Stated ( PITI Verified) 11210543 Primary Streamlined - Stated ( PITI Verified) 11180162 Second/Vacation Full ( w2 & Tax Returns) 11203866 Primary Full ( w2 & Tax Returns) 11221098 Primary Streamlined - Stated ( PITI Verified) 11204045 Primary Streamlined - Stated ( PITI Verified) 11192130 Primary Streamlined - Stated ( PITI Verified) 11198161 Primary Streamlined - Stated ( PITI Verified) 11227242 Primary Full ( w2 & Tax Returns) 11203547 Second/Vacation Streamlined - Stated ( PITI Verified) 11212810 Primary Full ( w2 & Tax Returns) 11221567 Primary Full ( w2 & Tax Returns) 11220186 Primary Limited ( 12 Months Bank Statements) 11223272 Primary Full ( w2 & Tax Returns) 11219382 Primary Full ( w2 & Tax Returns) 11144272 Primary Limited ( 12 Months Bank Statements) 11160332 Primary Streamlined - Stated ( PITI Verified) 11149374 Primary Streamlined - Stated ( PITI Verified) 11163004 Primary Streamlined - Stated ( PITI Verified) 11173107 Primary Limited ( 12 Months Bank Statements) 11176868 Primary Streamlined - Stated ( PITI Verified) 11166197 Primary Full ( w2 & Tax Returns) 11172375 Primary Streamlined - Stated ( PITI Verified) 11172982 Primary Limited ( 12 Months Bank Statements) 11185710 Primary Streamlined - Stated ( PITI Verified) 11186131 Primary Limited ( 12 Months Bank Statements) 11190648 Primary Streamlined - Stated ( PITI Verified) 11203051 Primary Full ( w2 & Tax Returns) 11167232 Primary Full ( w2 & Tax Returns) 11198343 Primary Full ( w2 & Tax Returns) 11197778 Primary Lite ( 6 Months Bank Statements) 11177708 Primary Full ( w2 & Tax Returns) 11216094 Primary Streamlined - Stated ( PITI Verified) 11212855 Primary Full ( w2 & Tax Returns) 11191966 Primary Streamlined - Stated ( PITI Verified) 11197131 Primary Full ( w2 & Tax Returns) 11204040 Primary Full ( w2 & Tax Returns) 11216792 Primary Streamlined - Stated ( PITI Verified) 11200712 Primary Streamlined - Stated ( PITI Verified) 11232850 Primary Limited ( 12 Months Bank Statements) 11218841 Primary Streamlined - Stated ( PITI Verified) 11197142 Primary Full ( w2 & Tax Returns) 11206835 Primary Streamlined - Stated ( PITI Verified) 11216672 Primary Streamlined - Stated ( PITI Verified) 11214633 Primary Streamlined - Stated ( PITI Verified) 11189382 Primary Streamlined - Stated ( PITI Verified) 11177465 Primary Streamlined - Stated ( PITI Verified) 11211242 Primary Full ( w2 & Tax Returns) 11199607 Primary Full ( w2 & Tax Returns) 11211057 Primary Streamlined - Stated ( PITI Verified) 11228429 Primary Full ( w2 & Tax Returns) 11215766 Primary Streamlined - Stated ( PITI Verified) 11206569 Primary Streamlined - Stated ( PITI Verified) 11231190 Primary Limited ( 12 Months Bank Statements) 11200998 Primary Stated ( Stated/Stated ) 11224780 Primary Limited ( 12 Months Bank Statements) 11201656 Primary Full ( w2 & Tax Returns) 11223414 Primary Limited ( 12 Months Bank Statements) 11209406 Primary Full ( w2 & Tax Returns) 11209247 Primary Full ( w2 & Tax Returns) 11202206 Primary Streamlined - Stated ( PITI Verified) 11221089 Primary Streamlined - Stated ( PITI Verified) 11199605 Primary Full ( w2 & Tax Returns) 11208562 Primary Streamlined - Stated ( PITI Verified) 11198140 Primary Streamlined - Stated ( PITI Verified) 11208703 Primary Limited ( 12 Months Bank Statements) 11188905 Primary Streamlined - Stated ( PITI Verified) 11215599 Primary Streamlined - Stated ( PITI Verified) 11165783 Primary Streamlined - Stated ( PITI Verified) 11200751 Primary Limited ( 12 Months Bank Statements) 11207263 Primary Full ( w2 & Tax Returns) 11197822 Primary Full ( w2 & Tax Returns) 11227995 Primary Streamlined - Stated ( PITI Verified) 11200546 Primary Full ( w2 & Tax Returns) 11208313 Primary Streamlined - Stated ( PITI Verified) 11211633 Primary Limited ( 12 Months Bank Statements) 11224252 Primary Streamlined - Stated ( PITI Verified) 11212668 Primary Full ( w2 & Tax Returns) 11234979 Primary Limited ( 12 Months Bank Statements) 11193638 Primary Limited ( 12 Months Bank Statements) 11211321 Primary Full ( w2 & Tax Returns) 11230796 Primary Streamlined - Stated ( PITI Verified) 11222333 Primary Limited ( 12 Months Bank Statements) 11221401 Primary Lite ( 6 Months Bank Statements) 11225338 Primary Lite ( 6 Months Bank Statements) 11214156 Primary Limited ( 12 Months Bank Statements) 11209722 Primary Full ( w2 & Tax Returns) 11228937 Primary Full ( w2 & Tax Returns) 11210500 Primary Streamlined - Stated ( PITI Verified) 11203403 Primary Full ( w2 & Tax Returns) 11220879 Primary Streamlined - Stated ( PITI Verified) 11222228 Primary Streamlined - Stated ( PITI Verified) 11215724 Primary Streamlined - Stated ( PITI Verified) 11212622 Primary Streamlined - Stated ( PITI Verified) 11226884 Primary Full ( w2 & Tax Returns) 11187995 Primary Streamlined - Stated ( PITI Verified) 11209900 Primary Streamlined - Stated ( PITI Verified) 11194230 Primary Streamlined - Stated ( PITI Verified) 11212782 Primary Streamlined - Stated ( PITI Verified) 11216603 Primary Streamlined - Stated ( PITI Verified) 11206608 Primary Full ( w2 & Tax Returns) 11216356 Primary Streamlined - Stated ( PITI Verified) 11203237 Primary Full ( w2 & Tax Returns) 11213394 Primary Full ( w2 & Tax Returns) 11203005 Primary Full ( w2 & Tax Returns) 11234508 Primary Streamlined - Stated ( PITI Verified) 11203860 Primary Full ( w2 & Tax Returns) 11222505 Primary Full ( w2 & Tax Returns) 11208954 Primary Streamlined - Stated ( PITI Verified) 11209140 Primary Full ( w2 & Tax Returns) 11200697 Primary Streamlined - Stated ( PITI Verified) 11204346 Primary Streamlined - Stated ( PITI Verified) 11220124 Primary Full ( w2 & Tax Returns) 11216009 Primary Full ( w2 & Tax Returns) 11212153 Primary Streamlined - Stated ( PITI Verified) 11216024 Primary Full ( w2 & Tax Returns) 11215619 Primary Full ( w2 & Tax Returns) 11212713 Primary Streamlined - Stated ( PITI Verified) 11226789 Primary Full ( w2 & Tax Returns) 11211941 Primary Full ( w2 & Tax Returns) 11202982 Primary Streamlined - Stated ( PITI Verified) 11223312 Primary Full ( w2 & Tax Returns) 11182041 Primary Limited ( 12 Months Bank Statements) 11226658 Primary Streamlined - Stated ( PITI Verified) 11214125 Primary Streamlined - Stated ( PITI Verified) 11211994 Primary Streamlined - Stated ( PITI Verified) 11206469 Primary Limited ( 12 Months Bank Statements) 11202437 Primary Full ( w2 & Tax Returns) 11205297 Primary Streamlined - Stated ( PITI Verified) 11203645 Primary Full ( w2 & Tax Returns) 11207624 Primary Limited ( 12 Months Bank Statements) 11199668 Primary Streamlined - Stated ( PITI Verified) 11223914 Primary Streamlined - Stated ( PITI Verified) 11213574 Primary Streamlined - Stated ( PITI Verified) 11200430 Primary Full ( w2 & Tax Returns) 11210766 Primary Full ( w2 & Tax Returns) 11215070 Primary Limited ( 12 Months Bank Statements) 11228957 Primary Full ( w2 & Tax Returns) 11184323 Primary Streamlined - Stated ( PITI Verified) 11214967 Primary Full ( w2 & Tax Returns) 11199007 Primary Streamlined - Stated ( PITI Verified) 11219547 Primary Streamlined - Stated ( PITI Verified) 11232610 Primary Full ( w2 & Tax Returns) 11216572 Primary Streamlined - Stated ( PITI Verified) 11139942 Primary Streamlined - Stated ( PITI Verified) 11167392 Primary Streamlined - Stated ( PITI Verified) 11213978 Second/Vacation Limited ( 12 Months Bank Statements) 11211768 Primary Limited ( 12 Months Bank Statements) 11212807 Primary Limited ( 12 Months Bank Statements) 11229080 Primary Streamlined - Stated ( PITI Verified) 11217779 Primary Streamlined - Stated ( PITI Verified) 11231755 Primary Limited ( 12 Months Bank Statements) 11209570 Primary Streamlined - Stated ( PITI Verified) 11208332 Primary Streamlined - Stated ( PITI Verified) 11233596 Primary Streamlined - Stated ( PITI Verified) 11223525 Primary Full ( w2 & Tax Returns) 11208694 Primary Full ( w2 & Tax Returns) Loanid PRODTYPE INDEX DTI CONRTRDATE - ----------------------------------------------------------------------------------------------------------------------------------------- 11169592 2/28 6 ML 6ML 37.57 4/1/2007 11204530 30 YR FIXED FIX 25.41 00/00/0000 11210834 2/28 6 ML with 5 yr IO 6ML 48.95 6/1/2007 11224524 2/28 6 ML 6ML 31.3 6/1/2007 11216679 2/28 6 ML 30/40 BALLOON 6ML 46.62 6/1/2007 11221148 30 YR FIXED FIX 51.77 00/00/0000 11204200 2/28 6 ML 6ML 33.36 6/1/2007 11222367 2/28 6 ML 30/40 BALLOON 6ML 39.67 6/1/2007 11188976 2/28 6 ML 6ML 44.79 5/1/2007 11188236 2/28 6 ML with 5 yr IO 6ML 20.05 5/1/2007 11169081 2/28 6 ML with 5 yr IO 6ML 43.24 6/1/2007 11218752 2/28 6 ML 6ML 49.09 6/1/2007 11211274 2/28 6 ML with 5 yr IO 6ML 36.24 6/1/2007 11227400 3/27 6 ML 6ML 45.57 5/1/2008 11202069 2/28 6 ML 30/40 BALLOON 6ML 45.5 5/1/2007 11214149 2/28 6 ML 6ML 23.62 6/1/2007 11207767 2/28 6 ML 6ML 45.57 5/1/2007 11205586 2/28 6 ML with 5 yr IO 6ML 49.91 5/1/2007 11190148 2/28 6 ML 6ML 36.83 5/1/2007 11198856 2/28 6 ML 6ML 27.58 6/1/2007 11231706 2/28 6 ML 6ML 27.91 6/1/2007 11230373 2/28 6 ML 6ML 48.66 5/1/2007 11215369 30 YR FIXED FIX 28.38 00/00/0000 11203652 2/28 6 ML 6ML 30.58 5/1/2007 11210622 2/28 6 ML 6ML 50.25 6/1/2007 11168652 2/28 6 ML with 5 yr IO 6ML 44.85 5/1/2007 11213185 2/28 6 ML 30/40 BALLOON 6ML 44.81 6/1/2007 11197395 2/28 6 ML 30/40 BALLOON 6ML 42.48 5/1/2007 11178194 2/28 6 ML 6ML 9.55 4/1/2007 11198203 2/28 6 ML 6ML 46.22 6/1/2007 11198583 2/28 6 ML 6ML 39.09 6/1/2007 11194055 2/28 6 ML 6ML 42.69 5/1/2007 11197985 2/28 6 ML 6ML 45.74 5/1/2007 11202684 2/28 6 ML 6ML 20.41 6/1/2007 11227525 2/28 6 ML 6ML 41.59 6/1/2007 11205496 2/28 6 ML 30/40 BALLOON 6ML 38.25 6/1/2007 11210976 2/28 6 ML 6ML 43.06 6/1/2007 11188238 2/28 6 ML 6ML 40.25 6/1/2007 11202470 2/28 6 ML with 5 yr IO 6ML 33.03 6/1/2007 11206820 2/28 6 ML 30/40 BALLOON 6ML 29.87 6/1/2007 11212665 2/28 6 ML 30/40 BALLOON 6ML 39.41 6/1/2007 11190748 2/28 6 ML 6ML 43.82 5/1/2007 11229976 2/28 6 ML with 5 yr IO 6ML 26.09 6/1/2007 11181528 2/28 6 ML 6ML 52.39 5/1/2007 11212745 30 YR FIXED FIX 44.49 00/00/0000 11226417 2/28 6 ML 6ML 33.6 6/1/2007 11206475 30 YR FIXED 30/40 BALLOON FIX 50.78 00/00/0000 11204139 30 YR FIXED 30/40 BALLOON FIX 41.41 00/00/0000 11200964 2/28 6 ML 30/40 BALLOON 6ML 47.66 6/1/2007 11200997 2/28 6 ML 6ML 30.79 5/1/2007 11187324 2/28 6 ML 30/40 BALLOON 6ML 57.34 5/1/2007 11226229 2/28 6 ML 6ML 44.31 6/1/2007 11230400 2/28 6 ML 6ML 46.41 6/1/2007 11196182 2/28 6 ML 6ML 39.72 5/1/2007 11225549 2/28 6 ML 6ML 30.7 6/1/2007 11216937 2/28 6 ML 6ML 48.81 6/1/2007 11210440 2/28 6 ML 6ML 44.63 6/1/2007 11222184 2/28 6 ML 6ML 24.45 6/1/2007 11219993 2/28 6 ML with 5 yr IO 6ML 48.1 6/1/2007 11223735 2/28 6 ML 30/40 BALLOON 6ML 47.59 6/1/2007 11226384 2/28 6 ML 6ML 48.33 6/1/2007 11185470 2/28 6 ML 30/40 BALLOON 6ML 43.02 6/1/2007 11228465 2/28 6 ML 6ML 49.89 6/1/2007 11214041 2/28 6 ML 6ML 35.32 6/1/2007 11228811 2/28 6 ML 6ML 44.29 6/1/2007 11190878 30 YR FIXED 30/40 BALLOON FIX 37.06 00/00/0000 11210070 2/28 6 ML 6ML 43.86 6/1/2007 11226006 2/28 6 ML 30/40 BALLOON 6ML 52.35 6/1/2007 11213994 2/28 6 ML 6ML 25.71 6/1/2007 11200733 2/28 6 ML 6ML 18.89 6/1/2007 11224915 2/28 6 ML with 5 yr IO 6ML 35.47 6/1/2007 11204287 2/28 6 ML 6ML 41.3 5/1/2007 11210136 5/25 6 ML with 5 yr IO 6ML 35.16 6/1/2010 11214648 2/28 6 ML with 5 yr IO 6ML 42.88 6/1/2007 11217630 5/25 6 ML 30/40 BALLOON 6ML 37.42 6/1/2010 11201105 2/28 6 ML 30/40 BALLOON 6ML 50.01 6/1/2007 11205939 2/28 6 ML 30/40 BALLOON 6ML 40.34 5/1/2007 11231196 2/28 6 ML 6ML 38.15 6/1/2007 11221503 2/28 6 ML 6ML 54.43 6/1/2007 11209790 2/28 6 ML 6ML 48.63 6/1/2007 11214762 2/28 6 ML 6ML 47.26 6/1/2007 11230208 2/28 6 ML with 5 yr IO 6ML 47.46 6/1/2007 11197282 2/28 6 ML 30/40 BALLOON 6ML 38.18 6/1/2007 11220104 30 YR FIXED FIX 51.31 00/00/0000 11206554 2/28 6 ML with 5 yr IO 6ML 41.99 6/1/2007 11222843 5/25 6 ML 6ML 39.29 6/1/2010 11176575 5/25 6 ML 6ML 43.69 5/1/2010 11196148 2/28 6 ML 6ML 44.96 6/1/2007 11222031 2/28 6 ML 6ML 47.35 6/1/2007 11155550 30 YR FIXED FIX 44.83 00/00/0000 11210668 2/28 6 ML 6ML 49.81 6/1/2007 11201777 2/28 6 ML 6ML 23.45 5/1/2007 11179216 5/25 6 ML with 10 yr IO 6ML 39.57 6/1/2010 11212949 2/28 6 ML 6ML 40.63 6/1/2007 11203410 30 YR FIXED FIX 30.86 00/00/0000 11211767 30 YR FIXED FIX 48.81 00/00/0000 11206631 2/28 6 ML 6ML 51.11 5/1/2007 11216258 2/28 6 ML 6ML 43.72 6/1/2007 11220387 3/27 6 ML 6ML 45.9 7/1/2008 11201930 2/28 6 ML 30/40 BALLOON 6ML 37.23 5/1/2007 11226403 2/28 6 ML 30/40 BALLOON 6ML 46.9 6/1/2007 11206772 2/28 6 ML 6ML 48.2 5/1/2007 11211025 2/28 6 ML 6ML 54.67 6/1/2007 11212101 30 YR FIXED FIX 31.97 00/00/0000 11183875 30 YR FIXED FIX 41.41 00/00/0000 11204783 2/28 6 ML 30/40 BALLOON 6ML 22.82 5/1/2007 11220110 2/28 6 ML with 10 yr IO 6ML 35.51 6/1/2007 11187427 2/28 6 ML 6ML 30.75 6/1/2007 11174291 5/25 6 ML with 5 yr IO 6ML 32.46 6/1/2010 11225660 2/28 6 ML 30/40 BALLOON 6ML 49.06 6/1/2007 11215786 2/28 6 ML 6ML 33.57 6/1/2007 11202714 2/28 6 ML 6ML 41.54 6/1/2007 11214437 2/28 6 ML 6ML 31.52 6/1/2007 11223302 2/28 6 ML 30/40 BALLOON 6ML 54.64 6/1/2007 11224551 2/28 6 ML with 5 yr IO 6ML 30.34 6/1/2007 11198804 2/28 6 ML 6ML 37.6 6/1/2007 11215594 2/28 6 ML 6ML 49.94 6/1/2007 11214300 2/28 6 ML 30/40 BALLOON 6ML 41.04 6/1/2007 11225419 2/28 6 ML with 5 yr IO 6ML 48.3 6/1/2007 11225609 2/28 6 ML 30/40 BALLOON 6ML 47.41 6/1/2007 11168291 2/28 6 ML 6ML 46.53 5/1/2007 11225989 30 YR FIXED FIX 36.45 00/00/0000 11183045 3/27 6 ML 6ML 28.84 5/1/2008 11182753 2/28 6 ML 6ML 49.81 6/1/2007 11200006 2/28 6 ML 30/40 BALLOON 6ML 46.26 5/1/2007 11185286 2/28 6 ML 30/40 BALLOON 6ML 50.49 6/1/2007 11191480 2/28 6 ML with 5 yr IO 6ML 33.93 5/1/2007 11226162 2/28 6 ML 30/40 BALLOON 6ML 37.84 6/1/2007 11165452 5/25 6 ML with 5 yr IO 6ML 32.53 5/1/2010 11206701 2/28 6 ML 30/40 BALLOON 6ML 31.25 6/1/2007 11210296 2/28 6 ML with 5 yr IO 6ML 33.29 6/1/2007 11209767 2/28 6 ML 6ML 41.77 6/1/2007 11203281 2/28 6 ML 6ML 34.47 6/1/2007 11218559 2/28 6 ML 6ML 40.88 6/1/2007 11192200 2/28 6 ML 6ML 13.6 5/1/2007 11207307 2/28 6 ML 6ML 43.38 6/1/2007 11202140 2/28 6 ML 6ML 44.56 6/1/2007 11183348 2/28 6 ML with 5 yr IO 6ML 34.31 5/1/2007 11203114 30 YR FIXED 30/40 BALLOON FIX 34.48 00/00/0000 11207740 2/28 6 ML 6ML 42.6 6/1/2007 11176980 2/28 6 ML 6ML 32.45 6/1/2007 11208038 2/28 6 ML 6ML 46.25 6/1/2007 11201939 2/28 6 ML with 5 yr IO 6ML 35.73 5/1/2007 11214505 2/28 6 ML 6ML 27.31 6/1/2007 11226731 2/28 6 ML 6ML 40.27 6/1/2007 11200652 2/28 6 ML with 5 yr IO 6ML 40.85 5/1/2007 11221675 2/28 6 ML with 5 yr IO 6ML 35.15 6/1/2007 11229200 2/28 6 ML with 5 yr IO 6ML 38.15 6/1/2007 11225425 2/28 6 ML with 5 yr IO 6ML 40.34 6/1/2007 11222128 2/28 6 ML 6ML 48.65 6/1/2007 11194208 2/28 6 ML 6ML 37.15 5/1/2007 11188929 30 YR FIXED FIX 16.13 00/00/0000 11184551 30 YR FIXED FIX 43.35 00/00/0000 11213060 2/28 6 ML 6ML 46.23 6/1/2007 11132447 3/27 6 ML 6ML 46.08 2/1/2008 11205798 2/28 6 ML 6ML 30.24 5/1/2007 11191380 5/25 6 ML with 5 yr IO 6ML 41.34 5/1/2010 11193096 30 YR FIXED FIX 37.07 00/00/0000 11181870 2/28 6 ML with 5 yr IO 6ML 44.92 6/1/2007 11219214 2/28 6 ML 6ML 37.43 6/1/2007 11214788 2/28 6 ML 6ML 40.47 6/1/2007 11217572 2/28 6 ML 6ML 51.78 6/1/2007 11223984 2/28 6 ML 6ML 48.9 6/1/2007 11205886 2/28 6 ML 30/40 BALLOON 6ML 49.48 6/1/2007 11201573 2/28 6 ML 30/40 BALLOON 6ML 40.86 6/1/2007 11219238 2/28 6 ML 6ML 49.13 6/1/2007 11190850 2/28 6 ML with 5 yr IO 6ML 37.1 5/1/2007 11225734 2/28 6 ML 30/40 BALLOON 6ML 44 6/1/2007 11200302 2/28 6 ML 6ML 40.91 6/1/2007 11147229 2/28 6 ML 6ML 42.16 4/1/2007 11183152 2/28 6 ML 6ML 27.43 6/1/2007 11226181 2/28 6 ML 6ML 46.97 6/1/2007 11196149 2/28 6 ML 6ML 50.87 6/1/2007 11196994 5/25 6 ML 30/40 BALLOON 6ML 22.43 6/1/2010 11134605 2/28 6 ML 6ML 33.63 2/1/2007 11213597 5/25 6 ML 30/40 BALLOON 6ML 18.81 6/1/2010 11201579 2/28 6 ML 30/40 BALLOON 6ML 40.25 6/1/2007 11171964 2/28 6 ML 6ML 43.08 5/1/2007 11219754 30 YR FIXED 30/40 BALLOON FIX 46.57 00/00/0000 11206536 2/28 6 ML 30/40 BALLOON 6ML 43.15 5/1/2007 11215790 30 YR FIXED FIX 12.33 00/00/0000 11174290 2/28 6 ML 6ML 25.96 4/1/2007 11206254 2/28 6 ML with 5 yr IO 6ML 30.87 5/1/2007 11197750 2/28 6 ML 6ML 15.96 5/1/2007 11221876 2/28 6 ML with 5 yr IO 6ML 42.68 6/1/2007 11216552 2/28 6 ML with 5 yr IO 6ML 20.09 4/1/2007 11200606 2/28 6 ML with 5 yr IO 6ML 29.34 6/1/2007 11196755 2/28 6 ML with 5 yr IO 6ML 41.4 6/1/2007 11202099 2/28 6 ML 6ML 37.04 5/1/2007 11186091 30 YR FIXED FIX 46.28 00/00/0000 11216188 2/28 6 ML 6ML 37.9 6/1/2007 11224170 5/25 6 ML 6ML 41.22 6/1/2010 11210921 2/28 6 ML 30/40 BALLOON 6ML 39.91 6/1/2007 11217482 15 YR FIXED FIX 34.15 00/00/0000 11215973 2/28 6 ML with 5 yr IO 6ML 29.8 6/1/2007 11207494 2/28 6 ML 6ML 31.21 5/1/2007 11230131 2/28 6 ML 6ML 23.69 6/1/2007 11230932 2/28 6 ML with 10 yr IO 6ML 40.77 6/1/2007 11212482 2/28 6 ML with 5 yr IO 6ML 44.14 6/1/2007 11229166 2/28 6 ML 6ML 47.49 6/1/2007 11206486 2/28 6 ML 6ML 53.6 6/1/2007 11231991 30 YR FIXED FIX 37.38 00/00/0000 11187955 2/28 6 ML 6ML 60.71 5/1/2007 11219179 30 YR FIXED FIX 36.94 00/00/0000 11202498 30 YR FIXED FIX 56.16 00/00/0000 11222387 2/28 6 ML 30/40 BALLOON 6ML 37.85 6/1/2007 11202732 2/28 6 ML 6ML 37.88 6/1/2007 11148687 2/28 6 ML with 5 yr IO 6ML 35.39 4/1/2007 11218368 2/28 6 ML 30/40 BALLOON 6ML 49.38 6/1/2007 11217112 2/28 6 ML 6ML 49.54 6/1/2007 11208159 30 YR FIXED FIX 54.35 00/00/0000 11187776 2/28 6 ML with 5 yr IO 6ML 51.89 5/1/2007 11217822 5/25 6 ML with 10 yr IO 6ML 35.37 6/1/2010 11224131 2/28 6 ML with 5 yr IO 6ML 33.56 6/1/2007 11199288 2/28 6 ML with 5 yr IO 6ML 39.57 5/1/2007 11217406 30 YR FIXED FIX 37.2 00/00/0000 11198496 2/28 6 ML 6ML 40.21 6/1/2007 11203944 30 YR FIXED FIX 42.51 00/00/0000 11189520 2/28 6 ML 6ML 33.11 6/1/2007 11212880 2/28 6 ML 6ML 21.28 6/1/2007 11232688 5/25 6 ML with 5 yr IO 6ML 31.85 6/1/2010 11192531 2/28 6 ML 30/40 BALLOON 6ML 33.89 6/1/2007 11199366 2/28 6 ML with 5 yr IO 6ML 49.63 6/1/2007 11217750 2/28 6 ML 6ML 56.89 6/1/2007 11170117 2/28 6 ML 6ML 47.3 5/1/2007 11199255 2/28 6 ML 6ML 58.2 5/1/2007 11199301 2/28 6 ML 6ML 35.79 6/1/2007 11215725 2/28 6 ML 6ML 48.34 6/1/2007 11226610 2/28 6 ML 6ML 29.36 6/1/2007 11204140 2/28 6 ML 6ML 10.52 6/1/2007 11192810 2/28 6 ML 6ML 47.78 5/1/2007 11175942 2/28 6 ML 6ML 53.35 6/1/2007 11227511 2/28 6 ML with 5 yr IO 6ML 18.86 6/1/2007 11186635 2/28 6 ML with 10 yr IO 6ML 22.24 6/1/2007 11224048 2/28 6 ML 6ML 40.2 6/1/2007 11225785 2/28 6 ML 6ML 11.33 6/1/2007 11203486 2/28 6 ML with 5 yr IO 6ML 39.28 6/1/2007 11214191 30 YR FIXED FIX 46.72 00/00/0000 11196749 2/28 6 ML with 5 yr IO 6ML 43.67 5/1/2007 11157876 2/28 6 ML with 5 yr IO 6ML 44.54 5/1/2007 11205605 2/28 6 ML 6ML 33.41 6/1/2007 11229960 2/28 6 ML 6ML 48.59 6/1/2007 11223341 2/28 6 ML 6ML 44.72 6/1/2007 11201032 3/27 6 ML 30/40 BALLOON 6ML 39.69 6/1/2008 11192823 5/25 6 ML 6ML 47.89 6/1/2010 11220061 3/27 6 ML 6ML 40.72 6/1/2008 11221344 2/28 6 ML with 5 yr IO 6ML 40.54 6/1/2007 11171831 30 YR FIXED FIX 48.79 00/00/0000 11189580 2/28 6 ML 6ML 47.39 5/1/2007 11207034 2/28 6 ML 30/40 BALLOON 6ML 49.82 5/1/2007 11216268 2/28 6 ML 30/40 BALLOON 6ML 46 6/1/2007 11220096 2/28 6 ML 6ML 47.15 6/1/2007 11200119 30 YR FIXED FIX 39.84 00/00/0000 11187089 30 YR FIXED FIX 18.36 00/00/0000 11225117 2/28 6 ML 6ML 48.66 6/1/2007 11212791 2/28 6 ML 30/40 BALLOON 6ML 41.81 6/1/2007 11230236 2/28 6 ML 30/40 BALLOON 6ML 50.1 6/1/2007 11204552 2/28 6 ML 6ML 40.57 5/1/2007 11216319 2/28 6 ML 30/40 BALLOON 6ML 22.02 6/1/2007 11196972 2/28 6 ML 6ML 49.47 6/1/2007 11199619 2/28 6 ML with 5 yr IO 6ML 40.19 5/1/2007 11226915 30 YR FIXED FIX 22.33 00/00/0000 11193448 30 YR FIXED FIX 54.82 00/00/0000 11180582 30 YR FIXED FIX 40.62 00/00/0000 11199610 2/28 6 ML with 5 yr IO 6ML 30.64 6/1/2007 11182483 5/25 6 ML with 5 yr IO 6ML 41.71 4/1/2010 11200125 2/28 6 ML 6ML 46.82 6/1/2007 11227241 2/28 6 ML with 10 yr IO 6ML 38.17 6/1/2007 11192128 2/28 6 ML 6ML 43.66 5/1/2007 11218386 2/28 6 ML 6ML 42.39 6/1/2007 11224518 2/28 6 ML with 5 yr IO 6ML 36.41 6/1/2007 11221952 2/28 6 ML 6ML 45.4 6/1/2007 11237207 2/28 6 ML 6ML 41.48 6/1/2007 11130824 2/28 6 ML 6ML 47.97 3/1/2007 11224487 5/25 6 ML with 5 yr IO 6ML 33.86 6/1/2010 11179556 2/28 6 ML with 5 yr IO 6ML 45.45 5/1/2007 11211255 2/28 6 ML 30/40 BALLOON 6ML 43.58 6/1/2007 11223320 2/28 6 ML 6ML 53.35 6/1/2007 11160535 2/28 6 ML 6ML 42.26 5/1/2007 11230434 2/28 6 ML with 5 yr IO 6ML 29.56 6/1/2007 11212002 2/28 6 ML 30/40 BALLOON 6ML 47.16 6/1/2007 11180173 2/28 6 ML with 5 yr IO 6ML 29.69 5/1/2007 11215682 2/28 6 ML 30/40 BALLOON 6ML 50.46 6/1/2007 11225763 2/28 6 ML 6ML 42.86 6/1/2007 11212465 15 YR FIXED FIX 37.32 00/00/0000 11178536 2/28 6 ML 6ML 20 3/1/2007 11215649 2/28 6 ML 30/40 BALLOON 6ML 49.23 6/1/2007 11207332 30 YR FIXED FIX 39.76 00/00/0000 11230507 15 YR FIXED FIX 23.72 00/00/0000 11189668 30 YR FIXED FIX 48.09 00/00/0000 11215363 2/28 6 ML 6ML 45.53 6/1/2007 11161984 2/28 6 ML 6ML 43.59 5/1/2007 11219541 2/28 6 ML 30/40 BALLOON 6ML 44.74 6/1/2007 11211386 2/28 6 ML 6ML 52.91 6/1/2007 11222634 2/28 6 ML 6ML 49.88 6/1/2007 11218596 2/28 6 ML 30/40 BALLOON 6ML 38.51 6/1/2007 11207835 2/28 6 ML 6ML 39.84 6/1/2007 11225817 3/27 6 ML 6ML 38.08 6/1/2008 11215307 3/27 6 ML 6ML 31.13 6/1/2008 11210380 2/28 6 ML 6ML 41.35 6/1/2007 11232988 2/28 6 ML 30/40 BALLOON 6ML 44.74 6/1/2007 11214097 2/28 6 ML 6ML 50.51 6/1/2007 11208055 30 YR FIXED FIX 42.42 00/00/0000 11215136 2/28 6 ML 6ML 49.35 6/1/2007 11212041 5/25 6 ML 30/40 BALLOON 6ML 19.21 6/1/2010 11200232 2/28 6 ML with 5 yr IO 6ML 40.73 6/1/2007 11189726 2/28 6 ML with 5 yr IO 6ML 37.67 5/1/2007 11211500 2/28 6 ML 6ML 11.91 6/1/2007 11214699 2/28 6 ML 6ML 34.39 6/1/2007 11218669 2/28 6 ML 6ML 50.87 6/1/2007 11216733 2/28 6 ML 6ML 43.32 6/1/2007 11200156 30 YR FIXED FIX 18.79 00/00/0000 11197014 2/28 6 ML with 5 yr IO 6ML 36.65 5/1/2007 11213110 2/28 6 ML with 5 yr IO 6ML 28.09 6/1/2007 11209127 2/28 6 ML 30/40 BALLOON 6ML 40.81 6/1/2007 11226307 30 YR FIXED FIX 41.04 00/00/0000 11211457 5/25 6 ML 6ML 38.67 6/1/2010 11230024 2/28 6 ML 6ML 25.79 6/1/2007 11198225 2/28 6 ML with 5 yr IO 6ML 40.79 6/1/2007 11200334 2/28 6 ML 6ML 46.45 6/1/2007 11203463 5/25 6 ML 6ML 25.15 6/1/2010 11219702 2/28 6 ML 6ML 44.36 6/1/2007 11193936 2/28 6 ML 30/40 BALLOON 6ML 32.23 6/1/2007 11197534 2/28 6 ML with 5 yr IO 6ML 34.86 6/1/2007 11200735 2/28 6 ML 6ML 47.59 6/1/2007 11214519 2/28 6 ML 30/40 BALLOON 6ML 48.22 6/1/2007 11199053 2/28 6 ML 30/40 BALLOON 6ML 37.53 5/1/2007 11231742 30 YR FIXED 30/40 BALLOON FIX 46.59 00/00/0000 11235294 2/28 6 ML 6ML 56.01 6/1/2007 11191065 30 YR FIXED FIX 36.41 00/00/0000 11176186 30 YR FIXED FIX 38.83 00/00/0000 11199493 2/28 6 ML 6ML 43.2 6/1/2007 11205853 5/25 6 ML with 5 yr IO 6ML 33.13 6/1/2010 11200649 2/28 6 ML with 5 yr IO 6ML 36.88 5/1/2007 11226740 2/28 6 ML with 5 yr IO 6ML 16.02 6/1/2007 11216730 2/28 6 ML 6ML 31.92 6/1/2007 11205640 2/28 6 ML 30/40 BALLOON 6ML 33.08 5/1/2007 11184747 2/28 6 ML with 5 yr IO 6ML 47 5/1/2007 11237697 2/28 6 ML 6ML 41.16 6/1/2007 11219628 3/27 6 ML with 5 yr IO 6ML 41.39 6/1/2008 11199876 2/28 6 ML 6ML 32.57 5/1/2007 11220534 30 YR FIXED 30/40 BALLOON FIX 55.36 00/00/0000 11220557 2/28 6 ML 30/40 BALLOON 6ML 20.74 6/1/2007 11199684 2/28 6 ML 6ML 36.22 6/1/2007 11222322 5/25 6 ML with 5 yr IO 6ML 35.35 6/1/2010 11217046 30 YR FIXED FIX 45.41 00/00/0000 11174332 2/28 6 ML 6ML 22.95 4/1/2007 11229474 2/28 6 ML 30/40 BALLOON 6ML 48.98 6/1/2007 11202034 2/28 6 ML with 5 yr IO 6ML 30.91 6/1/2007 11151810 2/28 6 ML 6ML 42.08 4/1/2007 11086757 2/28 6 ML with 5 yr IO 6ML 27.51 12/1/2006 11201635 2/28 6 ML 6ML 36.73 6/1/2007 11222425 2/28 6 ML 30/40 BALLOON 6ML 41.23 6/1/2007 11165898 2/28 6 ML with 5 yr IO 6ML 42.94 4/1/2007 11171780 2/28 6 ML 6ML 30.17 5/1/2007 11227195 2/28 6 ML 6ML 44.3 6/1/2007 11175721 2/28 6 ML 6ML 36.27 5/1/2007 11211636 2/28 6 ML 6ML 29.48 6/1/2007 11219811 2/28 6 ML 30/40 BALLOON 6ML 52.01 6/1/2007 11193201 2/28 6 ML with 5 yr IO 6ML 50.27 5/1/2007 11191042 2/28 6 ML 6ML 33.51 6/1/2007 11169117 2/28 6 ML 6ML 50.06 5/1/2007 11210042 30 YR FIXED FIX 47.51 00/00/0000 11189533 3/27 6 ML with 5 yr IO 6ML 29.81 6/1/2008 11198260 30 YR FIXED FIX 44.32 00/00/0000 11195001 2/28 6 ML 6ML 45.83 5/1/2007 11229905 2/28 6 ML 6ML 52.3 6/1/2007 11184817 2/28 6 ML 30/40 BALLOON 6ML 39.56 5/1/2007 11198433 2/28 6 ML 30/40 BALLOON 6ML 43.45 5/1/2007 11175735 2/28 6 ML 6ML 34.14 6/1/2007 11214630 2/28 6 ML with 5 yr IO 6ML 41.43 6/1/2007 11224133 30 YR FIXED FIX 21.36 00/00/0000 11218964 2/28 6 ML with 5 yr IO 6ML 45.54 6/1/2007 11174043 2/28 6 ML 6ML 30.73 5/1/2007 11217931 2/28 6 ML 30/40 BALLOON 6ML 48.53 6/1/2007 11187668 2/28 6 ML 6ML 33.05 6/1/2007 11198999 5/25 6 ML with 5 yr IO 6ML 32.18 6/1/2010 11206020 2/28 6 ML 6ML 34.26 6/1/2007 11209745 2/28 6 ML 6ML 48.22 6/1/2007 11201153 2/28 6 ML 30/40 BALLOON 6ML 33.4 6/1/2007 11208688 2/28 6 ML 6ML 39.25 6/1/2007 11204561 2/28 6 ML 6ML 42.09 6/1/2007 11211322 2/28 6 ML 30/40 BALLOON 6ML 29.41 6/1/2007 11218089 30 YR FIXED FIX 17.02 00/00/0000 11203871 2/28 6 ML 6ML 45.42 6/1/2007 11172903 2/28 6 ML 30/40 BALLOON 6ML 48.49 5/1/2007 11213630 5/25 6 ML with 5 yr IO 6ML 37.08 6/1/2010 11203997 2/28 6 ML 6ML 36.13 6/1/2007 11197049 30 YR FIXED FIX 51.69 00/00/0000 11182578 2/28 6 ML 6ML 52.87 5/1/2007 11206702 2/28 6 ML with 5 yr IO 6ML 41.75 5/1/2007 11202395 2/28 6 ML 30/40 BALLOON 6ML 47.07 5/1/2007 11188291 2/28 6 ML with 5 yr IO 6ML 44.96 5/1/2007 11199666 2/28 6 ML 6ML 35.31 5/1/2007 11203808 30 YR FIXED FIX 14.57 00/00/0000 11228526 2/28 6 ML 6ML 37.96 5/1/2007 11196389 2/28 6 ML 6ML 46.93 5/1/2007 11184425 2/28 6 ML with 5 yr IO 6ML 36.44 5/1/2007 11224183 5/25 6 ML with 5 yr IO 6ML 45.96 6/1/2010 11209231 2/28 6 ML 6ML 15.64 6/1/2007 11203745 2/28 6 ML 6ML 41.74 5/1/2007 11211541 2/28 6 ML 6ML 44.09 6/1/2007 11197629 2/28 6 ML 6ML 38.2 6/1/2007 11206564 2/28 6 ML 30/40 BALLOON 6ML 34.97 6/1/2007 11232730 2/28 6 ML 6ML 39.27 6/1/2007 11223829 2/28 6 ML 30/40 BALLOON 6ML 38.57 6/1/2007 11217524 3/27 6 ML 6ML 39.15 5/1/2008 11223974 30 YR FIXED FIX 45.72 00/00/0000 11220333 2/28 6 ML 30/40 BALLOON 6ML 42.54 6/1/2007 11196691 2/28 6 ML 6ML 40.39 5/1/2007 11206072 2/28 6 ML with 5 yr IO 6ML 30.09 6/1/2007 11197634 2/28 6 ML 6ML 49.8 5/1/2007 11222806 2/28 6 ML 6ML 49.22 6/1/2007 11198176 2/28 6 ML with 5 yr IO 6ML 44.53 6/1/2007 11219078 5/25 6 ML 6ML 32.13 6/1/2010 11191167 2/28 6 ML 6ML 43.99 5/1/2007 11212975 2/28 6 ML 6ML 31.59 6/1/2007 11229637 5/25 6 ML 30/40 BALLOON 6ML 50.26 6/1/2010 11221463 2/28 6 ML 30/40 BALLOON 6ML 54.57 6/1/2007 11215226 2/28 6 ML 30/40 BALLOON 6ML 24.76 6/1/2007 11208807 2/28 6 ML 6ML 34.94 6/1/2007 11219148 2/28 6 ML 6ML 39.58 6/1/2007 11205119 2/28 6 ML 30/40 BALLOON 6ML 36.7 6/1/2007 11234533 2/28 6 ML 30/40 BALLOON 6ML 30.3 6/1/2007 11211489 2/28 6 ML 6ML 37.88 6/1/2007 11192902 2/28 6 ML 6ML 49.93 5/1/2007 11232449 2/28 6 ML 6ML 48.07 6/1/2007 11192136 2/28 6 ML 30/40 BALLOON 6ML 39.37 6/1/2007 11213814 2/28 6 ML 30/40 BALLOON 6ML 48.89 6/1/2007 11202643 2/28 6 ML 30/40 BALLOON 6ML 39.5 5/1/2007 11217284 2/28 6 ML 6ML 46.67 6/1/2007 11184345 2/28 6 ML 6ML 34.25 5/1/2007 11198848 2/28 6 ML 6ML 39.71 6/1/2007 11204235 2/28 6 ML 6ML 42.21 6/1/2007 11215483 30 YR FIXED FIX 34.25 00/00/0000 11210358 3/27 6 ML 6ML 49.06 6/1/2008 11220043 2/28 6 ML 6ML 47.36 6/1/2007 11222630 2/28 6 ML 30/40 BALLOON 6ML 41.83 6/1/2007 11186544 2/28 6 ML 6ML 43.68 6/1/2007 11229196 2/28 6 ML 6ML 46.64 6/1/2007 11196677 2/28 6 ML 6ML 45.89 5/1/2007 11220180 2/28 6 ML 6ML 39.53 6/1/2007 11176698 2/28 6 ML 6ML 41.18 4/1/2007 11213443 2/28 6 ML 6ML 27.88 6/1/2007 11208607 2/28 6 ML 6ML 49.39 6/1/2007 11200692 30 YR FIXED FIX 46.4 00/00/0000 11219985 5/25 6 ML 6ML 46.55 6/1/2010 11220215 2/28 6 ML with 5 yr IO 6ML 32.87 6/1/2007 11200825 2/28 6 ML with 5 yr IO 6ML 38.27 5/1/2007 11215933 2/28 6 ML with 5 yr IO 6ML 44.44 6/1/2007 11210514 2/28 6 ML 30/40 BALLOON 6ML 39.8 6/1/2007 11209939 2/28 6 ML 6ML 40.58 4/1/2007 11227238 30 YR FIXED FIX 44.68 00/00/0000 11220275 2/28 6 ML 30/40 BALLOON 6ML 47.62 6/1/2007 11228225 2/28 6 ML 30/40 BALLOON 6ML 43.46 6/1/2007 11230309 2/28 6 ML 6ML 49.74 6/1/2007 11219908 2/28 6 ML with 5 yr IO 6ML 38.42 6/1/2007 11204153 2/28 6 ML 30/40 BALLOON 6ML 39.44 6/1/2007 11216500 2/28 6 ML 30/40 BALLOON 6ML 47.62 6/1/2007 11151319 30 YR FIXED FIX 44.08 00/00/0000 11207258 2/28 6 ML with 5 yr IO 6ML 46.18 6/1/2007 11206960 2/28 6 ML 30/40 BALLOON 6ML 44.29 5/1/2007 11197360 2/28 6 ML with 5 yr IO 6ML 36.72 6/1/2007 11182901 15 YR FIXED FIX 41.84 00/00/0000 11201457 2/28 6 ML 6ML 49.01 5/1/2007 11223424 2/28 6 ML 6ML 57.54 6/1/2007 11205569 3/27 6 ML 6ML 35.58 6/1/2008 11192862 2/28 6 ML 6ML 41.17 6/1/2007 11208767 2/28 6 ML 30/40 BALLOON 6ML 40.94 6/1/2007 11198861 2/28 6 ML 6ML 49.87 5/1/2007 11195802 2/28 6 ML 6ML 48.27 6/1/2007 11196275 2/28 6 ML 30/40 BALLOON 6ML 29.38 5/1/2007 11232921 2/28 6 ML 30/40 BALLOON 6ML 48.53 6/1/2007 11204204 2/28 6 ML 30/40 BALLOON 6ML 47.82 5/1/2007 11187205 2/28 6 ML 30/40 BALLOON 6ML 49.3 6/1/2007 11192988 2/28 6 ML 6ML 41.02 6/1/2007 11188181 2/28 6 ML 6ML 45.28 5/1/2007 11218463 2/28 6 ML 30/40 BALLOON 6ML 28.35 6/1/2007 11200357 2/28 6 ML 30/40 BALLOON 6ML 44.49 5/1/2007 11206086 2/28 6 ML 6ML 40.3 6/1/2007 11173173 30 YR FIXED FIX 32.51 00/00/0000 11165762 2/28 6 ML 6ML 41.83 4/1/2007 11203024 2/28 6 ML 6ML 33.81 5/1/2007 11202113 2/28 6 ML 30/40 BALLOON 6ML 46.41 6/1/2007 11220155 2/28 6 ML 6ML 47.62 6/1/2007 11226481 2/28 6 ML with 5 yr IO 6ML 50.1 6/1/2007 11185519 30 YR FIXED FIX 13.53 00/00/0000 11215796 2/28 6 ML 6ML 31.18 6/1/2007 11177499 5/25 6 ML 6ML 47.32 6/1/2010 11197924 2/28 6 ML 6ML 38.33 6/1/2007 11208066 15 YR FIXED FIX 46.69 00/00/0000 11231744 2/28 6 ML with 5 yr IO 6ML 40.45 6/1/2007 11182157 2/28 6 ML 6ML 44.93 6/1/2007 11195130 2/28 6 ML with 5 yr IO 6ML 25.81 5/1/2007 11214047 2/28 6 ML 6ML 48.06 6/1/2007 11203424 2/28 6 ML 6ML 34.33 6/1/2007 11195248 2/28 6 ML 30/40 BALLOON 6ML 35.31 6/1/2007 11153303 2/28 6 ML 6ML 47.61 3/1/2007 11182260 2/28 6 ML with 5 yr IO 6ML 25.02 5/1/2007 11187301 2/28 6 ML 6ML 20.42 6/1/2007 11203701 30 YR FIXED FIX 52.77 00/00/0000 11196777 2/28 6 ML with 5 yr IO 6ML 31.17 5/1/2007 11200724 5/25 6 ML with 5 yr IO 6ML 38.35 5/1/2010 11221653 2/28 6 ML 6ML 53.69 6/1/2007 11213179 5/25 6 ML 6ML 18.21 6/1/2010 11222800 2/28 6 ML with 5 yr IO 6ML 44.51 6/1/2007 11193912 2/28 6 ML with 5 yr IO 6ML 29.21 6/1/2007 11192045 3/27 6 ML with 5 yr IO 6ML 32.68 6/1/2008 11210691 2/28 6 ML 30/40 BALLOON 6ML 38.12 6/1/2007 11188035 3/27 6 ML 30/40 BALLOON 6ML 43.94 6/1/2008 11233123 30 YR FIXED FIX 34.44 00/00/0000 11209651 2/28 6 ML 30/40 BALLOON 6ML 49.31 6/1/2007 11213528 2/28 6 ML 6ML 47.89 6/1/2007 11176837 5/25 6 ML 6ML 50.72 6/1/2010 11203898 30 YR FIXED FIX 40.9 00/00/0000 11194075 2/28 6 ML with 5 yr IO 6ML 34.66 6/1/2007 11205361 30 YR FIXED FIX 27.19 00/00/0000 11221997 2/28 6 ML 6ML 45.66 6/1/2007 11216410 2/28 6 ML 30/40 BALLOON 6ML 49.34 6/1/2007 11173282 2/28 6 ML 6ML 37.02 4/1/2007 11176041 5/25 6 ML with 5 yr IO 6ML 44.13 6/1/2010 11223587 2/28 6 ML 30/40 BALLOON 6ML 50.59 6/1/2007 11206387 2/28 6 ML 6ML 30.26 6/1/2007 11237130 2/28 6 ML 6ML 34.94 6/1/2007 11222165 2/28 6 ML 6ML 32.09 6/1/2007 11173335 2/28 6 ML with 5 yr IO 6ML 49.17 5/1/2007 11189296 2/28 6 ML 6ML 47.95 5/1/2007 11212083 2/28 6 ML 30/40 BALLOON 6ML 48.69 6/1/2007 11196447 2/28 6 ML with 5 yr IO 6ML 35.59 5/1/2007 11203765 5/25 6 ML with 5 yr IO 6ML 47.71 6/1/2010 11209779 3/27 6 ML 6ML 43.56 6/1/2008 11190237 30 YR FIXED FIX 32.78 00/00/0000 11168552 2/28 6 ML with 5 yr IO 6ML 47.93 5/1/2007 11212671 30 YR FIXED FIX 14.51 00/00/0000 11216622 2/28 6 ML 6ML 47.08 6/1/2007 11194652 2/28 6 ML 30/40 BALLOON 6ML 39.54 6/1/2007 11196461 2/28 6 ML 6ML 39.8 5/1/2007 11173905 2/28 6 ML 6ML 49.84 5/1/2007 11190013 5/25 6 ML 6ML 20.31 6/1/2010 11171070 2/28 6 ML with 5 yr IO 6ML 39.34 5/1/2007 11180993 2/28 6 ML with 5 yr IO 6ML 35.79 5/1/2007 11210352 2/28 6 ML 6ML 45.93 6/1/2007 11214662 2/28 6 ML with 5 yr IO 6ML 43.01 6/1/2007 11212345 2/28 6 ML 6ML 33 5/1/2007 11183119 5/25 6 ML with 5 yr IO 6ML 40.29 6/1/2010 11211404 2/28 6 ML with 5 yr IO 6ML 47.72 6/1/2007 11204199 30 YR FIXED 30/40 BALLOON FIX 37.01 00/00/0000 11204766 2/28 6 ML 30/40 BALLOON 6ML 50.41 6/1/2007 11206973 2/28 6 ML 6ML 37.31 5/1/2007 11221882 2/28 6 ML with 5 yr IO 6ML 43.24 6/1/2007 11193653 30 YR FIXED FIX 46.56 00/00/0000 11186613 2/28 6 ML 6ML 26.32 5/1/2007 11210561 3/27 6 ML 6ML 46.87 6/1/2008 11189792 2/28 6 ML 6ML 19.36 5/1/2007 11199231 2/28 6 ML 6ML 12.24 6/1/2007 11220312 5/25 6 ML with 5 yr IO 6ML 35.16 6/1/2010 11223267 2/28 6 ML 30/40 BALLOON 6ML 40.16 6/1/2007 11195980 2/28 6 ML 6ML 19.83 5/1/2007 11201004 2/28 6 ML 30/40 BALLOON 6ML 35.96 6/1/2007 11215620 2/28 6 ML with 5 yr IO 6ML 40.83 6/1/2007 11217877 2/28 6 ML with 5 yr IO 6ML 27.6 6/1/2007 11208700 2/28 6 ML 30/40 BALLOON 6ML 34.15 6/1/2007 11177310 2/28 6 ML with 5 yr IO 6ML 28.04 5/1/2007 11211764 2/28 6 ML with 5 yr IO 6ML 39.77 5/1/2007 11201812 5/25 6 ML with 5 yr IO 6ML 32.82 5/1/2010 11220606 2/28 6 ML 30/40 BALLOON 6ML 42.17 6/1/2007 11229505 10 YR FIXED FIX 47.45 00/00/0000 11199323 2/28 6 ML 6ML 50.24 6/1/2007 11194444 30 YR FIXED FIX 49.83 00/00/0000 11213639 30 YR FIXED FIX 43.87 00/00/0000 11191988 2/28 6 ML 30/40 BALLOON 6ML 49.71 6/1/2007 11208294 2/28 6 ML with 5 yr IO 6ML 48.87 5/1/2007 11203738 2/28 6 ML with 5 yr IO 6ML 39.78 5/1/2007 11230324 2/28 6 ML with 5 yr IO 6ML 34.88 6/1/2007 11160822 2/28 6 ML 6ML 30.79 6/1/2007 11200163 2/28 6 ML with 5 yr IO 6ML 21.5 5/1/2007 11216281 2/28 6 ML 6ML 44.67 6/1/2007 11208054 2/28 6 ML 30/40 BALLOON 6ML 47.95 5/1/2007 11214129 2/28 6 ML 6ML 49.53 6/1/2007 11211403 3/27 6 ML 6ML 35.66 5/1/2008 11203196 2/28 6 ML 6ML 43.78 5/1/2007 11202367 2/28 6 ML with 5 yr IO 6ML 43.31 6/1/2007 11158664 30 YR FIXED FIX 42.46 00/00/0000 11206138 2/28 6 ML 6ML 42.15 6/1/2007 11208799 2/28 6 ML 6ML 25.58 6/1/2007 11231976 2/28 6 ML 6ML 46 6/1/2007 11222926 2/28 6 ML 6ML 33.48 6/1/2007 11222315 2/28 6 ML 30/40 BALLOON 6ML 25.72 6/1/2007 11186819 2/28 6 ML 30/40 BALLOON 6ML 48.08 5/1/2007 11209197 2/28 6 ML 6ML 10.8 6/1/2007 11196325 2/28 6 ML 30/40 BALLOON 6ML 49.94 6/1/2007 11217722 2/28 6 ML 6ML 48.26 6/1/2007 11205863 2/28 6 ML 6ML 38.98 6/1/2007 11177566 2/28 6 ML with 5 yr IO 6ML 44.78 5/1/2007 11194968 3/27 6 ML 6ML 59.01 5/1/2008 11214277 20 YR FIXED FIX 31.94 00/00/0000 11225404 2/28 6 ML 6ML 46.18 6/1/2007 11211279 30 YR FIXED FIX 28.91 00/00/0000 11153624 2/28 6 ML 6ML 38.61 4/1/2007 11193333 2/28 6 ML 30/40 BALLOON 6ML 47.48 6/1/2007 11194565 2/28 6 ML 6ML 44.32 5/1/2007 11218662 2/28 6 ML 30/40 BALLOON 6ML 48.33 6/1/2007 11202126 2/28 6 ML with 5 yr IO 6ML 41.76 6/1/2007 11204055 2/28 6 ML with 5 yr IO 6ML 37 6/1/2007 11182577 2/28 6 ML 6ML 33.29 6/1/2007 11231121 2/28 6 ML 6ML 48.24 6/1/2007 11218266 2/28 6 ML with 5 yr IO 6ML 44.88 6/1/2007 11212645 5/25 6 ML with 5 yr IO 6ML 51.36 6/1/2010 11225194 2/28 6 ML with 5 yr IO 6ML 43.9 6/1/2007 11227715 2/28 6 ML 6ML 42.25 6/1/2007 11207475 2/28 6 ML 6ML 43.38 5/1/2007 11217863 2/28 6 ML 6ML 29.34 6/1/2007 11195273 2/28 6 ML 6ML 49.65 5/1/2007 11195012 5/25 6 ML 6ML 50.91 5/1/2010 11235483 2/28 6 ML 6ML 46.54 6/1/2007 11184849 2/28 6 ML 6ML 49.11 5/1/2007 11232640 2/28 6 ML 6ML 21.63 6/1/2007 11187866 2/28 6 ML 6ML 53.86 5/1/2007 11220961 2/28 6 ML 6ML 49.35 6/1/2007 11201261 2/28 6 ML with 5 yr IO 6ML 26.53 6/1/2007 11192636 30 YR FIXED FIX 36.69 00/00/0000 11224021 2/28 6 ML 30/40 BALLOON 6ML 48.77 6/1/2007 11206940 2/28 6 ML 6ML 43.01 5/1/2007 11217400 2/28 6 ML 30/40 BALLOON 6ML 46.12 6/1/2007 11231337 2/28 6 ML 6ML 49.75 6/1/2007 11204762 2/28 6 ML 6ML 43.04 6/1/2007 11197927 30 YR FIXED FIX 29.04 00/00/0000 11223993 30 YR FIXED FIX 31.05 00/00/0000 11181143 2/28 6 ML 6ML 30.3 6/1/2007 11217026 2/28 6 ML 30/40 BALLOON 6ML 45.98 6/1/2007 11186146 30 YR FIXED FIX 26.47 00/00/0000 11223583 2/28 6 ML 30/40 BALLOON 6ML 43.56 6/1/2007 11162886 2/28 6 ML 6ML 37.91 6/1/2007 11191344 2/28 6 ML 6ML 44.34 6/1/2007 11170933 2/28 6 ML with 5 yr IO 6ML 48.72 4/1/2007 11211507 2/28 6 ML 30/40 BALLOON 6ML 49.76 6/1/2007 11195976 2/28 6 ML with 5 yr IO 6ML 44.98 6/1/2007 11194720 2/28 6 ML 6ML 28.08 6/1/2007 11212049 2/28 6 ML with 5 yr IO 6ML 39.8 6/1/2007 11196240 0.5/29.5 6 ML 6ML 39.25 11/1/2005 11182725 2/28 6 ML 6ML 37.1 6/1/2007 11199800 2/28 6 ML 6ML 48.85 6/1/2007 11224650 2/28 6 ML 6ML 39.55 6/1/2007 11214029 2/28 6 ML 6ML 49.65 6/1/2007 11220162 2/28 6 ML 30/40 BALLOON 6ML 43.38 6/1/2007 11201369 2/28 6 ML 30/40 BALLOON 6ML 43.64 6/1/2007 11217896 2/28 6 ML 30/40 BALLOON 6ML 47.34 6/1/2007 11173833 2/28 6 ML 6ML 43.3 6/1/2007 11202639 2/28 6 ML 6ML 28.1 6/1/2007 11166406 2/28 6 ML with 5 yr IO 6ML 40.17 4/1/2007 11223007 2/28 6 ML 30/40 BALLOON 6ML 43.14 6/1/2007 11213799 2/28 6 ML with 5 yr IO 6ML 39.61 6/1/2007 11205847 2/28 6 ML 30/40 BALLOON 6ML 44 6/1/2007 11208360 3/27 6 ML 6ML 36.76 5/1/2008 11216274 2/28 6 ML 30/40 BALLOON 6ML 24.24 6/1/2007 11216040 3/27 6 ML 30/40 BALLOON 6ML 36.47 6/1/2008 11234906 2/28 6 ML with 5 yr IO 6ML 38.24 6/1/2007 11211871 2/28 6 ML 6ML 25.25 6/1/2007 11219039 2/28 6 ML 6ML 39.61 6/1/2007 11217786 2/28 6 ML 6ML 28.33 6/1/2007 11222575 3/27 6 ML 6ML 52.95 5/1/2008 11231156 5/25 6 ML with 5 yr IO 6ML 42.23 6/1/2010 11210576 2/28 6 ML 30/40 BALLOON 6ML 48.47 5/1/2007 11215515 2/28 6 ML 30/40 BALLOON 6ML 56.19 6/1/2007 11220552 2/28 6 ML 6ML 41.35 6/1/2007 11215975 30 YR FIXED FIX 42.91 00/00/0000 11210110 2/28 6 ML 6ML 38.35 6/1/2007 11197055 2/28 6 ML 6ML 43 6/1/2007 11230245 2/28 6 ML with 5 yr IO 6ML 50.26 6/1/2007 11188093 2/28 6 ML with 5 yr IO 6ML 41.65 5/1/2007 11186032 30 YR FIXED FIX 43.44 00/00/0000 11229762 30 YR FIXED FIX 49.65 00/00/0000 11209532 2/28 6 ML 30/40 BALLOON 6ML 47.06 6/1/2007 11198864 2/28 6 ML 30/40 BALLOON 6ML 39.62 5/1/2007 11211399 2/28 6 ML 6ML 41.19 6/1/2007 11221965 2/28 6 ML 6ML 46.14 6/1/2007 11219082 3/27 6 ML 6ML 45.66 6/1/2008 11204612 30 YR FIXED FIX 29.41 00/00/0000 11197261 2/28 6 ML 6ML 47.12 6/1/2007 11209813 2/28 6 ML 6ML 49.99 5/1/2007 11204442 2/28 6 ML 6ML 39.61 6/1/2007 11212400 2/28 6 ML with 10 yr IO 6ML 36.16 6/1/2007 11196765 2/28 6 ML 6ML 9.23 6/1/2007 11205040 2/28 6 ML 6ML 47.38 6/1/2007 11220749 2/28 6 ML 6ML 28.08 6/1/2007 11221497 2/28 6 ML with 5 yr IO 6ML 39.67 6/1/2007 11221589 30 YR FIXED FIX 40.1 00/00/0000 11233445 5/25 6 ML with 5 yr IO 6ML 31.58 6/1/2010 11167897 2/28 6 ML 6ML 15.21 5/1/2007 11204751 2/28 6 ML with 5 yr IO 6ML 36.62 5/1/2007 11172528 2/28 6 ML 6ML 36.7 5/1/2007 11225947 2/28 6 ML 30/40 BALLOON 6ML 49.97 6/1/2007 11220562 2/28 6 ML 6ML 43.87 6/1/2007 11208111 2/28 6 ML 30/40 BALLOON 6ML 50.5 5/1/2007 11212390 2/28 6 ML 6ML 44.99 6/1/2007 11208255 30 YR FIXED FIX 32.57 00/00/0000 11192947 2/28 6 ML 30/40 BALLOON 6ML 37.36 5/1/2007 11194821 2/28 6 ML with 10 yr IO 6ML 45.11 5/1/2007 11224696 30 YR FIXED FIX 28.75 00/00/0000 11223284 2/28 6 ML 6ML 43.92 6/1/2007 11216667 2/28 6 ML 6ML 36.63 6/1/2007 11202610 2/28 6 ML 30/40 BALLOON 6ML 39.68 5/1/2007 11195416 2/28 6 ML with 5 yr IO 6ML 44.71 5/1/2007 11184674 2/28 6 ML 6ML 49.47 6/1/2007 11196984 2/28 6 ML 6ML 23.95 5/1/2007 11204826 2/28 6 ML 30/40 BALLOON 6ML 47.86 5/1/2007 11179365 2/28 6 ML with 5 yr IO 6ML 38.04 5/1/2007 11222613 2/28 6 ML 6ML 46.22 5/1/2007 11207501 2/28 6 ML 6ML 42.68 6/1/2007 11194145 2/28 6 ML 6ML 49.25 6/1/2007 11172792 2/28 6 ML with 5 yr IO 6ML 44.7 5/1/2007 11216351 2/28 6 ML 6ML 30.37 6/1/2007 11227561 2/28 6 ML 30/40 BALLOON 6ML 40.91 7/1/2007 11228035 2/28 6 ML 6ML 49.41 6/1/2007 11204985 2/28 6 ML 30/40 BALLOON 6ML 48.99 5/1/2007 11206224 2/28 6 ML with 5 yr IO 6ML 41.39 6/1/2007 11212565 2/28 6 ML with 5 yr IO 6ML 36.11 6/1/2007 11201317 2/28 6 ML 6ML 39.85 6/1/2007 11218918 2/28 6 ML 6ML 32.03 6/1/2007 11204207 2/28 6 ML 6ML 42.87 6/1/2007 11209706 2/28 6 ML with 5 yr IO 6ML 41.52 6/1/2007 11186799 2/28 6 ML 6ML 53.17 6/1/2007 11198975 2/28 6 ML with 5 yr IO 6ML 49.05 6/1/2007 11198495 5/25 6 ML with 5 yr IO 6ML 43.81 5/1/2010 11211250 2/28 6 ML 6ML 37.52 6/1/2007 11168533 2/28 6 ML with 5 yr IO 6ML 21.31 5/1/2007 11182170 2/28 6 ML 6ML 46.87 6/1/2007 11189493 2/28 6 ML 30/40 BALLOON 6ML 25.22 5/1/2007 11222312 2/28 6 ML 6ML 46.65 6/1/2007 11224430 2/28 6 ML 6ML 43.39 6/1/2007 11175610 2/28 6 ML 6ML 49.17 5/1/2007 11232496 2/28 6 ML 30/40 BALLOON 6ML 43.87 6/1/2007 11171051 2/28 6 ML 6ML 52.41 6/1/2007 11199182 30 YR FIXED 30/40 BALLOON FIX 49.39 00/00/0000 11217425 2/28 6 ML 30/40 BALLOON 6ML 23.53 6/1/2007 11163881 2/28 6 ML with 5 yr IO 6ML 36.06 5/1/2007 11206027 2/28 6 ML with 5 yr IO 6ML 45.53 5/1/2007 11196655 2/28 6 ML 6ML 56.22 5/1/2007 11223497 2/28 6 ML 30/40 BALLOON 6ML 31.11 6/1/2007 11225882 2/28 6 ML with 5 yr IO 6ML 42 6/1/2007 11183326 30 YR FIXED FIX 50.57 00/00/0000 11201389 2/28 6 ML 6ML 47.82 6/1/2007 11180460 2/28 6 ML 6ML 56.36 5/1/2007 11188509 2/28 6 ML 6ML 34.33 5/1/2007 11178621 2/28 6 ML 6ML 40.2 4/1/2007 11210446 2/28 6 ML 6ML 44.89 6/1/2007 11213492 30 YR FIXED FIX 24.66 00/00/0000 11210492 30 YR FIXED FIX 48.98 00/00/0000 11177851 5/25 6 ML 6ML 40.3 6/1/2010 11224382 2/28 6 ML with 5 yr IO 6ML 23.04 6/1/2007 11078858 2/28 6 ML 6ML 44.55 12/1/2006 11187194 2/28 6 ML with 5 yr IO 6ML 33.93 5/1/2007 11204406 2/28 6 ML 6ML 44.91 6/1/2007 11219436 2/28 6 ML with 5 yr IO 6ML 27.62 6/1/2007 11228115 2/28 6 ML 30/40 BALLOON 6ML 31.49 6/1/2007 11195568 2/28 6 ML with 5 yr IO 6ML 40.49 6/1/2007 11194956 2/28 6 ML 30/40 BALLOON 6ML 49.74 6/1/2007 11196930 2/28 6 ML 30/40 BALLOON 6ML 44.57 5/1/2007 11231397 2/28 6 ML with 5 yr IO 6ML 34.25 6/1/2007 11210786 2/28 6 ML 6ML 36.65 6/1/2007 11214649 2/28 6 ML 6ML 29.54 6/1/2007 11212490 30 YR FIXED FIX 41.49 00/00/0000 11184963 2/28 6 ML 6ML 27.15 5/1/2007 11201288 2/28 6 ML 30/40 BALLOON 6ML 32 5/1/2007 11219259 2/28 6 ML 6ML 43.33 6/1/2007 11178597 2/28 6 ML 6ML 49.37 5/1/2007 11196936 2/28 6 ML 30/40 BALLOON 6ML 46.53 6/1/2007 11205209 30 YR FIXED FIX 47.32 00/00/0000 11177442 15 YR FIXED FIX 36.6 00/00/0000 11223251 2/28 6 ML 30/40 BALLOON 6ML 35.37 6/1/2007 11200585 2/28 6 ML 6ML 47.93 6/1/2007 11175570 3/27 6 ML 6ML 33.1 5/1/2008 11221390 2/28 6 ML with 5 yr IO 6ML 32.83 6/1/2007 11205480 2/28 6 ML 6ML 46.39 6/1/2007 11206797 30 YR FIXED FIX 43.02 00/00/0000 11223224 2/28 6 ML 6ML 41.41 6/1/2007 11207593 5/25 6 ML with 5 yr IO 6ML 36.6 5/1/2010 11208477 2/28 6 ML 30/40 BALLOON 6ML 36.24 6/1/2007 11223542 2/28 6 ML 6ML 31.07 6/1/2007 11204505 2/28 6 ML 30/40 BALLOON 6ML 40.09 6/1/2007 11175458 2/28 6 ML with 5 yr IO 6ML 44.63 5/1/2007 11215163 2/28 6 ML with 5 yr IO 6ML 32.18 6/1/2007 11156578 2/28 6 ML 6ML 41.75 6/1/2007 11152427 2/28 6 ML 6ML 35.28 4/1/2007 11235081 2/28 6 ML 6ML 40.6 6/1/2007 11217780 2/28 6 ML 6ML 46.26 6/1/2007 11179821 30 YR FIXED 30/40 BALLOON FIX 21.83 00/00/0000 11183306 2/28 6 ML 6ML 44.87 5/1/2007 11197222 2/28 6 ML 30/40 BALLOON 6ML 41.31 5/1/2007 11211579 2/28 6 ML with 5 yr IO 6ML 44.42 6/1/2007 11231512 5/25 6 ML with 5 yr IO 6ML 42.44 6/1/2010 11220994 2/28 6 ML 6ML 32.24 6/1/2007 11220409 2/28 6 ML 30/40 BALLOON 6ML 46 6/1/2007 11227544 2/28 6 ML 6ML 45.39 6/1/2007 11221721 2/28 6 ML 6ML 49.43 6/1/2007 11205389 2/28 6 ML 6ML 42 6/1/2007 11201472 2/28 6 ML 6ML 43.86 6/1/2007 11222203 5/25 6 ML 30/40 BALLOON 6ML 26.37 6/1/2010 11206738 2/28 6 ML 30/40 BALLOON 6ML 48.54 6/1/2007 11199940 2/28 6 ML 6ML 46.67 6/1/2007 11218639 2/28 6 ML with 5 yr IO 6ML 45.34 6/1/2007 11204947 2/28 6 ML with 5 yr IO 6ML 39.59 6/1/2007 11209758 2/28 6 ML 30/40 BALLOON 6ML 45.93 6/1/2007 11212122 2/28 6 ML 30/40 BALLOON 6ML 39.06 6/1/2007 11215381 2/28 6 ML 6ML 38.35 6/1/2007 11206670 2/28 6 ML 30/40 BALLOON 6ML 30.45 6/1/2007 11199507 30 YR FIXED FIX 49.78 00/00/0000 11179844 2/28 6 ML 30/40 BALLOON 6ML 47.71 6/1/2007 11186961 2/28 6 ML with 5 yr IO 6ML 30.11 5/1/2007 11214417 2/28 6 ML 6ML 37.43 6/1/2007 11224532 2/28 6 ML 6ML 19.35 6/1/2007 11207177 2/28 6 ML 6ML 48.14 6/1/2007 11212112 2/28 6 ML 30/40 BALLOON 6ML 33.79 5/1/2007 11231679 2/28 6 ML with 5 yr IO 6ML 44.63 6/1/2007 11192466 2/28 6 ML 6ML 32.47 5/1/2007 11155643 3/27 6 ML 6ML 40.69 4/1/2008 11185802 2/28 6 ML 6ML 42.34 6/1/2007 11181590 2/28 6 ML with 5 yr IO 6ML 41.75 5/1/2007 11206388 2/28 6 ML 30/40 BALLOON 6ML 40.49 6/1/2007 11202705 2/28 6 ML with 5 yr IO 6ML 31.22 5/1/2007 11191511 2/28 6 ML 6ML 18.53 5/1/2007 11169448 2/28 6 ML 6ML 49.5 6/1/2007 11211075 2/28 6 ML 6ML 54.56 6/1/2007 11198516 2/28 6 ML with 5 yr IO 6ML 43.08 5/1/2007 11173309 2/28 6 ML with 5 yr IO 6ML 36.1 5/1/2007 11215491 2/28 6 ML 6ML 49.49 6/1/2007 11203239 3/27 6 ML 6ML 25.52 6/1/2008 11209882 30 YR FIXED 30/40 BALLOON FIX 5.92 00/00/0000 11211624 2/28 6 ML 30/40 BALLOON 6ML 54.6 6/1/2007 11196774 2/28 6 ML 30/40 BALLOON 6ML 25.52 5/1/2007 11189006 2/28 6 ML 6ML 46.81 5/1/2007 11218681 2/28 6 ML with 5 yr IO 6ML 39.79 6/1/2007 11194457 2/28 6 ML 30/40 BALLOON 6ML 31.62 5/1/2007 11192302 2/28 6 ML 30/40 BALLOON 6ML 47.29 5/1/2007 11226052 2/28 6 ML 30/40 BALLOON 6ML 43.02 6/1/2007 11207752 2/28 6 ML with 5 yr IO 6ML 38.95 6/1/2007 11204279 2/28 6 ML with 5 yr IO 6ML 48.57 6/1/2007 11200066 2/28 6 ML 6ML 24.79 6/1/2007 11226736 2/28 6 ML 6ML 49.45 6/1/2007 11205212 30 YR FIXED FIX 37.21 00/00/0000 11203362 2/28 6 ML 6ML 37.57 5/1/2007 11160371 30 YR FIXED FIX 41.67 00/00/0000 11172624 2/28 6 ML 6ML 49.3 5/1/2007 11215242 2/28 6 ML 30/40 BALLOON 6ML 32.88 6/1/2007 11223327 30 YR FIXED FIX 44.85 00/00/0000 11190512 2/28 6 ML 6ML 25.83 5/1/2007 11202276 2/28 6 ML 30/40 BALLOON 6ML 42.82 6/1/2007 11207205 2/28 6 ML 30/40 BALLOON 6ML 37.63 6/1/2007 11217452 30 YR FIXED FIX 48.89 00/00/0000 11206267 2/28 6 ML 30/40 BALLOON 6ML 36.54 5/1/2007 11221180 2/28 6 ML 6ML 38.07 6/1/2007 11198680 2/28 6 ML 6ML 29.74 6/1/2007 11221012 2/28 6 ML 6ML 50.33 6/1/2007 11207754 2/28 6 ML 6ML 41.51 5/1/2007 11207488 2/28 6 ML 30/40 BALLOON 6ML 34.92 6/1/2007 11186189 2/28 6 ML with 5 yr IO 6ML 40.8 6/1/2007 11160457 2/28 6 ML with 5 yr IO 6ML 41.99 6/1/2007 11198375 5/25 6 ML 30/40 BALLOON 6ML 33.65 6/1/2010 11214671 2/28 6 ML with 5 yr IO 6ML 37.5 6/1/2007 11165745 2/28 6 ML with 5 yr IO 6ML 43.74 5/1/2007 11230467 2/28 6 ML 6ML 54.75 6/1/2007 11222918 2/28 6 ML 6ML 50.21 6/1/2007 11217805 30 YR FIXED FIX 45.86 00/00/0000 11181257 5/25 6 ML with 5 yr IO 6ML 47.27 5/1/2010 11204715 2/28 6 ML 6ML 33.94 5/1/2007 11199209 5/25 6 ML 6ML 40.98 6/1/2010 11159787 2/28 6 ML 6ML 49.62 4/1/2007 11190407 2/28 6 ML with 5 yr IO 6ML 43.36 6/1/2007 11216535 2/28 6 ML 6ML 41.7 6/1/2007 11205091 2/28 6 ML 6ML 15.3 6/1/2007 11205577 30 YR FIXED FIX 34.69 00/00/0000 11185777 2/28 6 ML 6ML 31 5/1/2007 11208051 2/28 6 ML 30/40 BALLOON 6ML 44.52 5/1/2007 11212581 2/28 6 ML 6ML 49.53 6/1/2007 11204497 3/27 6 ML 6ML 39.82 6/1/2008 11220204 2/28 6 ML 6ML 44.85 6/1/2007 11196176 2/28 6 ML 30/40 BALLOON 6ML 45.62 5/1/2007 11190188 2/28 6 ML 6ML 49.58 6/1/2007 11206681 2/28 6 ML 6ML 43.28 6/1/2007 11227314 2/28 6 ML 6ML 47.09 6/1/2007 11168885 3/27 6 ML 6ML 49.93 5/1/2008 11146755 30 YR FIXED FIX 45.33 00/00/0000 11193981 2/28 6 ML 30/40 BALLOON 6ML 49.25 6/1/2007 11215710 2/28 6 ML with 5 yr IO 6ML 32.11 6/1/2007 11182207 2/28 6 ML 6ML 32.57 5/1/2007 11218989 2/28 6 ML 30/40 BALLOON 6ML 46.75 6/1/2007 11192740 5/25 6 ML 6ML 47.3 5/1/2010 11207802 30 YR FIXED FIX 41.01 00/00/0000 11214533 2/28 6 ML 30/40 BALLOON 6ML 38.16 6/1/2007 11206280 2/28 6 ML 30/40 BALLOON 6ML 41.2 6/1/2007 11214793 2/28 6 ML 6ML 29.03 6/1/2007 11221091 2/28 6 ML with 5 yr IO 6ML 49.5 6/1/2007 11208250 2/28 6 ML 6ML 33.03 6/1/2007 11205623 2/28 6 ML 30/40 BALLOON 6ML 39.92 5/1/2007 11217926 2/28 6 ML with 5 yr IO 6ML 30.27 6/1/2007 11216249 2/28 6 ML 6ML 39.02 6/1/2007 11216489 2/28 6 ML 30/40 BALLOON 6ML 49.29 6/1/2007 11187962 2/28 6 ML 6ML 46.4 5/1/2007 11223157 2/28 6 ML 6ML 47.25 6/1/2007 11214172 30 YR FIXED FIX 48.23 00/00/0000 11211854 2/28 6 ML 6ML 34.37 6/1/2007 11225020 2/28 6 ML 30/40 BALLOON 6ML 27.96 6/1/2007 11165163 2/28 6 ML 6ML 49.38 4/1/2007 11198770 2/28 6 ML 6ML 39.24 4/1/2007 11214370 2/28 6 ML 6ML 35.42 6/1/2007 11214652 2/28 6 ML 6ML 48.32 6/1/2007 11210395 2/28 6 ML 30/40 BALLOON 6ML 51.53 5/1/2007 11220723 2/28 6 ML 30/40 BALLOON 6ML 32.77 6/1/2007 11226763 2/28 6 ML with 5 yr IO 6ML 24.35 6/1/2007 11216217 2/28 6 ML 6ML 25.96 6/1/2007 11197987 2/28 6 ML with 5 yr IO 6ML 42.35 6/1/2007 11201077 30 YR FIXED FIX 26.65 00/00/0000 11195700 2/28 6 ML 6ML 35.38 6/1/2007 11177356 2/28 6 ML 30/40 BALLOON 6ML 30.88 4/1/2007 11193776 2/28 6 ML with 5 yr IO 6ML 35.43 5/1/2007 11215105 2/28 6 ML 6ML 42.66 6/1/2007 11212167 2/28 6 ML 6ML 31.53 6/1/2007 11214585 30 YR FIXED 30/40 BALLOON FIX 42.73 00/00/0000 11222732 2/28 6 ML 30/40 BALLOON 6ML 40.22 6/1/2007 11236512 2/28 6 ML 30/40 BALLOON 6ML 38.44 6/1/2007 11195873 2/28 6 ML 6ML 40.86 5/1/2007 11220791 2/28 6 ML 6ML 54.51 6/1/2007 11212115 2/28 6 ML 30/40 BALLOON 6ML 48.02 6/1/2007 11170671 2/28 6 ML 6ML 26.16 5/1/2007 11204828 2/28 6 ML 6ML 49.65 6/1/2007 11196391 2/28 6 ML 6ML 48.93 6/1/2007 11215045 2/28 6 ML 30/40 BALLOON 6ML 34.92 6/1/2007 11213602 2/28 6 ML 30/40 BALLOON 6ML 43.6 6/1/2007 11203421 2/28 6 ML with 5 yr IO 6ML 25.27 6/1/2007 11212186 2/28 6 ML with 5 yr IO 6ML 33.74 6/1/2007 11203581 2/28 6 ML with 5 yr IO 6ML 29.27 5/1/2007 11188010 2/28 6 ML 6ML 46.03 5/1/2007 11205974 2/28 6 ML 6ML 28.67 5/1/2007 11225146 5/25 6 ML 6ML 40.42 6/1/2010 11218004 2/28 6 ML 30/40 BALLOON 6ML 52.56 6/1/2007 11218293 2/28 6 ML 6ML 43.11 6/1/2007 11182572 30 YR FIXED FIX 37.11 00/00/0000 11197669 2/28 6 ML 6ML 24.96 6/1/2007 11203671 2/28 6 ML 6ML 57.67 5/1/2007 11230294 2/28 6 ML 30/40 BALLOON 6ML 40.81 6/1/2007 11205702 30 YR FIXED FIX 30.99 00/00/0000 11208317 30 YR FIXED 30/40 BALLOON FIX 46.38 00/00/0000 11179402 2/28 6 ML 6ML 42.13 5/1/2007 11212487 2/28 6 ML 6ML 43.06 6/1/2007 11213896 2/28 6 ML 30/40 BALLOON 6ML 37.87 6/1/2007 11210367 2/28 6 ML 6ML 44.16 6/1/2007 11188423 2/28 6 ML 6ML 33.95 5/1/2007 11197890 2/28 6 ML with 5 yr IO 6ML 41.22 5/1/2007 11190628 2/28 6 ML 6ML 41.33 6/1/2007 11166045 2/28 6 ML 6ML 45.24 4/1/2007 11232231 2/28 6 ML with 5 yr IO 6ML 23.31 6/1/2007 11213113 2/28 6 ML 6ML 41.73 6/1/2007 11214893 2/28 6 ML 6ML 37.12 6/1/2007 11221430 5/25 6 ML 30/40 BALLOON 6ML 33.17 6/1/2010 11228791 2/28 6 ML with 5 yr IO 6ML 43.46 6/1/2007 11190994 2/28 6 ML 6ML 36.83 5/1/2007 11212120 2/28 6 ML with 5 yr IO 6ML 31.46 6/1/2007 11185453 2/28 6 ML with 5 yr IO 6ML 38.59 5/1/2007 11200634 30 YR FIXED FIX 39.59 00/00/0000 11207904 2/28 6 ML 30/40 BALLOON 6ML 48.12 6/1/2007 11194497 2/28 6 ML 30/40 BALLOON 6ML 49.98 5/1/2007 11227057 2/28 6 ML with 5 yr IO 6ML 41.08 6/1/2007 11213977 30 YR FIXED FIX 34.74 00/00/0000 11214137 2/28 6 ML 6ML 54.42 6/1/2007 11207119 2/28 6 ML with 5 yr IO 6ML 44.09 6/1/2007 11154528 3/27 6 ML 6ML 49.11 1/1/2008 11205826 2/28 6 ML 6ML 48.84 5/1/2007 11209782 2/28 6 ML 6ML 47.3 6/1/2007 11205309 30 YR FIXED 30/40 BALLOON FIX 38.28 00/00/0000 11194829 2/28 6 ML 6ML 54.17 6/1/2007 11172274 2/28 6 ML 6ML 44.4 5/1/2007 11215198 2/28 6 ML 6ML 45.24 5/1/2007 11219563 15 YR FIXED FIX 35.84 00/00/0000 11196081 3/27 6 ML with 5 yr IO 6ML 40.29 5/1/2008 11205914 2/28 6 ML 30/40 BALLOON 6ML 32.61 6/1/2007 11208787 2/28 6 ML with 5 yr IO 6ML 41.99 6/1/2007 11222831 5/25 6 ML with 5 yr IO 6ML 37.77 6/1/2010 11222014 2/28 6 ML 6ML 43.26 6/1/2007 11182668 30 YR FIXED FIX 39.86 00/00/0000 11155517 2/28 6 ML 6ML 47.25 5/1/2007 11227067 2/28 6 ML with 5 yr IO 6ML 41.93 6/1/2007 11190873 2/28 6 ML 30/40 BALLOON 6ML 30.05 5/1/2007 11205012 2/28 6 ML 30/40 BALLOON 6ML 48.91 5/1/2007 11205246 2/28 6 ML 6ML 48.74 6/1/2007 11222588 2/28 6 ML 6ML 52.78 4/1/2007 11222851 30 YR FIXED FIX 37 00/00/0000 11211230 2/28 6 ML 6ML 34.72 6/1/2007 11199703 2/28 6 ML 6ML 46.34 6/1/2007 11210356 2/28 6 ML 6ML 33.34 6/1/2007 11220328 2/28 6 ML 30/40 BALLOON 6ML 40.74 6/1/2007 11198700 2/28 6 ML 6ML 43.71 5/1/2007 11183171 30 YR FIXED FIX 49.67 00/00/0000 11170942 2/28 6 ML 6ML 46.34 5/1/2007 11213374 2/28 6 ML 30/40 BALLOON 6ML 47.06 6/1/2007 11194156 2/28 6 ML 6ML 36.56 5/1/2007 11198757 2/28 6 ML with 5 yr IO 6ML 38.66 6/1/2007 11194356 2/28 6 ML 6ML 35.53 5/1/2007 11218285 2/28 6 ML with 5 yr IO 6ML 35.74 6/1/2007 11222310 2/28 6 ML 6ML 43.85 6/1/2007 11175276 2/28 6 ML 6ML 35.08 5/1/2007 11222019 2/28 6 ML 30/40 BALLOON 6ML 45.03 6/1/2007 11208627 2/28 6 ML 6ML 42.27 6/1/2007 11205704 2/28 6 ML with 5 yr IO 6ML 44.07 5/1/2007 11218085 2/28 6 ML 6ML 45.24 6/1/2007 11218507 2/28 6 ML 6ML 42.16 6/1/2007 11174786 2/28 6 ML 6ML 44.98 5/1/2007 11207256 30 YR FIXED 30/40 BALLOON FIX 39.75 00/00/0000 11179172 2/28 6 ML 6ML 31.87 5/1/2007 11221435 20 YR FIXED FIX 24.72 00/00/0000 11210019 2/28 6 ML with 5 yr IO 6ML 39.07 6/1/2007 11196414 2/28 6 ML 30/40 BALLOON 6ML 40.64 6/1/2007 11210401 30 YR FIXED FIX 34.94 00/00/0000 11200210 2/28 6 ML 6ML 45.41 5/1/2007 11231579 2/28 6 ML 6ML 24.72 6/1/2007 11170940 2/28 6 ML with 5 yr IO 6ML 46.18 5/1/2007 11225247 2/28 6 ML 6ML 39.04 6/1/2007 11213307 2/28 6 ML with 5 yr IO 6ML 40.3 6/1/2007 11224416 2/28 6 ML 6ML 37.81 6/1/2007 11194155 30 YR FIXED FIX 39.4 00/00/0000 11217859 30 YR FIXED FIX 39.46 00/00/0000 11204169 2/28 6 ML 6ML 38.58 6/1/2007 11211710 2/28 6 ML with 5 yr IO 6ML 40.41 5/1/2007 11204809 2/28 6 ML with 5 yr IO 6ML 31.46 6/1/2007 11233410 30 YR FIXED 30/40 BALLOON FIX 35.19 00/00/0000 11233289 2/28 6 ML with 5 yr IO 6ML 39.96 6/1/2007 11195667 2/28 6 ML 30/40 BALLOON 6ML 36.6 6/1/2007 11225304 2/28 6 ML 6ML 30.5 6/1/2007 11207969 2/28 6 ML 6ML 44.24 6/1/2007 11209218 2/28 6 ML 6ML 32.75 6/1/2007 11187937 2/28 6 ML with 5 yr IO 6ML 39 5/1/2007 11206929 2/28 6 ML 6ML 48.28 6/1/2007 11216905 30 YR FIXED FIX 38.59 00/00/0000 11203102 2/28 6 ML with 5 yr IO 6ML 32.49 6/1/2007 11193469 30 YR FIXED FIX 28.48 00/00/0000 11190135 3/27 6 ML 6ML 51.34 5/1/2008 11182916 2/28 6 ML 6ML 36.59 5/1/2007 11202137 2/28 6 ML 6ML 33.12 5/1/2007 11182884 2/28 6 ML 30/40 BALLOON 6ML 34.28 5/1/2007 11205031 2/28 6 ML with 5 yr IO 6ML 34.54 6/1/2007 11190904 2/28 6 ML with 5 yr IO 6ML 40.08 5/1/2007 11202733 2/28 6 ML with 5 yr IO 6ML 29.9 6/1/2007 11221631 2/28 6 ML 6ML 33.9 6/1/2007 11203378 2/28 6 ML 6ML 45.42 6/1/2007 11204286 2/28 6 ML 6ML 31.38 5/1/2007 11217879 2/28 6 ML 30/40 BALLOON 6ML 49.97 6/1/2007 11217935 2/28 6 ML with 5 yr IO 6ML 38.59 6/1/2007 11216608 2/28 6 ML 6ML 46.91 6/1/2007 11197245 2/28 6 ML 30/40 BALLOON 6ML 40.92 5/1/2007 11215354 3/27 6 ML 6ML 46.71 6/1/2008 11206956 2/28 6 ML with 5 yr IO 6ML 42.04 6/1/2007 11171222 2/28 6 ML with 5 yr IO 6ML 44.89 6/1/2007 11231711 2/28 6 ML 6ML 43 6/1/2007 11206828 2/28 6 ML 6ML 49.12 5/1/2007 11195649 30 YR FIXED FIX 28.16 00/00/0000 11185772 2/28 6 ML 6ML 52.04 6/1/2007 11214917 2/28 6 ML 30/40 BALLOON 6ML 56.73 6/1/2007 11224506 2/28 6 ML 6ML 48.3 6/1/2007 11206981 2/28 6 ML with 5 yr IO 6ML 38.02 6/1/2007 11181684 30 YR FIXED 30/40 BALLOON FIX 46.14 00/00/0000 11207093 2/28 6 ML 6ML 45.85 6/1/2007 11208029 2/28 6 ML 6ML 37.89 5/1/2007 11193894 2/28 6 ML with 5 yr IO 6ML 30.99 5/1/2007 11234110 2/28 6 ML 6ML 54.98 6/1/2007 11220037 2/28 6 ML 6ML 38.07 6/1/2007 11206501 2/28 6 ML with 5 yr IO 6ML 42.68 6/1/2007 11195382 2/28 6 ML 6ML 44.49 6/1/2007 11209075 2/28 6 ML 6ML 43.63 6/1/2007 11225009 2/28 6 ML with 5 yr IO 6ML 32.74 6/1/2007 11214428 2/28 6 ML 30/40 BALLOON 6ML 41.87 6/1/2007 11193554 30 YR FIXED FIX 39.76 00/00/0000 11221015 30 YR FIXED FIX 38.19 00/00/0000 11217717 2/28 6 ML 30/40 BALLOON 6ML 53.09 6/1/2007 11224192 2/28 6 ML 6ML 42.13 6/1/2007 11215590 2/28 6 ML 30/40 BALLOON 6ML 45.31 6/1/2007 11196017 30 YR FIXED FIX 51.33 00/00/0000 11213882 2/28 6 ML 30/40 BALLOON 6ML 33.49 6/1/2007 11210439 2/28 6 ML 30/40 BALLOON 6ML 52.19 6/1/2007 11208824 2/28 6 ML 30/40 BALLOON 6ML 39.82 6/1/2007 11210589 2/28 6 ML with 5 yr IO 6ML 47.29 6/1/2007 11181810 2/28 6 ML 6ML 24.45 5/1/2007 11209741 2/28 6 ML 6ML 46.36 5/1/2007 11206998 30 YR FIXED FIX 35.97 00/00/0000 11190551 2/28 6 ML with 5 yr IO 6ML 34.31 6/1/2007 11186822 2/28 6 ML 6ML 43.92 6/1/2007 11217971 2/28 6 ML 6ML 48.35 6/1/2007 11207495 2/28 6 ML 6ML 46.66 4/1/2007 11172736 2/28 6 ML 6ML 25.49 5/1/2007 11206098 2/28 6 ML 6ML 49.08 6/1/2007 11225940 2/28 6 ML with 5 yr IO 6ML 43.63 6/1/2007 11210767 2/28 6 ML 6ML 47.74 6/1/2007 11225010 2/28 6 ML 30/40 BALLOON 6ML 36.93 6/1/2007 11208776 2/28 6 ML 6ML 46.88 5/1/2007 11210990 5/25 6 ML 6ML 45.84 6/1/2010 11201610 2/28 6 ML 6ML 45.5 6/1/2007 11216666 2/28 6 ML 30/40 BALLOON 6ML 26.06 6/1/2007 11218855 2/28 6 ML 30/40 BALLOON 6ML 44.31 6/1/2007 11229783 2/28 6 ML 30/40 BALLOON 6ML 45.43 6/1/2007 11196143 2/28 6 ML with 5 yr IO 6ML 47.75 6/1/2007 11206381 2/28 6 ML 6ML 43.67 5/1/2007 11191089 2/28 6 ML 6ML 37.63 6/1/2007 11224537 3/27 6 ML 6ML 40.54 6/1/2008 11185254 2/28 6 ML with 5 yr IO 6ML 39.74 5/1/2007 11202500 2/28 6 ML with 5 yr IO 6ML 44.67 6/1/2007 11225653 2/28 6 ML 6ML 40.5 6/1/2007 11151289 2/28 6 ML with 5 yr IO 6ML 44.58 6/1/2007 11202909 2/28 6 ML 6ML 21.74 6/1/2007 11210009 2/28 6 ML with 5 yr IO 6ML 41.91 6/1/2007 11178574 2/28 6 ML with 5 yr IO 6ML 42.64 5/1/2007 11231875 2/28 6 ML 6ML 46.81 6/1/2007 11210777 2/28 6 ML with 5 yr IO 6ML 37.29 6/1/2007 11215883 30 YR FIXED FIX 45.97 00/00/0000 11227909 2/28 6 ML 30/40 BALLOON 6ML 41.43 6/1/2007 11218297 2/28 6 ML 30/40 BALLOON 6ML 45.41 6/1/2007 11209725 2/28 6 ML 30/40 BALLOON 6ML 43.05 6/1/2007 11197648 2/28 6 ML with 5 yr IO 6ML 3.45 5/1/2007 11222490 2/28 6 ML with 5 yr IO 6ML 21.05 6/1/2007 11208101 2/28 6 ML 6ML 34.53 6/1/2007 11225736 2/28 6 ML with 5 yr IO 6ML 28.87 6/1/2007 11205877 2/28 6 ML with 10 yr IO 6ML 38.92 5/1/2007 11188667 2/28 6 ML 30/40 BALLOON 6ML 28.59 5/1/2007 11213122 2/28 6 ML 30/40 BALLOON 6ML 38.37 6/1/2007 11209755 2/28 6 ML 30/40 BALLOON 6ML 35.6 6/1/2007 11227388 2/28 6 ML with 5 yr IO 6ML 40.79 6/1/2007 11226207 2/28 6 ML 6ML 47.59 6/1/2007 11209200 2/28 6 ML 6ML 48.15 6/1/2007 11216738 2/28 6 ML 6ML 25.49 6/1/2007 11193129 2/28 6 ML 6ML 55.54 5/1/2007 11213408 2/28 6 ML 6ML 49.23 6/1/2007 11222539 2/28 6 ML 30/40 BALLOON 6ML 39.2 6/1/2007 11176015 2/28 6 ML with 5 yr IO 6ML 47.77 6/1/2007 11202664 5/25 6 ML 6ML 33.64 6/1/2010 11225063 2/28 6 ML 30/40 BALLOON 6ML 39.73 6/1/2007 11198004 2/28 6 ML 30/40 BALLOON 6ML 49.91 6/1/2007 11190370 2/28 6 ML 30/40 BALLOON 6ML 45.23 5/1/2007 11222372 5/25 6 ML with 5 yr IO 6ML 49.91 6/1/2010 11177899 15 YR FIXED FIX 45.68 00/00/0000 11214458 2/28 6 ML with 5 yr IO 6ML 28.01 6/1/2007 11189979 2/28 6 ML 6ML 47.84 6/1/2007 11217996 15 YR FIXED FIX 43.91 00/00/0000 11219553 2/28 6 ML 6ML 37.96 6/1/2007 11169662 2/28 6 ML 6ML 50.61 6/1/2007 11208948 2/28 6 ML 30/40 BALLOON 6ML 30.21 6/1/2007 11180766 2/28 6 ML with 5 yr IO 6ML 37.26 5/1/2007 11194390 5/25 6 ML 6ML 40.62 5/1/2010 11185611 2/28 6 ML 6ML 39.75 6/1/2007 11170534 30 YR FIXED FIX 28.86 00/00/0000 11218779 2/28 6 ML 30/40 BALLOON 6ML 26.11 6/1/2007 11224944 2/28 6 ML 6ML 34.96 6/1/2007 11177619 2/28 6 ML with 5 yr IO 6ML 43.96 4/1/2007 11215263 2/28 6 ML 6ML 46.52 6/1/2007 11199020 2/28 6 ML 6ML 53.42 5/1/2007 11221581 2/28 6 ML with 5 yr IO 6ML 26.15 6/1/2007 11212509 2/28 6 ML 30/40 BALLOON 6ML 47.9 6/1/2007 11191822 2/28 6 ML 6ML 45.8 6/1/2007 11215860 2/28 6 ML 6ML 26.55 6/1/2007 11219763 2/28 6 ML 6ML 48.66 6/1/2007 11198185 3/27 6 ML 6ML 48.37 5/1/2008 11217829 2/28 6 ML 6ML 45.21 6/1/2007 11170466 2/28 6 ML 6ML 45.98 4/1/2007 11218246 2/28 6 ML with 5 yr IO 6ML 35.36 6/1/2007 11208476 5/25 6 ML with 5 yr IO 6ML 40.5 6/1/2010 11231440 2/28 6 ML 30/40 BALLOON 6ML 47.37 6/1/2007 11220813 30 YR FIXED 30/40 BALLOON FIX 30.5 00/00/0000 11216698 2/28 6 ML 6ML 49.1 6/1/2007 11221732 2/28 6 ML 30/40 BALLOON 6ML 43.68 6/1/2007 11212188 5/25 6 ML 6ML 45.86 6/1/2010 11183759 2/28 6 ML 30/40 BALLOON 6ML 46.03 5/1/2007 11205350 2/28 6 ML with 5 yr IO 6ML 40.37 6/1/2007 11179080 2/28 6 ML 6ML 37.57 5/1/2007 11217098 2/28 6 ML 6ML 44.06 6/1/2007 11226194 2/28 6 ML 6ML 29.67 6/1/2007 11191655 2/28 6 ML 6ML 44.18 5/1/2007 11204482 2/28 6 ML 6ML 25.09 6/1/2007 11180135 2/28 6 ML with 5 yr IO 6ML 34.4 5/1/2007 11212203 2/28 6 ML 6ML 42.24 6/1/2007 11152773 2/28 6 ML 6ML 48.18 6/1/2007 11218578 2/28 6 ML 30/40 BALLOON 6ML 58.39 6/1/2007 11183261 2/28 6 ML 6ML 38.72 6/1/2007 11183896 2/28 6 ML 6ML 46.07 4/1/2007 11186353 2/28 6 ML 6ML 43.51 5/1/2007 11198565 2/28 6 ML with 5 yr IO 6ML 42.77 6/1/2007 11233385 3/27 6 ML 30/40 BALLOON 6ML 41.31 6/1/2008 11193138 2/28 6 ML 6ML 48.12 5/1/2007 11230617 2/28 6 ML 6ML 47.12 5/1/2007 11209027 30 YR FIXED FIX 45.9 00/00/0000 11214056 2/28 6 ML 6ML 39.72 6/1/2007 11198559 2/28 6 ML 6ML 30.23 6/1/2007 11200255 2/28 6 ML with 5 yr IO 6ML 9.56 5/1/2007 11222651 2/28 6 ML 6ML 38.24 6/1/2007 11192452 2/28 6 ML 6ML 47.8 6/1/2007 11225831 30 YR FIXED 30/40 BALLOON FIX 48.24 00/00/0000 11216117 2/28 6 ML 6ML 47.97 6/1/2007 11179278 2/28 6 ML 6ML 43.15 5/1/2007 11217477 2/28 6 ML 6ML 40.75 6/1/2007 11189252 2/28 6 ML 6ML 34.68 6/1/2007 11201217 2/28 6 ML 6ML 48.87 6/1/2007 11194765 2/28 6 ML 6ML 35.7 6/1/2007 11219180 3/27 6 ML 6ML 37.16 6/1/2008 11202627 2/28 6 ML 6ML 53.24 6/1/2007 11207190 2/28 6 ML 30/40 BALLOON 6ML 42.81 6/1/2007 11212127 2/28 6 ML with 5 yr IO 6ML 53.2 6/1/2007 11144412 2/28 6 ML 6ML 41.13 5/1/2007 11207666 2/28 6 ML 6ML 31.21 6/1/2007 11227789 2/28 6 ML 30/40 BALLOON 6ML 9.63 6/1/2007 11170701 2/28 6 ML 6ML 54.97 4/1/2007 11194232 2/28 6 ML 6ML 43.62 6/1/2007 11192932 5/25 6 ML with 5 yr IO 6ML 43.55 6/1/2010 11219412 30 YR FIXED FIX 39.43 00/00/0000 11202558 2/28 6 ML 30/40 BALLOON 6ML 44.63 5/1/2007 11197178 5/25 6 ML with 5 yr IO 6ML 38.96 5/1/2010 11220978 2/28 6 ML 6ML 56.38 6/1/2007 11219330 2/28 6 ML 6ML 54.74 6/1/2007 11208709 30 YR FIXED FIX 48.46 00/00/0000 11212773 30 YR FIXED FIX 40.94 00/00/0000 11167866 2/28 6 ML with 5 yr IO 6ML 31.75 5/1/2007 11229385 2/28 6 ML 6ML 47.04 6/1/2007 11218217 30 YR FIXED 30/40 BALLOON FIX 43.09 00/00/0000 11198272 2/28 6 ML with 5 yr IO 6ML 42.21 6/1/2007 11159829 30 YR FIXED FIX 38.36 00/00/0000 11193338 5/25 6 ML with 5 yr IO 6ML 25.97 6/1/2010 11176805 30 YR FIXED FIX 35.58 00/00/0000 11224838 2/28 6 ML 6ML 54.04 6/1/2007 11184846 2/28 6 ML 6ML 39.9 5/1/2007 11217372 2/28 6 ML 6ML 36 6/1/2007 11198235 2/28 6 ML 6ML 38.54 5/1/2007 11221281 30 YR FIXED FIX 31.08 00/00/0000 11210858 2/28 6 ML with 5 yr IO 6ML 45.73 6/1/2007 11203716 2/28 6 ML with 5 yr IO 6ML 45.13 5/1/2007 11213260 2/28 6 ML with 10 yr IO 6ML 33.14 6/1/2007 11186517 30 YR FIXED FIX 44.44 00/00/0000 11198829 2/28 6 ML 6ML 36.48 5/1/2007 11215801 2/28 6 ML 30/40 BALLOON 6ML 31.93 6/1/2007 11211671 3/27 6 ML 6ML 45.75 6/1/2008 11215523 30 YR FIXED FIX 42.81 00/00/0000 11209342 2/28 6 ML 6ML 40.07 6/1/2007 11223628 2/28 6 ML with 10 yr IO 6ML 37.26 6/1/2007 11205656 2/28 6 ML 30/40 BALLOON 6ML 39.2 6/1/2007 11229043 2/28 6 ML 6ML 38.1 6/1/2007 11206863 30 YR FIXED FIX 33.26 00/00/0000 11195947 30 YR FIXED FIX 40.62 00/00/0000 11212200 2/28 6 ML with 5 yr IO 6ML 39.75 6/1/2007 11231075 2/28 6 ML 30/40 BALLOON 6ML 37.5 6/1/2007 11190479 3/27 6 ML 30/40 BALLOON 6ML 47.34 5/1/2008 11190731 2/28 6 ML with 5 yr IO 6ML 34.88 6/1/2007 11216520 2/28 6 ML 6ML 41.6 6/1/2007 11222537 2/28 6 ML 6ML 42.93 6/1/2007 11229382 15 YR FIXED FIX 47.23 00/00/0000 11233104 30 YR FIXED FIX 12.41 00/00/0000 11208254 3/27 6 ML 30/40 BALLOON 6ML 38.48 6/1/2008 11177736 15 YR FIXED FIX 45.89 00/00/0000 11214795 2/28 6 ML with 5 yr IO 6ML 36.97 6/1/2007 11183932 2/28 6 ML 6ML 46.07 5/1/2007 11209593 2/28 6 ML 6ML 36.31 6/1/2007 11213585 3/27 6 ML 6ML 54.71 6/1/2008 11209028 2/28 6 ML 30/40 BALLOON 6ML 40.78 6/1/2007 11217720 30 YR FIXED FIX 36.79 00/00/0000 11224112 30 YR FIXED FIX 40.76 00/00/0000 11168718 2/28 6 ML 6ML 39.29 4/1/2007 11220908 3/27 6 ML 6ML 50 6/1/2008 11214128 2/28 6 ML 6ML 42.54 6/1/2007 11215155 2/28 6 ML 6ML 41.98 5/1/2007 11229858 2/28 6 ML 6ML 45.94 6/1/2007 11194584 2/28 6 ML with 5 yr IO 6ML 47.1 6/1/2007 11225983 2/28 6 ML 6ML 46.47 6/1/2007 11209058 2/28 6 ML with 5 yr IO 6ML 38.93 6/1/2007 11216198 2/28 6 ML 6ML 47.56 6/1/2007 11205588 2/28 6 ML with 5 yr IO 6ML 38.23 6/1/2007 11218958 2/28 6 ML 6ML 44.12 6/1/2007 11224906 2/28 6 ML with 5 yr IO 6ML 43.05 6/1/2007 11210180 2/28 6 ML with 10 yr IO 6ML 35.9 6/1/2007 11220430 2/28 6 ML 30/40 BALLOON 6ML 41.68 6/1/2007 11202020 5/25 6 ML 6ML 41.46 6/1/2010 11219844 2/28 6 ML 6ML 50.74 6/1/2007 11203339 0.5/29.5 6 ML 6ML 25.32 12/1/2005 11219759 2/28 6 ML with 5 yr IO 6ML 32.59 6/1/2007 11196490 2/28 6 ML with 5 yr IO 6ML 42.72 5/1/2007 11222567 2/28 6 ML 6ML 43.64 5/1/2007 11223316 2/28 6 ML 6ML 53.73 6/1/2007 11214988 2/28 6 ML 6ML 46.13 6/1/2007 11156057 5/25 6 ML 30/40 BALLOON 6ML 47.23 6/1/2010 11177503 2/28 6 ML 30/40 BALLOON 6ML 46.84 5/1/2007 11159255 2/28 6 ML 6ML 43.23 4/1/2007 11226750 2/28 6 ML 6ML 49.89 6/1/2007 11219249 30 YR FIXED FIX 44.88 00/00/0000 11196770 5/25 6 ML 6ML 37.51 6/1/2010 11211546 2/28 6 ML 6ML 41.75 5/1/2007 11219438 30 YR FIXED FIX 34.63 00/00/0000 11227960 2/28 6 ML with 5 yr IO 6ML 41.61 6/1/2007 11214954 2/28 6 ML 30/40 BALLOON 6ML 43.4 6/1/2007 11217938 2/28 6 ML with 5 yr IO 6ML 49.82 6/1/2007 11170422 30 YR FIXED FIX 23.6 00/00/0000 11195570 2/28 6 ML 6ML 44.55 6/1/2007 11223290 2/28 6 ML with 5 yr IO 6ML 29.4 6/1/2007 11221303 2/28 6 ML 6ML 34.34 6/1/2007 11187115 5/25 6 ML 6ML 42.74 5/1/2010 11212892 2/28 6 ML with 5 yr IO 6ML 33.62 6/1/2007 11178448 2/28 6 ML 6ML 37.4 5/1/2007 11220431 2/28 6 ML 6ML 41.64 6/1/2007 11204769 2/28 6 ML 6ML 51.35 6/1/2007 11220826 2/28 6 ML with 5 yr IO 6ML 44.34 6/1/2007 11205950 2/28 6 ML 6ML 48.29 5/1/2007 11167650 2/28 6 ML with 5 yr IO 6ML 39.22 5/1/2007 11175664 2/28 6 ML 6ML 40.38 5/1/2007 11220211 2/28 6 ML 6ML 48.17 6/1/2007 11203726 2/28 6 ML 6ML 33.82 5/1/2007 11200527 2/28 6 ML 6ML 33.19 6/1/2007 11221942 2/28 6 ML 30/40 BALLOON 6ML 49.93 6/1/2007 11198078 2/28 6 ML with 5 yr IO 6ML 30.98 6/1/2007 11192442 5/25 6 ML with 5 yr IO 6ML 47.03 4/1/2010 11225370 15 YR FIXED FIX 31.73 00/00/0000 11233034 2/28 6 ML 6ML 25.54 6/1/2007 11234399 2/28 6 ML 6ML 47.43 6/1/2007 11183228 2/28 6 ML 6ML 26.12 5/1/2007 11203613 2/28 6 ML 6ML 47.48 6/1/2007 11220596 2/28 6 ML with 5 yr IO 6ML 38.98 6/1/2007 11220981 2/28 6 ML 30/40 BALLOON 6ML 58.75 6/1/2007 11166371 2/28 6 ML 6ML 36.22 5/1/2007 11196502 2/28 6 ML 6ML 31.57 5/1/2007 11202874 2/28 6 ML 6ML 38.39 5/1/2007 11228419 2/28 6 ML 6ML 49.93 5/1/2007 11225400 2/28 6 ML 6ML 48.61 6/1/2007 11211703 2/28 6 ML 30/40 BALLOON 6ML 26.73 6/1/2007 11216498 3/27 6 ML 6ML 15.34 5/1/2008 11220857 5/25 6 ML 6ML 48.11 6/1/2010 11207947 2/28 6 ML with 5 yr IO 6ML 22.81 6/1/2007 11210165 2/28 6 ML 30/40 BALLOON 6ML 37.57 6/1/2007 11221057 30 YR FIXED 30/40 BALLOON FIX 49.46 00/00/0000 11198405 2/28 6 ML with 5 yr IO 6ML 48.36 5/1/2007 11212361 2/28 6 ML 6ML 30.45 6/1/2007 11194387 2/28 6 ML 6ML 42.37 5/1/2007 11217187 2/28 6 ML 6ML 44.75 6/1/2007 11217578 2/28 6 ML 6ML 45.99 6/1/2007 11216203 30 YR FIXED FIX 33.11 00/00/0000 11219390 2/28 6 ML with 5 yr IO 6ML 37.83 6/1/2007 11214503 30 YR FIXED FIX 46.81 00/00/0000 11192847 2/28 6 ML 6ML 34.3 6/1/2007 11224386 2/28 6 ML 30/40 BALLOON 6ML 48.43 6/1/2007 11216894 2/28 6 ML 6ML 35.01 6/1/2007 11166333 2/28 6 ML 6ML 48.73 5/1/2007 11214109 30 YR FIXED FIX 47.14 00/00/0000 11191050 30 YR FIXED FIX 43.52 00/00/0000 11228273 2/28 6 ML 6ML 31.67 6/1/2007 11179913 2/28 6 ML 6ML 24.82 6/1/2007 11211389 2/28 6 ML with 5 yr IO 6ML 2.09 5/1/2007 11206400 2/28 6 ML 6ML 48.02 5/1/2007 11211791 2/28 6 ML 30/40 BALLOON 6ML 41.8 6/1/2007 11181522 2/28 6 ML with 5 yr IO 6ML 33.8 6/1/2007 11213160 2/28 6 ML 6ML 37.07 6/1/2007 11214994 5/25 6 ML with 5 yr IO 6ML 43.1 6/1/2010 11227669 2/28 6 ML 6ML 16.92 6/1/2007 11189567 2/28 6 ML 30/40 BALLOON 6ML 49.89 5/1/2007 11192315 2/28 6 ML with 5 yr IO 6ML 34.16 5/1/2007 11163762 2/28 6 ML 6ML 46.6 5/1/2007 11179879 2/28 6 ML with 5 yr IO 6ML 39.58 6/1/2007 11198930 30 YR FIXED FIX 33.77 00/00/0000 11213735 5/25 6 ML 6ML 46.83 6/1/2010 11204524 2/28 6 ML with 5 yr IO 6ML 41.72 5/1/2007 11188106 2/28 6 ML 6ML 32.05 6/1/2007 11195243 2/28 6 ML with 5 yr IO 6ML 27.71 6/1/2007 11190354 2/28 6 ML 6ML 25.77 6/1/2007 11218180 2/28 6 ML 30/40 BALLOON 6ML 47.53 6/1/2007 11229027 2/28 6 ML 30/40 BALLOON 6ML 49.03 6/1/2007 11230077 2/28 6 ML with 5 yr IO 6ML 33.76 6/1/2007 11203120 2/28 6 ML 6ML 48.93 6/1/2007 11196578 30 YR FIXED FIX 48.21 00/00/0000 11187207 2/28 6 ML 30/40 BALLOON 6ML 51.95 6/1/2007 11213496 2/28 6 ML 30/40 BALLOON 6ML 37.09 6/1/2007 11220212 3/27 6 ML with 5 yr IO 6ML 35.97 6/1/2008 11207032 2/28 6 ML 30/40 BALLOON 6ML 39.81 6/1/2007 11184351 2/28 6 ML 6ML 45.78 5/1/2007 11180695 2/28 6 ML 6ML 52.91 5/1/2007 11207912 2/28 6 ML 6ML 47.86 6/1/2007 11214991 2/28 6 ML 6ML 44.66 6/1/2007 11191956 2/28 6 ML 6ML 47.24 5/1/2007 11206305 2/28 6 ML 6ML 44.36 6/1/2007 11210140 2/28 6 ML 6ML 35.49 6/1/2007 11216438 2/28 6 ML 6ML 44.84 6/1/2007 11197644 30 YR FIXED FIX 39.78 00/00/0000 11224958 2/28 6 ML 6ML 52.69 6/1/2007 11217100 2/28 6 ML 30/40 BALLOON 6ML 48.21 6/1/2007 11191593 5/25 6 ML with 5 yr IO 6ML 42.21 5/1/2010 11229182 2/28 6 ML 6ML 31.22 6/1/2007 11197729 2/28 6 ML with 5 yr IO 6ML 39.09 6/1/2007 11204221 2/28 6 ML 6ML 29.5 6/1/2007 11143943 30 YR FIXED FIX 38.37 00/00/0000 11221454 2/28 6 ML 30/40 BALLOON 6ML 41.38 6/1/2007 11215823 2/28 6 ML with 5 yr IO 6ML 21.98 6/1/2007 11205580 2/28 6 ML 30/40 BALLOON 6ML 24.61 5/1/2007 11204423 2/28 6 ML with 5 yr IO 6ML 41.06 6/1/2007 11197313 2/28 6 ML 6ML 46.68 6/1/2007 11196394 2/28 6 ML 6ML 33.42 6/1/2007 11198392 5/25 6 ML 30/40 BALLOON 6ML 42.25 5/1/2010 11216375 2/28 6 ML 6ML 32.6 6/1/2007 11190555 30 YR FIXED FIX 45.73 00/00/0000 11198849 2/28 6 ML 6ML 48.22 5/1/2007 11221249 2/28 6 ML with 5 yr IO 6ML 44.32 6/1/2007 11219939 2/28 6 ML 30/40 BALLOON 6ML 35.52 6/1/2007 11207672 2/28 6 ML 30/40 BALLOON 6ML 50.15 6/1/2007 11178327 2/28 6 ML with 5 yr IO 6ML 49.94 5/1/2007 11215221 2/28 6 ML with 5 yr IO 6ML 30.36 6/1/2007 11225324 2/28 6 ML 30/40 BALLOON 6ML 19.32 6/1/2007 11182876 2/28 6 ML with 5 yr IO 6ML 19.75 5/1/2007 11211918 2/28 6 ML with 5 yr IO 6ML 49.91 6/1/2007 11174952 5/25 6 ML with 5 yr IO 6ML 39.27 6/1/2010 11196003 30 YR FIXED FIX 35.12 00/00/0000 11184043 30 YR FIXED 30/40 BALLOON FIX 54.81 00/00/0000 11201493 2/28 6 ML 6ML 47.68 6/1/2007 11189398 2/28 6 ML 6ML 47.69 5/1/2007 11210978 2/28 6 ML 6ML 48.17 6/1/2007 11212905 2/28 6 ML 30/40 BALLOON 6ML 47.24 6/1/2007 11225691 2/28 6 ML 6ML 42.82 6/1/2007 11212657 2/28 6 ML 30/40 BALLOON 6ML 49.99 6/1/2007 11217109 2/28 6 ML 30/40 BALLOON 6ML 42.59 6/1/2007 11216411 2/28 6 ML 6ML 27.46 6/1/2007 11200414 2/28 6 ML 30/40 BALLOON 6ML 46.81 6/1/2007 11221583 2/28 6 ML 6ML 49.78 6/1/2007 11210802 2/28 6 ML 30/40 BALLOON 6ML 33.35 6/1/2007 11149307 2/28 6 ML with 5 yr IO 6ML 54.68 4/1/2007 11211949 5/25 6 ML with 5 yr IO 6ML 33.19 6/1/2010 11210548 2/28 6 ML 30/40 BALLOON 6ML 46.12 6/1/2007 11207645 2/28 6 ML 6ML 53.59 6/1/2007 11210660 2/28 6 ML with 5 yr IO 6ML 39.3 6/1/2007 11180534 2/28 6 ML 6ML 31.54 5/1/2007 11213935 30 YR FIXED FIX 46.18 00/00/0000 11206733 2/28 6 ML 6ML 30.82 6/1/2007 11213886 2/28 6 ML 6ML 46.9 6/1/2007 11211656 2/28 6 ML 6ML 14.68 6/1/2007 11204408 2/28 6 ML with 5 yr IO 6ML 41.07 5/1/2007 11172074 2/28 6 ML with 5 yr IO 6ML 34.57 4/1/2007 11215207 2/28 6 ML with 10 yr IO 6ML 40.42 6/1/2007 11212896 2/28 6 ML with 5 yr IO 6ML 41.11 6/1/2007 11192674 3/27 6 ML 30/40 BALLOON 6ML 41.05 6/1/2008 11201726 2/28 6 ML with 10 yr IO 6ML 33.58 6/1/2007 11224440 2/28 6 ML 6ML 50.57 6/1/2007 11175566 2/28 6 ML 6ML 44.54 5/1/2007 11208841 2/28 6 ML with 5 yr IO 6ML 18.45 5/1/2007 11201479 2/28 6 ML 30/40 BALLOON 6ML 46.23 6/1/2007 11208927 2/28 6 ML 6ML 48.07 5/1/2007 11211393 2/28 6 ML 30/40 BALLOON 6ML 49 6/1/2007 11216037 30 YR FIXED 30/40 BALLOON FIX 22.12 00/00/0000 11217517 2/28 6 ML with 5 yr IO 6ML 43.14 6/1/2007 11191020 2/28 6 ML 6ML 37.94 5/1/2007 11196943 2/28 6 ML 30/40 BALLOON 6ML 34.96 5/1/2007 11205167 30 YR FIXED FIX 36.78 00/00/0000 11196303 2/28 6 ML 6ML 38.81 6/1/2007 11203828 5/25 6 ML 30/40 BALLOON 6ML 45.05 6/1/2010 11208068 2/28 6 ML 6ML 36.11 6/1/2007 11217154 2/28 6 ML with 5 yr IO 6ML 34.86 6/1/2007 11193108 2/28 6 ML 30/40 BALLOON 6ML 43.67 5/1/2007 11202097 2/28 6 ML 6ML 37.77 5/1/2007 11187331 2/28 6 ML 6ML 35.9 5/1/2007 11206642 2/28 6 ML 6ML 45.33 6/1/2007 11207127 2/28 6 ML 6ML 32.6 5/1/2007 11189281 2/28 6 ML with 5 yr IO 6ML 43.77 5/1/2007 11200452 30 YR FIXED FIX 48.54 00/00/0000 11202142 2/28 6 ML with 5 yr IO 6ML 27.93 5/1/2007 11203023 5/25 6 ML with 5 yr IO 6ML 33.83 6/1/2010 11198872 2/28 6 ML 6ML 46.53 4/1/2007 11216394 30 YR FIXED FIX 26.95 00/00/0000 11180479 2/28 6 ML 6ML 31.25 5/1/2007 11222869 3/27 6 ML 6ML 47.7 6/1/2008 11154087 2/28 6 ML 6ML 47.07 4/1/2007 11198766 2/28 6 ML 6ML 45.53 6/1/2007 11212613 3/27 6 ML 30/40 BALLOON 6ML 34.59 6/1/2008 11186374 30 YR FIXED FIX 49.95 00/00/0000 11184754 2/28 6 ML with 5 yr IO 6ML 18.17 5/1/2007 11196049 2/28 6 ML with 5 yr IO 6ML 15.61 5/1/2007 11216293 2/28 6 ML 6ML 39.81 6/1/2007 11215889 2/28 6 ML 30/40 BALLOON 6ML 36.32 6/1/2007 11201917 2/28 6 ML 6ML 32.08 6/1/2007 11209901 2/28 6 ML with 5 yr IO 6ML 29.69 6/1/2007 11183412 2/28 6 ML 6ML 39.04 5/1/2007 11212678 2/28 6 ML 30/40 BALLOON 6ML 40.05 6/1/2007 11206038 2/28 6 ML 30/40 BALLOON 6ML 44.45 6/1/2007 11222773 2/28 6 ML 30/40 BALLOON 6ML 44.06 6/1/2007 11224748 2/28 6 ML 30/40 BALLOON 6ML 35.61 6/1/2007 11177236 2/28 6 ML 6ML 45.2 6/1/2007 11210935 5/25 6 ML 6ML 33.5 6/1/2010 11226813 2/28 6 ML 30/40 BALLOON 6ML 41.37 6/1/2007 11120720 3/27 6 ML 6ML 50.51 5/1/2008 11211604 2/28 6 ML with 5 yr IO 6ML 38.52 5/1/2007 11201592 2/28 6 ML with 5 yr IO 6ML 34.08 6/1/2007 11128000 2/28 6 ML 6ML 44.72 4/1/2007 11207222 2/28 6 ML 6ML 29.76 6/1/2007 11203515 2/28 6 ML 6ML 46.18 5/1/2007 11214741 2/28 6 ML 6ML 49.38 6/1/2007 11226057 5/25 6 ML with 5 yr IO 6ML 23.09 6/1/2010 11209595 2/28 6 ML with 5 yr IO 6ML 43.36 6/1/2007 11210845 30 YR FIXED FIX 44.43 00/00/0000 11192634 2/28 6 ML 6ML 23.23 5/1/2007 11219589 2/28 6 ML 6ML 44.32 6/1/2007 11214634 2/28 6 ML 30/40 BALLOON 6ML 37.39 6/1/2007 11218128 2/28 6 ML 30/40 BALLOON 6ML 39.64 6/1/2007 11210094 2/28 6 ML 6ML 39.67 5/1/2007 11197056 2/28 6 ML 30/40 BALLOON 6ML 47.55 6/1/2007 11214432 2/28 6 ML with 5 yr IO 6ML 44.26 6/1/2007 11197033 2/28 6 ML 30/40 BALLOON 6ML 47.78 6/1/2007 11205541 2/28 6 ML 30/40 BALLOON 6ML 33.13 5/1/2007 11173857 2/28 6 ML 6ML 34.68 4/1/2007 11204192 2/28 6 ML with 5 yr IO 6ML 42.91 5/1/2007 11210936 2/28 6 ML with 5 yr IO 6ML 43.57 6/1/2007 11216267 2/28 6 ML 6ML 41.91 6/1/2007 11192322 2/28 6 ML with 5 yr IO 6ML 39.7 5/1/2007 11195654 30 YR FIXED FIX 33.84 00/00/0000 11201604 2/28 6 ML 6ML 30.64 5/1/2007 11220429 2/28 6 ML 6ML 53.08 6/1/2007 11205657 30 YR FIXED FIX 42.32 00/00/0000 11197836 2/28 6 ML 6ML 37.42 6/1/2007 11218562 2/28 6 ML with 5 yr IO 6ML 44.56 6/1/2007 11220605 2/28 6 ML 6ML 35.65 6/1/2007 11219113 2/28 6 ML with 5 yr IO 6ML 48.45 6/1/2007 11210006 2/28 6 ML 30/40 BALLOON 6ML 30.27 6/1/2007 11215807 3/27 6 ML 6ML 47.92 6/1/2008 11223151 2/28 6 ML 6ML 49.05 6/1/2007 11185304 2/28 6 ML with 5 yr IO 6ML 39.94 6/1/2007 11210029 2/28 6 ML 30/40 BALLOON 6ML 45.17 6/1/2007 11215530 2/28 6 ML 30/40 BALLOON 6ML 49.69 6/1/2007 11211757 2/28 6 ML 6ML 35.9 6/1/2007 11224013 2/28 6 ML 30/40 BALLOON 6ML 49.56 6/1/2007 11232525 2/28 6 ML with 5 yr IO 6ML 46.37 6/1/2007 11210651 2/28 6 ML with 5 yr IO 6ML 36.64 6/1/2007 11215662 2/28 6 ML with 5 yr IO 6ML 20.78 6/1/2007 11180159 30 YR FIXED FIX 44.02 00/00/0000 11219416 2/28 6 ML 30/40 BALLOON 6ML 32.4 6/1/2007 11200485 2/28 6 ML 6ML 43.93 5/1/2007 11195912 2/28 6 ML 6ML 49.69 5/1/2007 11219904 2/28 6 ML with 5 yr IO 6ML 54.9 6/1/2007 11219178 2/28 6 ML 30/40 BALLOON 6ML 41.59 6/1/2007 11201752 2/28 6 ML 6ML 33.06 6/1/2007 11217337 2/28 6 ML 30/40 BALLOON 6ML 27.1 6/1/2007 11214442 2/28 6 ML 6ML 30.79 6/1/2007 11206591 2/28 6 ML 6ML 44.22 6/1/2007 11185904 2/28 6 ML 6ML 54.31 5/1/2007 11217700 2/28 6 ML 6ML 37.7 6/1/2007 11190081 30 YR FIXED FIX 20.8 00/00/0000 11199634 2/28 6 ML 30/40 BALLOON 6ML 28.44 6/1/2007 11205986 30 YR FIXED FIX 35.85 00/00/0000 11193177 2/28 6 ML 30/40 BALLOON 6ML 33.51 5/1/2007 11232125 2/28 6 ML 6ML 28.99 6/1/2007 11139962 2/28 6 ML 6ML 51.14 4/1/2007 11219644 2/28 6 ML 30/40 BALLOON 6ML 42.49 6/1/2007 11193212 2/28 6 ML 6ML 47.62 6/1/2007 11203248 2/28 6 ML 6ML 51.42 6/1/2007 11212744 2/28 6 ML with 5 yr IO 6ML 47.55 6/1/2007 11174277 2/28 6 ML with 5 yr IO 6ML 45.41 5/1/2007 11211498 3/27 6 ML 6ML 29.27 6/1/2008 11222956 30 YR FIXED FIX 40.09 00/00/0000 11172925 2/28 6 ML 6ML 51.67 4/1/2007 11207077 30 YR FIXED FIX 27.75 00/00/0000 11178452 2/28 6 ML 6ML 34.7 5/1/2007 11221748 2/28 6 ML 6ML 24.58 6/1/2007 11169867 2/28 6 ML with 5 yr IO 6ML 44.97 4/1/2007 11224564 2/28 6 ML with 5 yr IO 6ML 25.02 6/1/2007 11232667 2/28 6 ML 6ML 39.16 6/1/2007 11221487 2/28 6 ML 6ML 28.51 6/1/2007 11170936 2/28 6 ML 30/40 BALLOON 6ML 56.66 5/1/2007 11222229 2/28 6 ML 6ML 27.13 6/1/2007 11212486 2/28 6 ML 6ML 24.1 6/1/2007 11210301 2/28 6 ML 6ML 42.65 6/1/2007 11223499 2/28 6 ML 30/40 BALLOON 6ML 39.35 6/1/2007 11194347 2/28 6 ML with 5 yr IO 6ML 29.77 5/1/2007 11200020 2/28 6 ML 6ML 24.2 6/1/2007 11206687 30 YR FIXED FIX 39.86 00/00/0000 11222340 5/25 6 ML with 5 yr IO 6ML 22.88 6/1/2010 11226895 2/28 6 ML 30/40 BALLOON 6ML 38.34 6/1/2007 11186183 3/27 6 ML 6ML 37.51 5/1/2008 11136562 2/28 6 ML 6ML 44.49 6/1/2007 11196685 30 YR FIXED FIX 26.09 00/00/0000 11207887 30 YR FIXED FIX 43.54 00/00/0000 11222848 2/28 6 ML with 5 yr IO 6ML 43.57 6/1/2007 11217348 2/28 6 ML with 5 yr IO 6ML 50.25 6/1/2007 11181259 2/28 6 ML 6ML 38.69 5/1/2007 11167383 2/28 6 ML 6ML 32.35 4/1/2007 11192941 30 YR FIXED FIX 39.52 00/00/0000 11182091 5/25 6 ML 30/40 BALLOON 6ML 44.71 6/1/2010 11186576 2/28 6 ML with 5 yr IO 6ML 45.91 5/1/2007 11180777 2/28 6 ML 6ML 30.62 6/1/2007 11202191 2/28 6 ML 6ML 41.95 5/1/2007 11177595 2/28 6 ML 6ML 48.55 5/1/2007 11204350 5/25 6 ML 6ML 49.03 5/1/2010 11213437 30 YR FIXED FIX 53.58 00/00/0000 11190669 2/28 6 ML with 5 yr IO 6ML 46.68 6/1/2007 11202661 2/28 6 ML 6ML 27.82 5/1/2007 11173617 2/28 6 ML 6ML 46.51 5/1/2007 11183210 2/28 6 ML 6ML 32.17 6/1/2007 11195997 2/28 6 ML with 5 yr IO 6ML 55.05 5/1/2007 11165426 2/28 6 ML with 5 yr IO 6ML 45.02 4/1/2007 11217324 2/28 6 ML 30/40 BALLOON 6ML 42.89 6/1/2007 11184935 2/28 6 ML 6ML 46.74 6/1/2007 11217911 2/28 6 ML 6ML 30.97 6/1/2007 11211133 2/28 6 ML 6ML 45.93 6/1/2007 11216384 2/28 6 ML 6ML 35.18 6/1/2007 11211553 2/28 6 ML 30/40 BALLOON 6ML 28.65 6/1/2007 11163855 2/28 6 ML with 5 yr IO 6ML 35.32 4/1/2007 11209620 2/28 6 ML 6ML 38.66 6/1/2007 11203970 20 YR FIXED FIX 50.5 00/00/0000 11209823 30 YR FIXED FIX 45.97 00/00/0000 11218069 2/28 6 ML 6ML 39.76 6/1/2007 11194058 2/28 6 ML 6ML 46.63 6/1/2007 11217057 2/28 6 ML 6ML 48.11 6/1/2007 11232056 2/28 6 ML 6ML 45.79 6/1/2007 11222781 30 YR FIXED FIX 18.41 00/00/0000 11219464 2/28 6 ML 6ML 39.32 6/1/2007 11163119 2/28 6 ML 30/40 BALLOON 6ML 44.01 4/1/2007 11219631 2/28 6 ML 30/40 BALLOON 6ML 48.77 6/1/2007 11208870 2/28 6 ML 6ML 38.03 6/1/2007 11231928 2/28 6 ML 6ML 44.88 6/1/2007 11212119 2/28 6 ML 6ML 47.03 5/1/2007 11205918 2/28 6 ML 6ML 55.13 6/1/2007 11220353 2/28 6 ML 6ML 35.69 6/1/2007 11203289 2/28 6 ML 30/40 BALLOON 6ML 37.82 5/1/2007 11210302 30 YR FIXED FIX 54.93 00/00/0000 11189090 2/28 6 ML with 5 yr IO 6ML 45.86 5/1/2007 11211039 30 YR FIXED FIX 16.58 00/00/0000 11209168 2/28 6 ML 6ML 46.36 6/1/2007 11205157 2/28 6 ML 30/40 BALLOON 6ML 42.87 5/1/2007 11214026 2/28 6 ML 6ML 19.76 6/1/2007 11215484 2/28 6 ML 6ML 38.9 6/1/2007 11227286 30 YR FIXED FIX 22.52 00/00/0000 11184076 2/28 6 ML 6ML 49.06 5/1/2007 11216056 3/27 6 ML with 5 yr IO 6ML 45.47 6/1/2008 11237070 30 YR FIXED FIX 38.16 00/00/0000 11182835 2/28 6 ML 6ML 41.2 4/1/2007 11206318 2/28 6 ML 6ML 45.79 6/1/2007 11197314 2/28 6 ML 6ML 32.44 5/1/2007 11227915 2/28 6 ML 30/40 BALLOON 6ML 45.35 6/1/2007 11209536 2/28 6 ML 6ML 44.31 6/1/2007 11232568 2/28 6 ML 30/40 BALLOON 6ML 34.89 6/1/2007 11221628 2/28 6 ML with 5 yr IO 6ML 32.18 6/1/2007 11217202 2/28 6 ML 30/40 BALLOON 6ML 24.39 6/1/2007 11199049 30 YR FIXED 30/40 BALLOON FIX 41.42 00/00/0000 11205607 2/28 6 ML 6ML 45.97 6/1/2007 11232099 30 YR FIXED FIX 58.12 00/00/0000 11211596 2/28 6 ML 30/40 BALLOON 6ML 44.51 6/1/2007 11192945 2/28 6 ML 30/40 BALLOON 6ML 47.14 5/1/2007 11217989 2/28 6 ML 6ML 49.45 6/1/2007 11193239 2/28 6 ML 6ML 30.19 5/1/2007 11205485 2/28 6 ML with 5 yr IO 6ML 38.25 6/1/2007 11209985 3/27 6 ML with 5 yr IO 6ML 41.28 6/1/2008 11209925 30 YR FIXED FIX 44.73 00/00/0000 11205192 2/28 6 ML 6ML 48.2 6/1/2007 11219280 2/28 6 ML 6ML 33.46 6/1/2007 11206402 2/28 6 ML with 5 yr IO 6ML 38.36 6/1/2007 11196758 2/28 6 ML 6ML 33.06 5/1/2007 11215987 5/25 6 ML with 5 yr IO 6ML 45.57 6/1/2010 11182802 2/28 6 ML 6ML 52.85 6/1/2007 11167777 2/28 6 ML with 5 yr IO 6ML 41.31 6/1/2007 11202783 2/28 6 ML 6ML 38.42 6/1/2007 11205674 2/28 6 ML with 5 yr IO 6ML 47 6/1/2007 11214789 30 YR FIXED FIX 40.39 00/00/0000 11206570 3/27 6 ML with 5 yr IO 6ML 54.32 6/1/2008 11200077 2/28 6 ML 6ML 53.96 5/1/2007 11202520 2/28 6 ML with 5 yr IO 6ML 23.26 5/1/2007 11203462 2/28 6 ML 30/40 BALLOON 6ML 32.16 6/1/2007 11198372 2/28 6 ML 30/40 BALLOON 6ML 37.92 5/1/2007 11201818 2/28 6 ML 6ML 36.93 6/1/2007 11200235 3/27 6 ML 6ML 47.99 6/1/2008 11225137 2/28 6 ML 30/40 BALLOON 6ML 45.15 6/1/2007 11214139 2/28 6 ML 30/40 BALLOON 6ML 48.52 6/1/2007 11158273 2/28 6 ML with 5 yr IO 6ML 34.15 6/1/2007 11207788 30 YR FIXED FIX 38.02 00/00/0000 11211333 2/28 6 ML 30/40 BALLOON 6ML 43.67 6/1/2007 11197194 2/28 6 ML with 5 yr IO 6ML 43.1 6/1/2007 11218830 30 YR FIXED FIX 19.52 00/00/0000 11231435 2/28 6 ML with 5 yr IO 6ML 43.56 6/1/2007 11219990 2/28 6 ML with 10 yr IO 6ML 48.69 6/1/2007 11192856 2/28 6 ML 6ML 43.14 5/1/2007 11194660 2/28 6 ML 6ML 45.78 6/1/2007 11166696 2/28 6 ML 6ML 41.36 4/1/2007 11211601 2/28 6 ML 6ML 38.23 6/1/2007 11190399 2/28 6 ML with 5 yr IO 6ML 39.32 5/1/2007 11213542 2/28 6 ML 6ML 37.4 6/1/2007 11159211 2/28 6 ML 6ML 46.96 4/1/2007 11181631 2/28 6 ML 6ML 45.28 5/1/2007 11213038 2/28 6 ML 30/40 BALLOON 6ML 45.83 6/1/2007 11204594 2/28 6 ML 6ML 47.21 5/1/2007 11163759 2/28 6 ML with 5 yr IO 6ML 36.32 4/1/2007 11223651 2/28 6 ML with 10 yr IO 6ML 43.41 6/1/2007 11218589 2/28 6 ML with 5 yr IO 6ML 50.15 6/1/2007 11164315 2/28 6 ML 6ML 31.09 5/1/2007 11220849 2/28 6 ML 6ML 49.54 6/1/2007 11217851 3/27 6 ML 30/40 BALLOON 6ML 45.14 6/1/2008 11136710 2/28 6 ML 6ML 38.42 6/1/2007 11217633 2/28 6 ML 6ML 41.84 6/1/2007 11199029 2/28 6 ML 6ML 52.65 5/1/2007 11208759 2/28 6 ML 30/40 BALLOON 6ML 47.46 6/1/2007 11212111 2/28 6 ML 6ML 56.9 6/1/2007 11199110 2/28 6 ML 30/40 BALLOON 6ML 43.47 5/1/2007 11064967 2/28 6 ML 6ML 49.56 11/1/2006 11182063 5/25 6 ML 6ML 24.24 5/1/2010 11213166 2/28 6 ML 30/40 BALLOON 6ML 32.39 6/1/2007 11218691 2/28 6 ML with 5 yr IO 6ML 13.14 6/1/2007 11212696 2/28 6 ML 6ML 39.76 6/1/2007 11213053 2/28 6 ML 6ML 27.28 6/1/2007 11207629 2/28 6 ML 30/40 BALLOON 6ML 46.11 6/1/2007 11204863 2/28 6 ML with 5 yr IO 6ML 31.67 6/1/2007 11204793 2/28 6 ML 6ML 39.04 6/1/2007 11209751 2/28 6 ML 30/40 BALLOON 6ML 43.6 6/1/2007 11222341 30 YR FIXED FIX 24.13 00/00/0000 11208773 2/28 6 ML 6ML 45.99 6/1/2007 11210982 2/28 6 ML 30/40 BALLOON 6ML 40.37 6/1/2007 11178405 2/28 6 ML 6ML 58.88 6/1/2007 11177975 2/28 6 ML 6ML 45.15 5/1/2007 11186591 2/28 6 ML 6ML 41.17 5/1/2007 11203159 2/28 6 ML 6ML 25.79 6/1/2007 11195107 2/28 6 ML 6ML 41.61 5/1/2007 11230906 2/28 6 ML with 5 yr IO 6ML 44.45 6/1/2007 11188353 5/25 6 ML 6ML 39.64 6/1/2010 11203601 2/28 6 ML with 5 yr IO 6ML 32.66 6/1/2007 11210981 2/28 6 ML 6ML 33.53 6/1/2007 11209184 30 YR FIXED FIX 42.53 00/00/0000 11217152 30 YR FIXED FIX 34.31 00/00/0000 11196661 2/28 6 ML 30/40 BALLOON 6ML 30.53 5/1/2007 11205597 30 YR FIXED FIX 50.17 00/00/0000 11208268 2/28 6 ML with 5 yr IO 6ML 40.78 6/1/2007 11206244 2/28 6 ML 6ML 33.99 6/1/2007 11205252 2/28 6 ML 30/40 BALLOON 6ML 25.48 6/1/2007 11222921 2/28 6 ML with 5 yr IO 6ML 34.73 6/1/2007 11214813 30 YR FIXED FIX 35.78 00/00/0000 11211751 2/28 6 ML 6ML 49.99 6/1/2007 11207690 5/25 6 ML with 5 yr IO 6ML 50.05 6/1/2010 11216844 2/28 6 ML 6ML 36.55 6/1/2007 11199423 2/28 6 ML with 5 yr IO 6ML 29.81 6/1/2007 11233069 30 YR FIXED FIX 48.49 00/00/0000 11139445 2/28 6 ML 6ML 44.88 5/1/2007 11199991 5/25 6 ML with 5 yr IO 6ML 40.76 5/1/2010 11177067 30 YR FIXED 30/40 BALLOON FIX 44.09 00/00/0000 11220036 2/28 6 ML 6ML 40.5 6/1/2007 11203524 2/28 6 ML 6ML 44.93 6/1/2007 11208922 2/28 6 ML 30/40 BALLOON 6ML 37.73 6/1/2007 11219220 2/28 6 ML 6ML 38.93 6/1/2007 11218021 2/28 6 ML 30/40 BALLOON 6ML 50.06 6/1/2007 11218494 2/28 6 ML 6ML 20.4 6/1/2007 11237226 2/28 6 ML 6ML 33.84 6/1/2007 11223023 2/28 6 ML 30/40 BALLOON 6ML 46.58 6/1/2007 11214841 2/28 6 ML with 5 yr IO 6ML 37.23 6/1/2007 11166721 2/28 6 ML 6ML 49.25 5/1/2007 11188960 3/27 6 ML 6ML 47.87 6/1/2008 11226891 2/28 6 ML with 10 yr IO 6ML 45.74 6/1/2007 11227759 2/28 6 ML 30/40 BALLOON 6ML 43.63 6/1/2007 11200432 2/28 6 ML with 5 yr IO 6ML 41.97 6/1/2007 11190097 30 YR FIXED FIX 41.46 00/00/0000 11201864 2/28 6 ML with 5 yr IO 6ML 41.61 6/1/2007 11231461 3/27 6 ML 6ML 40.67 6/1/2008 11206288 2/28 6 ML 6ML 49.71 6/1/2007 11215202 2/28 6 ML 30/40 BALLOON 6ML 46.81 6/1/2007 11198832 5/25 6 ML with 5 yr IO 6ML 34.38 6/1/2010 11210069 20 YR FIXED FIX 37.09 00/00/0000 11132955 3/27 6 ML 6ML 23.6 4/1/2008 11196223 2/28 6 ML 30/40 BALLOON 6ML 29.39 6/1/2007 11173115 2/28 6 ML 6ML 23.77 5/1/2007 11189608 2/28 6 ML 30/40 BALLOON 6ML 50.18 5/1/2007 11204958 2/28 6 ML 30/40 BALLOON 6ML 41.66 6/1/2007 11198923 2/28 6 ML 30/40 BALLOON 6ML 42.04 5/1/2007 11209809 2/28 6 ML 6ML 40.4 6/1/2007 11184703 2/28 6 ML 6ML 43.34 5/1/2007 11165025 2/28 6 ML 6ML 43.24 4/1/2007 11201321 2/28 6 ML 6ML 48.68 6/1/2007 11208935 2/28 6 ML 6ML 37.11 6/1/2007 11170121 30 YR FIXED FIX 53.12 00/00/0000 11226000 2/28 6 ML 6ML 52.63 6/1/2007 11219003 2/28 6 ML 6ML 41.28 6/1/2007 11227382 2/28 6 ML 30/40 BALLOON 6ML 46.87 6/1/2007 11204175 2/28 6 ML 6ML 27.57 5/1/2007 11208684 2/28 6 ML 6ML 44.16 6/1/2007 11222430 5/25 6 ML with 5 yr IO 6ML 37.99 6/1/2010 11212004 30 YR FIXED 30/40 BALLOON FIX 39.62 00/00/0000 11199357 30 YR FIXED 30/40 BALLOON FIX 40.92 00/00/0000 11218153 2/28 6 ML 6ML 25.02 6/1/2007 11220962 2/28 6 ML 30/40 BALLOON 6ML 51.28 6/1/2007 11222853 2/28 6 ML 30/40 BALLOON 6ML 49.22 6/1/2007 11214170 2/28 6 ML 6ML 20.02 6/1/2007 11206616 2/28 6 ML 30/40 BALLOON 6ML 49.69 6/1/2007 11228123 2/28 6 ML 6ML 49.07 6/1/2007 11196174 2/28 6 ML 6ML 55.85 5/1/2007 11183533 5/25 6 ML with 5 yr IO 6ML 32.29 5/1/2010 11224208 2/28 6 ML 30/40 BALLOON 6ML 44.83 6/1/2007 11149745 30 YR FIXED FIX 37.17 00/00/0000 11198498 2/28 6 ML 30/40 BALLOON 6ML 36.42 6/1/2007 11219635 2/28 6 ML with 5 yr IO 6ML 23.81 6/1/2007 11197735 2/28 6 ML 30/40 BALLOON 6ML 43.29 5/1/2007 11209047 2/28 6 ML 6ML 50.49 6/1/2007 11210729 2/28 6 ML 6ML 49.12 6/1/2007 11194113 15 YR FIXED FIX 57.8 00/00/0000 11190897 2/28 6 ML 30/40 BALLOON 6ML 25.97 6/1/2007 11191105 3/27 6 ML 6ML 39.14 5/1/2008 11216776 2/28 6 ML 6ML 41.03 6/1/2007 11215654 2/28 6 ML 30/40 BALLOON 6ML 49.74 6/1/2007 11181545 2/28 6 ML with 5 yr IO 6ML 38.35 5/1/2007 11195227 30 YR FIXED FIX 49.71 00/00/0000 11223630 2/28 6 ML 6ML 40.04 6/1/2007 11213416 2/28 6 ML 6ML 26.17 6/1/2007 11209846 5/25 6 ML 6ML 44.38 6/1/2010 11209949 2/28 6 ML 6ML 19.33 6/1/2007 11201092 2/28 6 ML 6ML 36.42 5/1/2007 11212510 2/28 6 ML 6ML 47.79 6/1/2007 11195074 2/28 6 ML 6ML 24.07 5/1/2007 11207863 2/28 6 ML 6ML 43.87 6/1/2007 11204887 2/28 6 ML 6ML 53.58 5/1/2007 11176451 2/28 6 ML 30/40 BALLOON 6ML 45.4 4/1/2007 11194630 2/28 6 ML 30/40 BALLOON 6ML 33.49 5/1/2007 11198122 2/28 6 ML 30/40 BALLOON 6ML 44.66 5/1/2007 11166580 15 YR FIXED FIX 33.5 00/00/0000 11201643 2/28 6 ML with 5 yr IO 6ML 42.16 6/1/2007 11231839 2/28 6 ML 6ML 32.52 6/1/2007 11222235 30 YR FIXED FIX 45.53 00/00/0000 11227891 2/28 6 ML 30/40 BALLOON 6ML 56.42 6/1/2007 11202918 2/28 6 ML 6ML 30.11 5/1/2007 11231174 2/28 6 ML 6ML 48.76 6/1/2007 11218170 2/28 6 ML 6ML 33.01 6/1/2007 11216890 2/28 6 ML 6ML 23.98 6/1/2007 11198582 2/28 6 ML 6ML 48.46 6/1/2007 11208482 2/28 6 ML 30/40 BALLOON 6ML 37.9 6/1/2007 11193599 5/25 6 ML with 5 yr IO 6ML 28.09 6/1/2010 11194507 2/28 6 ML 6ML 47.16 6/1/2007 11210505 30 YR FIXED FIX 31.95 00/00/0000 11223254 2/28 6 ML 30/40 BALLOON 6ML 46.79 6/1/2007 11198660 2/28 6 ML 6ML 40.54 6/1/2007 11203220 2/28 6 ML 6ML 53.78 5/1/2007 11190585 3/27 6 ML with 5 yr IO 6ML 39.87 6/1/2008 11193658 2/28 6 ML with 5 yr IO 6ML 39.68 5/1/2007 11212483 2/28 6 ML 30/40 BALLOON 6ML 49.78 6/1/2007 11212860 30 YR FIXED FIX 19 00/00/0000 11205041 2/28 6 ML with 5 yr IO 6ML 26.3 5/1/2007 11179186 15 YR FIXED FIX 24.11 00/00/0000 11172223 2/28 6 ML 6ML 42.2 5/1/2007 11193741 2/28 6 ML 6ML 46.37 5/1/2007 11171040 30 YR FIXED FIX 42.95 00/00/0000 11188585 2/28 6 ML 6ML 28.66 5/1/2007 11215137 2/28 6 ML 30/40 BALLOON 6ML 49.5 6/1/2007 11202159 2/28 6 ML 30/40 BALLOON 6ML 50.62 5/1/2007 11197299 2/28 6 ML 30/40 BALLOON 6ML 38.03 6/1/2007 11202588 2/28 6 ML 6ML 39.82 6/1/2007 11185177 5/25 6 ML with 5 yr IO 6ML 40.31 6/1/2010 11204292 2/28 6 ML 30/40 BALLOON 6ML 53.31 6/1/2007 11223280 2/28 6 ML 6ML 18.17 6/1/2007 11201449 2/28 6 ML 30/40 BALLOON 6ML 36.44 6/1/2007 11212617 30 YR FIXED FIX 20.41 00/00/0000 11200446 2/28 6 ML 30/40 BALLOON 6ML 45.29 6/1/2007 11222906 2/28 6 ML 6ML 29.74 6/1/2007 11222716 2/28 6 ML 6ML 48.25 6/1/2007 11196317 2/28 6 ML 6ML 44.3 5/1/2007 11205449 2/28 6 ML 6ML 29.75 6/1/2007 11228765 2/28 6 ML 6ML 33.48 6/1/2007 11228508 5/25 6 ML with 5 yr IO 6ML 29.44 6/1/2010 11190978 2/28 6 ML with 5 yr IO 6ML 38.51 5/1/2007 11205856 2/28 6 ML 6ML 43.23 6/1/2007 11215003 2/28 6 ML 6ML 41.78 6/1/2007 11192794 2/28 6 ML with 5 yr IO 6ML 44.32 6/1/2007 11194472 2/28 6 ML 30/40 BALLOON 6ML 39.2 5/1/2007 11182589 2/28 6 ML 6ML 31.26 6/1/2007 11214408 2/28 6 ML with 5 yr IO 6ML 37.89 6/1/2007 11222378 2/28 6 ML with 5 yr IO 6ML 56.77 6/1/2007 11216124 2/28 6 ML 30/40 BALLOON 6ML 36.1 6/1/2007 11164850 2/28 6 ML 6ML 39.72 4/1/2007 11163135 15 YR FIXED FIX 48.13 00/00/0000 11203973 30 YR FIXED 30/40 BALLOON FIX 33.71 00/00/0000 11220090 2/28 6 ML with 5 yr IO 6ML 45.87 6/1/2007 11161392 2/28 6 ML 6ML 32.84 6/1/2007 11225472 30 YR FIXED FIX 53.47 00/00/0000 11208561 5/25 6 ML 6ML 38.19 6/1/2010 11187058 5/25 6 ML 6ML 40.43 5/1/2010 11206092 2/28 6 ML 6ML 49.8 6/1/2007 11199443 30 YR FIXED FIX 43.84 00/00/0000 11161308 2/28 6 ML 6ML 54.47 6/1/2007 11225569 2/28 6 ML 30/40 BALLOON 6ML 41.54 6/1/2007 11204586 2/28 6 ML with 5 yr IO 6ML 39.22 5/1/2007 11207660 2/28 6 ML with 5 yr IO 6ML 43.85 6/1/2007 11203224 30 YR FIXED FIX 44.44 00/00/0000 11195358 2/28 6 ML 30/40 BALLOON 6ML 44.5 6/1/2007 11136513 5/25 6 ML 6ML 51.53 6/1/2010 11159884 2/28 6 ML 6ML 37.81 6/1/2007 11200456 2/28 6 ML 6ML 32.82 6/1/2007 11221240 2/28 6 ML 6ML 30.5 6/1/2007 11209773 2/28 6 ML with 5 yr IO 6ML 43.73 6/1/2007 11204428 30 YR FIXED 30/40 BALLOON FIX 46.13 00/00/0000 11229245 2/28 6 ML 6ML 39.08 6/1/2007 11192371 5/25 6 ML with 5 yr IO 6ML 39.69 6/1/2010 11199763 5/25 6 ML 6ML 39.03 6/1/2010 11184932 2/28 6 ML 6ML 44.62 5/1/2007 11194976 5/25 6 ML 6ML 41.12 5/1/2010 11230747 2/28 6 ML 6ML 44.41 6/1/2007 11185997 2/28 6 ML 6ML 47.85 5/1/2007 11199246 2/28 6 ML 6ML 46.1 5/1/2007 11199988 2/28 6 ML 30/40 BALLOON 6ML 49.26 5/1/2007 11228103 2/28 6 ML 6ML 27.55 6/1/2007 11222958 2/28 6 ML with 10 yr IO 6ML 30.77 6/1/2007 11208235 2/28 6 ML with 5 yr IO 6ML 40.84 6/1/2007 11211950 2/28 6 ML with 5 yr IO 6ML 40.74 6/1/2007 11220803 2/28 6 ML 6ML 40.45 6/1/2007 11206700 30 YR FIXED FIX 38.37 00/00/0000 11216195 2/28 6 ML 30/40 BALLOON 6ML 43.95 6/1/2007 11214864 2/28 6 ML 30/40 BALLOON 6ML 48.03 6/1/2007 11213752 2/28 6 ML 6ML 53.85 6/1/2007 11206966 2/28 6 ML with 5 yr IO 6ML 46.92 6/1/2007 11201276 2/28 6 ML 6ML 48.14 6/1/2007 11229206 30 YR FIXED 30/40 BALLOON FIX 49.53 00/00/0000 11149356 2/28 6 ML 6ML 53.59 6/1/2007 11220572 2/28 6 ML 6ML 48.58 6/1/2007 11217661 2/28 6 ML 6ML 44.23 6/1/2007 11187740 2/28 6 ML 6ML 39.12 5/1/2007 11178474 5/25 6 ML 6ML 42.5 6/1/2010 11216569 2/28 6 ML with 5 yr IO 6ML 52.54 6/1/2007 11210196 2/28 6 ML 6ML 43.99 6/1/2007 11162825 2/28 6 ML 6ML 48.04 5/1/2007 11198311 2/28 6 ML 6ML 40.36 6/1/2007 11222485 2/28 6 ML 30/40 BALLOON 6ML 49.39 6/1/2007 11230947 2/28 6 ML 6ML 59.61 5/1/2007 11193300 2/28 6 ML 30/40 BALLOON 6ML 36.07 5/1/2007 11203792 2/28 6 ML 6ML 27.15 6/1/2007 11203456 30 YR FIXED 30/40 BALLOON FIX 48.29 00/00/0000 11207914 2/28 6 ML 6ML 40.81 6/1/2007 11199854 2/28 6 ML with 5 yr IO 6ML 45.72 5/1/2007 11226781 5/25 6 ML with 5 yr IO 6ML 30.5 6/1/2010 11213616 2/28 6 ML 6ML 39.17 6/1/2007 11223632 2/28 6 ML 6ML 35.26 6/1/2007 11218117 2/28 6 ML 6ML 45.49 6/1/2007 11210362 2/28 6 ML 6ML 36.7 6/1/2007 11225192 2/28 6 ML with 5 yr IO 6ML 37.1 6/1/2007 11191902 2/28 6 ML 6ML 50.47 6/1/2007 11215146 2/28 6 ML 6ML 47.18 6/1/2007 11212110 2/28 6 ML 6ML 54.87 6/1/2007 11175679 2/28 6 ML 6ML 33.69 5/1/2007 11207311 2/28 6 ML 30/40 BALLOON 6ML 45.45 6/1/2007 11200637 2/28 6 ML 6ML 48.58 5/1/2007 11224433 2/28 6 ML 30/40 BALLOON 6ML 47.44 6/1/2007 11196115 2/28 6 ML with 5 yr IO 6ML 28.12 5/1/2007 11207562 2/28 6 ML 6ML 43.22 6/1/2007 11208915 2/28 6 ML with 5 yr IO 6ML 42.53 6/1/2007 11228000 2/28 6 ML 6ML 34.6 6/1/2007 11222299 2/28 6 ML 30/40 BALLOON 6ML 43.41 6/1/2007 11193324 2/28 6 ML with 5 yr IO 6ML 42.97 5/1/2007 11230438 3/27 6 ML 6ML 45.97 6/1/2008 11200845 2/28 6 ML 30/40 BALLOON 6ML 38.17 5/1/2007 11176139 2/28 6 ML 6ML 38.74 6/1/2007 11231432 2/28 6 ML 30/40 BALLOON 6ML 49.96 6/1/2007 11195874 2/28 6 ML with 5 yr IO 6ML 39.53 5/1/2007 11212654 2/28 6 ML 6ML 42.47 6/1/2007 11192032 2/28 6 ML with 5 yr IO 6ML 35.59 6/1/2007 11232540 2/28 6 ML 30/40 BALLOON 6ML 42.28 6/1/2007 11207605 2/28 6 ML 6ML 42.06 6/1/2007 11202692 2/28 6 ML 6ML 47.31 6/1/2007 11180770 2/28 6 ML with 5 yr IO 6ML 22.45 5/1/2007 11207424 3/27 6 ML 6ML 48.69 5/1/2008 11197882 2/28 6 ML with 5 yr IO 6ML 38.94 6/1/2007 11201408 2/28 6 ML 6ML 48.25 5/1/2007 11201898 2/28 6 ML 30/40 BALLOON 6ML 44.55 5/1/2007 11208527 2/28 6 ML 30/40 BALLOON 6ML 49.95 5/1/2007 11180317 2/28 6 ML with 5 yr IO 6ML 47.01 5/1/2007 11208570 2/28 6 ML 6ML 38.04 6/1/2007 11226927 2/28 6 ML 6ML 41.44 6/1/2007 11198510 2/28 6 ML 6ML 47.39 6/1/2007 11217308 30 YR FIXED 30/40 BALLOON FIX 39.11 00/00/0000 11211966 2/28 6 ML 30/40 BALLOON 6ML 41.01 6/1/2007 11221894 30 YR FIXED FIX 19.82 00/00/0000 11228549 15 YR FIXED FIX 48.3 00/00/0000 11206848 2/28 6 ML with 5 yr IO 6ML 39.51 5/1/2007 11198280 2/28 6 ML 6ML 44.58 5/1/2007 11175176 30 YR FIXED FIX 46.03 00/00/0000 11173981 30 YR FIXED FIX 43.12 00/00/0000 11200256 2/28 6 ML 30/40 BALLOON 6ML 43.56 5/1/2007 11224070 2/28 6 ML 6ML 28.03 6/1/2007 11219301 30 YR FIXED 30/40 BALLOON FIX 35.63 00/00/0000 11212533 2/28 6 ML with 5 yr IO 6ML 27.09 6/1/2007 11171429 2/28 6 ML with 5 yr IO 6ML 50.12 6/1/2007 11198284 2/28 6 ML with 5 yr IO 6ML 35.97 5/1/2007 11166504 2/28 6 ML 6ML 42.37 5/1/2007 11203614 2/28 6 ML 6ML 43.07 6/1/2007 11187816 2/28 6 ML with 5 yr IO 6ML 43.39 6/1/2007 11179436 2/28 6 ML 6ML 35.4 6/1/2007 11206962 2/28 6 ML with 5 yr IO 6ML 24.95 6/1/2007 11185474 2/28 6 ML 6ML 48.96 6/1/2007 11210961 2/28 6 ML 30/40 BALLOON 6ML 49.75 6/1/2007 11213456 2/28 6 ML 6ML 32.08 6/1/2007 11179948 5/25 6 ML with 5 yr IO 6ML 28.67 5/1/2010 11196821 2/28 6 ML 6ML 46.76 6/1/2007 11213852 2/28 6 ML with 5 yr IO 6ML 43.27 6/1/2007 11196473 2/28 6 ML 6ML 30.1 6/1/2007 11177887 2/28 6 ML 6ML 47.56 4/1/2007 11204676 2/28 6 ML 30/40 BALLOON 6ML 48.89 6/1/2007 11201813 2/28 6 ML 6ML 34.53 5/1/2007 11205293 2/28 6 ML 6ML 38.54 6/1/2007 11217269 2/28 6 ML 30/40 BALLOON 6ML 21.63 6/1/2007 11226943 2/28 6 ML 6ML 38.21 6/1/2007 11216912 3/27 6 ML 6ML 42.4 6/1/2008 11212242 2/28 6 ML 6ML 50.95 6/1/2007 11183746 30 YR FIXED 30/40 BALLOON FIX 30.19 00/00/0000 11213395 15 YR FIXED FIX 47.26 00/00/0000 11190419 2/28 6 ML 30/40 BALLOON 6ML 26.6 6/1/2007 11186756 2/28 6 ML with 5 yr IO 6ML 36.62 5/1/2007 11217569 2/28 6 ML 6ML 41.37 6/1/2007 11232695 2/28 6 ML 6ML 35.11 6/1/2007 11211292 2/28 6 ML 6ML 47.33 6/1/2007 11216853 2/28 6 ML 30/40 BALLOON 6ML 31.83 6/1/2007 11209583 2/28 6 ML with 5 yr IO 6ML 33.03 6/1/2007 11222023 2/28 6 ML 6ML 46.77 6/1/2007 11202292 2/28 6 ML 30/40 BALLOON 6ML 45.86 5/1/2007 11195317 30 YR FIXED FIX 48.9 00/00/0000 11216898 2/28 6 ML with 5 yr IO 6ML 41.25 6/1/2007 11223420 30 YR FIXED FIX 41.7 00/00/0000 11226583 30 YR FIXED FIX 42.83 00/00/0000 11210455 2/28 6 ML 30/40 BALLOON 6ML 49.6 6/1/2007 11207814 2/28 6 ML with 5 yr IO 6ML 44.25 5/1/2007 11192167 2/28 6 ML with 5 yr IO 6ML 41.56 5/1/2007 11207333 2/28 6 ML 6ML 40.57 5/1/2007 11219107 2/28 6 ML 30/40 BALLOON 6ML 46.6 6/1/2007 11214176 2/28 6 ML 6ML 20.54 5/1/2007 11196638 30 YR FIXED 30/40 BALLOON FIX 40.42 00/00/0000 11217721 2/28 6 ML 30/40 BALLOON 6ML 44.02 6/1/2007 11205615 2/28 6 ML with 5 yr IO 6ML 33.82 6/1/2007 11143153 2/28 6 ML 6ML 45.2 4/1/2007 11192332 2/28 6 ML with 5 yr IO 6ML 32.96 5/1/2007 11196600 2/28 6 ML 6ML 44.12 5/1/2007 11235253 30 YR FIXED FIX 38.8 00/00/0000 11216705 30 YR FIXED FIX 26.71 00/00/0000 11197691 2/28 6 ML 30/40 BALLOON 6ML 46.86 6/1/2007 11217043 2/28 6 ML 6ML 45.57 6/1/2007 11231954 2/28 6 ML 6ML 49.49 6/1/2007 11228347 3/27 6 ML 6ML 50.15 5/1/2008 11197058 2/28 6 ML 6ML 47.97 6/1/2007 11209183 2/28 6 ML 6ML 31.2 6/1/2007 11194764 2/28 6 ML 6ML 43.13 6/1/2007 11221623 3/27 6 ML 6ML 34.84 6/1/2008 11181329 2/28 6 ML with 5 yr IO 6ML 28.51 6/1/2007 11214723 2/28 6 ML with 5 yr IO 6ML 46.65 6/1/2007 11230594 2/28 6 ML 30/40 BALLOON 6ML 26.97 6/1/2007 11201534 2/28 6 ML 6ML 41.89 6/1/2007 11206574 2/28 6 ML 6ML 37.59 6/1/2007 11208280 2/28 6 ML 6ML 48.84 6/1/2007 11198910 2/28 6 ML 30/40 BALLOON 6ML 46.46 6/1/2007 11198570 30 YR FIXED FIX 31.53 00/00/0000 11195034 2/28 6 ML with 5 yr IO 6ML 49.25 5/1/2007 11212164 2/28 6 ML with 5 yr IO 6ML 47.27 6/1/2007 11215585 2/28 6 ML with 5 yr IO 6ML 27.43 6/1/2007 11179497 2/28 6 ML 6ML 46.76 5/1/2007 11230383 15 YR FIXED FIX 42.9 00/00/0000 11209414 2/28 6 ML 30/40 BALLOON 6ML 50.14 6/1/2007 11184540 2/28 6 ML with 5 yr IO 6ML 31.3 5/1/2007 11205153 2/28 6 ML 30/40 BALLOON 6ML 39.33 6/1/2007 11194936 2/28 6 ML with 5 yr IO 6ML 47.35 5/1/2007 11194304 2/28 6 ML 6ML 30.91 6/1/2007 11216035 2/28 6 ML 30/40 BALLOON 6ML 47.51 6/1/2007 11210086 2/28 6 ML 30/40 BALLOON 6ML 34.45 6/1/2007 11194438 2/28 6 ML 6ML 43.37 5/1/2007 11206493 2/28 6 ML with 5 yr IO 6ML 44.52 5/1/2007 11221075 2/28 6 ML with 5 yr IO 6ML 44.99 6/1/2007 11210023 2/28 6 ML with 5 yr IO 6ML 44.24 6/1/2007 11198286 2/28 6 ML 30/40 BALLOON 6ML 44.19 6/1/2007 11189466 2/28 6 ML 6ML 41.65 5/1/2007 11210139 2/28 6 ML 30/40 BALLOON 6ML 40.47 6/1/2007 11195910 2/28 6 ML with 5 yr IO 6ML 44.83 5/1/2007 11222897 2/28 6 ML 6ML 29.25 6/1/2007 11180854 2/28 6 ML 6ML 53.65 5/1/2007 11187449 2/28 6 ML 6ML 21.13 5/1/2007 11165791 2/28 6 ML with 5 yr IO 6ML 32.13 4/1/2007 11203014 2/28 6 ML with 5 yr IO 6ML 43.22 5/1/2007 11214446 30 YR FIXED FIX 38.09 00/00/0000 11151412 2/28 6 ML 6ML 45.64 5/1/2007 11219865 15 YR FIXED FIX 48.27 00/00/0000 11195611 2/28 6 ML 6ML 19.76 6/1/2007 11210210 2/28 6 ML with 5 yr IO 6ML 34.33 6/1/2007 11161266 5/25 6 ML with 5 yr IO 6ML 47.38 5/1/2010 11220768 2/28 6 ML 30/40 BALLOON 6ML 46.99 6/1/2007 11171809 2/28 6 ML 6ML 53.62 4/1/2007 11187902 2/28 6 ML 6ML 45.04 6/1/2007 11223306 2/28 6 ML 30/40 BALLOON 6ML 53.06 6/1/2007 11196449 2/28 6 ML 6ML 27.47 6/1/2007 11188846 2/28 6 ML 30/40 BALLOON 6ML 45.39 6/1/2007 11193147 2/28 6 ML with 5 yr IO 6ML 45.4 6/1/2007 11203115 3/27 6 ML with 5 yr IO 6ML 35.91 6/1/2008 11199349 2/28 6 ML 6ML 35.03 5/1/2007 11149975 2/28 6 ML 6ML 50.69 5/1/2007 11200727 30 YR FIXED FIX 45.53 00/00/0000 11183173 2/28 6 ML 30/40 BALLOON 6ML 45.16 5/1/2007 11212934 2/28 6 ML with 5 yr IO 6ML 34.99 6/1/2007 11200202 2/28 6 ML 6ML 39.7 6/1/2007 11193398 2/28 6 ML with 5 yr IO 6ML 49.95 5/1/2007 11221498 2/28 6 ML 30/40 BALLOON 6ML 42.25 6/1/2007 11229012 2/28 6 ML 6ML 44.78 6/1/2007 11174601 2/28 6 ML 6ML 31.82 5/1/2007 11222232 5/25 6 ML 6ML 31.89 5/1/2010 11200815 2/28 6 ML 6ML 31.68 6/1/2007 11208158 2/28 6 ML 6ML 40.97 5/1/2007 11198437 2/28 6 ML 6ML 20.6 6/1/2007 11194655 2/28 6 ML 6ML 38.31 5/1/2007 11227055 2/28 6 ML 30/40 BALLOON 6ML 45.83 6/1/2007 11223026 2/28 6 ML with 5 yr IO 6ML 41.95 6/1/2007 11208511 2/28 6 ML with 5 yr IO 6ML 38.95 6/1/2007 11217985 2/28 6 ML 6ML 45.66 6/1/2007 11165236 2/28 6 ML 6ML 37.35 6/1/2007 11201025 2/28 6 ML with 5 yr IO 6ML 43.67 6/1/2007 11204617 2/28 6 ML 30/40 BALLOON 6ML 38.04 6/1/2007 11216453 2/28 6 ML 30/40 BALLOON 6ML 36.9 6/1/2007 11222089 2/28 6 ML 6ML 43.05 6/1/2007 11219285 2/28 6 ML with 5 yr IO 6ML 9.35 6/1/2007 11203648 5/25 6 ML with 5 yr IO 6ML 32.81 6/1/2010 11221501 2/28 6 ML 6ML 24.06 6/1/2007 11198545 2/28 6 ML with 5 yr IO 6ML 34.07 5/1/2007 11218519 2/28 6 ML with 5 yr IO 6ML 43.57 6/1/2007 11192943 30 YR FIXED FIX 49.96 00/00/0000 11194658 2/28 6 ML 6ML 41.12 6/1/2007 11159664 30 YR FIXED FIX 21.66 00/00/0000 11215196 2/28 6 ML 30/40 BALLOON 6ML 47.82 6/1/2007 11203122 2/28 6 ML 30/40 BALLOON 6ML 40.59 5/1/2007 11216996 2/28 6 ML 6ML 48.02 6/1/2007 11215900 2/28 6 ML 6ML 45.89 6/1/2007 11189997 2/28 6 ML 30/40 BALLOON 6ML 36.45 6/1/2007 11222961 30 YR FIXED FIX 40.5 00/00/0000 11217415 2/28 6 ML with 5 yr IO 6ML 39.55 6/1/2007 11222152 2/28 6 ML 30/40 BALLOON 6ML 44.02 6/1/2007 11205817 2/28 6 ML 30/40 BALLOON 6ML 39.75 6/1/2007 11208438 5/25 6 ML with 5 yr IO 6ML 45.12 6/1/2010 11220310 5/25 6 ML with 5 yr IO 6ML 44.06 6/1/2010 11210994 30 YR FIXED FIX 41.31 00/00/0000 11197791 2/28 6 ML with 5 yr IO 6ML 25.72 5/1/2007 11164646 2/28 6 ML 6ML 49.56 6/1/2007 11219037 2/28 6 ML 6ML 30.43 6/1/2007 11220802 2/28 6 ML with 5 yr IO 6ML 29.72 6/1/2007 11231417 2/28 6 ML 6ML 48.1 6/1/2007 11153248 2/28 6 ML with 5 yr IO 6ML 45.42 4/1/2007 11228388 30 YR FIXED FIX 49.79 00/00/0000 11212179 5/25 6 ML with 5 yr IO 6ML 42.52 5/1/2010 11148162 30 YR FIXED FIX 52.06 00/00/0000 11204021 2/28 6 ML 6ML 45.49 6/1/2007 11226220 5/25 6 ML with 5 yr IO 6ML 38.42 6/1/2010 11210945 30 YR FIXED FIX 47.8 00/00/0000 11162780 15 YR FIXED FIX 25.23 00/00/0000 11205440 2/28 6 ML with 5 yr IO 6ML 42.32 5/1/2007 11219731 2/28 6 ML 30/40 BALLOON 6ML 45.59 6/1/2007 11216546 2/28 6 ML 6ML 45.49 6/1/2007 11201766 5/25 6 ML with 5 yr IO 6ML 44.07 6/1/2010 11226472 2/28 6 ML 30/40 BALLOON 6ML 48.45 6/1/2007 11208426 2/28 6 ML with 5 yr IO 6ML 35.52 6/1/2007 11213343 2/28 6 ML 6ML 35.95 6/1/2007 11178759 2/28 6 ML 6ML 42.8 5/1/2007 11210230 2/28 6 ML 6ML 50.09 6/1/2007 11154011 30 YR FIXED FIX 48.79 00/00/0000 11220347 2/28 6 ML with 5 yr IO 6ML 42.77 6/1/2007 11218090 5/25 6 ML with 5 yr IO 6ML 33.15 6/1/2010 11222319 2/28 6 ML 30/40 BALLOON 6ML 34.3 6/1/2007 11207694 3/27 6 ML 30/40 BALLOON 6ML 53.74 6/1/2008 11213067 30 YR FIXED 30/40 BALLOON FIX 45.62 00/00/0000 11202405 2/28 6 ML 30/40 BALLOON 6ML 44.81 5/1/2007 11202569 2/28 6 ML with 5 yr IO 6ML 41.74 6/1/2007 11170221 2/28 6 ML 6ML 43.89 5/1/2007 11221051 2/28 6 ML with 5 yr IO 6ML 40.97 6/1/2007 11191187 2/28 6 ML 6ML 50.47 5/1/2007 11175921 2/28 6 ML 6ML 35.31 5/1/2007 11178826 2/28 6 ML 6ML 39.82 5/1/2007 11219735 2/28 6 ML 30/40 BALLOON 6ML 41.55 6/1/2007 11210306 2/28 6 ML 6ML 44.36 6/1/2007 11192160 3/27 6 ML 6ML 8.8 6/1/2008 11168840 2/28 6 ML 30/40 BALLOON 6ML 51.76 6/1/2007 11214843 30 YR FIXED FIX 33.05 00/00/0000 11225405 2/28 6 ML 6ML 40.84 6/1/2007 11222666 2/28 6 ML 6ML 37.79 5/1/2007 11168316 2/28 6 ML with 5 yr IO 6ML 44.93 4/1/2007 11218323 30 YR FIXED FIX 46.94 00/00/0000 11224368 2/28 6 ML 6ML 24.84 6/1/2007 11211503 2/28 6 ML with 10 yr IO 6ML 24.34 6/1/2007 11193225 2/28 6 ML 6ML 48.78 6/1/2007 11224767 2/28 6 ML 6ML 45.17 6/1/2007 11205351 30 YR FIXED FIX 33.76 00/00/0000 11210899 2/28 6 ML 30/40 BALLOON 6ML 47.03 6/1/2007 11211037 2/28 6 ML 30/40 BALLOON 6ML 42.65 6/1/2007 11199759 2/28 6 ML 6ML 46.45 5/1/2007 11177491 2/28 6 ML with 5 yr IO 6ML 45.6 6/1/2007 11218739 2/28 6 ML with 5 yr IO 6ML 41.03 6/1/2007 11213667 2/28 6 ML 6ML 39.84 6/1/2007 11220295 2/28 6 ML 6ML 47.63 6/1/2007 11218515 2/28 6 ML 6ML 44.36 6/1/2007 11157372 2/28 6 ML 6ML 50.9 4/1/2007 11206685 2/28 6 ML 6ML 44.28 6/1/2007 11209186 2/28 6 ML 6ML 48.01 6/1/2007 11207065 2/28 6 ML with 5 yr IO 6ML 33.68 6/1/2007 11223684 30 YR FIXED FIX 41.73 00/00/0000 11169481 3/27 6 ML 6ML 39.7 6/1/2008 11217734 2/28 6 ML 30/40 BALLOON 6ML 49.93 6/1/2007 11211224 2/28 6 ML 6ML 30.79 6/1/2007 11194929 2/28 6 ML 6ML 34.76 6/1/2007 11219470 2/28 6 ML with 5 yr IO 6ML 31.35 6/1/2007 11228404 3/27 6 ML 6ML 31.94 5/1/2008 11207354 2/28 6 ML 6ML 43.9 6/1/2007 11221391 2/28 6 ML 6ML 29.31 6/1/2007 11211036 2/28 6 ML 6ML 46.02 6/1/2007 11222468 2/28 6 ML 30/40 BALLOON 6ML 48.97 6/1/2007 11210544 2/28 6 ML 6ML 33.19 5/1/2007 11216118 3/27 6 ML 6ML 48.22 6/1/2008 11191003 2/28 6 ML 30/40 BALLOON 6ML 40.49 5/1/2007 11199066 5/25 6 ML with 5 yr IO 6ML 51.36 6/1/2010 11200289 2/28 6 ML 30/40 BALLOON 6ML 29.31 5/1/2007 11203506 2/28 6 ML 6ML 37.65 6/1/2007 11208383 30 YR FIXED FIX 56.5 00/00/0000 11196621 2/28 6 ML 6ML 35.84 5/1/2007 11158230 2/28 6 ML 6ML 41.74 5/1/2007 11224754 2/28 6 ML 6ML 41.73 6/1/2007 11193564 2/28 6 ML 30/40 BALLOON 6ML 49.34 6/1/2007 11229900 2/28 6 ML 6ML 40.82 6/1/2007 11220548 2/28 6 ML 6ML 31.58 6/1/2007 11185367 30 YR FIXED FIX 48.45 00/00/0000 11194920 3/27 6 ML 6ML 47.61 6/1/2008 11213562 2/28 6 ML with 5 yr IO 6ML 39.62 6/1/2007 11217709 2/28 6 ML 30/40 BALLOON 6ML 44.27 6/1/2007 11199327 30 YR FIXED FIX 37.24 00/00/0000 11223165 2/28 6 ML 30/40 BALLOON 6ML 28.1 6/1/2007 11215767 2/28 6 ML 6ML 53.49 6/1/2007 11182944 30 YR FIXED FIX 49.99 00/00/0000 11221031 2/28 6 ML with 5 yr IO 6ML 37.06 6/1/2007 11188244 2/28 6 ML 6ML 43.26 6/1/2007 11230603 5/25 6 ML with 5 yr IO 6ML 49 6/1/2010 11215162 2/28 6 ML 6ML 43.3 6/1/2007 11182061 2/28 6 ML 6ML 49.83 5/1/2007 11217421 2/28 6 ML 6ML 33.78 6/1/2007 11221625 2/28 6 ML 30/40 BALLOON 6ML 51.72 6/1/2007 11216091 2/28 6 ML 6ML 51.55 6/1/2007 11214920 2/28 6 ML 6ML 43.69 6/1/2007 11210599 5/25 6 ML 30/40 BALLOON 6ML 33.1 6/1/2010 11184387 3/27 6 ML 6ML 37.56 5/1/2008 11224968 2/28 6 ML 30/40 BALLOON 6ML 48.12 6/1/2007 11185140 2/28 6 ML 30/40 BALLOON 6ML 45.96 5/1/2007 11201844 2/28 6 ML 6ML 44.2 6/1/2007 11217475 2/28 6 ML 6ML 43.46 6/1/2007 11204967 2/28 6 ML 6ML 45.35 6/1/2007 11223685 3/27 6 ML 30/40 BALLOON 6ML 48.04 6/1/2008 11228152 2/28 6 ML with 5 yr IO 6ML 38.83 6/1/2007 11212648 2/28 6 ML 30/40 BALLOON 6ML 40.25 6/1/2007 11219573 3/27 6 ML with 5 yr IO 6ML 45.04 6/1/2008 11204353 2/28 6 ML with 10 yr IO 6ML 39.19 6/1/2007 11208350 2/28 6 ML 6ML 48.74 6/1/2007 11220786 2/28 6 ML 6ML 32.18 6/1/2007 11203448 5/25 6 ML with 5 yr IO 6ML 49.51 6/1/2010 11163903 30 YR FIXED FIX 37.67 00/00/0000 11216814 2/28 6 ML 6ML 38.03 6/1/2007 11209594 30 YR FIXED 30/40 BALLOON FIX 35.66 00/00/0000 11228286 2/28 6 ML 6ML 36.32 6/1/2007 11220188 2/28 6 ML with 5 yr IO 6ML 42.64 6/1/2007 11206597 2/28 6 ML 6ML 37.89 6/1/2007 11203110 2/28 6 ML 6ML 20.61 6/1/2007 11171196 30 YR FIXED FIX 53.04 00/00/0000 11190186 3/27 6 ML 6ML 42.83 6/1/2008 11207909 2/28 6 ML 6ML 31.19 6/1/2007 11206921 2/28 6 ML 30/40 BALLOON 6ML 52.42 6/1/2007 11231465 2/28 6 ML 30/40 BALLOON 6ML 43.56 6/1/2007 11199741 2/28 6 ML 30/40 BALLOON 6ML 49.13 5/1/2007 11183216 2/28 6 ML 6ML 52.1 6/1/2007 11208089 2/28 6 ML with 5 yr IO 6ML 43.73 6/1/2007 11197647 2/28 6 ML with 5 yr IO 6ML 40.04 6/1/2007 11194483 2/28 6 ML 30/40 BALLOON 6ML 39.49 5/1/2007 11180796 2/28 6 ML 6ML 48.35 6/1/2007 11219175 2/28 6 ML 6ML 16.76 6/1/2007 11227043 30 YR FIXED FIX 29.5 00/00/0000 11217843 3/27 6 ML with 5 yr IO 6ML 44.38 6/1/2008 11199723 2/28 6 ML 30/40 BALLOON 6ML 40.48 6/1/2007 11188061 2/28 6 ML 6ML 43.73 5/1/2007 11210707 2/28 6 ML 6ML 49.15 6/1/2007 11196885 2/28 6 ML 6ML 29.22 5/1/2007 11206277 2/28 6 ML 30/40 BALLOON 6ML 44.76 6/1/2007 11202343 2/28 6 ML 30/40 BALLOON 6ML 48.24 6/1/2007 11199561 15 YR FIXED FIX 39.22 00/00/0000 11223081 30 YR FIXED FIX 18.49 00/00/0000 11213999 2/28 6 ML with 5 yr IO 6ML 48.93 6/1/2007 11203587 30 YR FIXED FIX 49.98 00/00/0000 11217373 2/28 6 ML 30/40 BALLOON 6ML 50.51 6/1/2007 11187090 2/28 6 ML 30/40 BALLOON 6ML 54.41 5/1/2007 11213481 2/28 6 ML with 5 yr IO 6ML 44.64 6/1/2007 11202455 2/28 6 ML 6ML 53.96 5/1/2007 11177100 15 YR FIXED FIX 39.33 00/00/0000 11194545 2/28 6 ML 6ML 38.4 6/1/2007 11218993 2/28 6 ML 6ML 30.48 6/1/2007 11209464 30 YR FIXED FIX 42.83 00/00/0000 11231699 2/28 6 ML 6ML 44.37 6/1/2007 11209681 2/28 6 ML 6ML 45.56 5/1/2007 11180760 2/28 6 ML 30/40 BALLOON 6ML 48.77 5/1/2007 11211121 2/28 6 ML 6ML 38.92 6/1/2007 11229379 2/28 6 ML 6ML 35.26 6/1/2007 11220776 2/28 6 ML 6ML 36.73 6/1/2007 11210920 2/28 6 ML 6ML 11.61 6/1/2007 11129608 2/28 6 ML 6ML 43.75 4/1/2007 11219711 2/28 6 ML 6ML 46.04 6/1/2007 11193164 2/28 6 ML with 5 yr IO 6ML 35.24 5/1/2007 11202073 2/28 6 ML with 10 yr IO 6ML 47.8 6/1/2007 11207743 2/28 6 ML with 5 yr IO 6ML 44.35 6/1/2007 11202066 3/27 6 ML 6ML 45.76 6/1/2008 11204019 2/28 6 ML 6ML 33.95 6/1/2007 11175472 2/28 6 ML 6ML 34.96 5/1/2007 11219070 5/25 6 ML 6ML 32.13 6/1/2010 11212316 2/28 6 ML with 5 yr IO 6ML 27.42 6/1/2007 11208329 2/28 6 ML 6ML 34.89 6/1/2007 11184807 2/28 6 ML 6ML 43.01 6/1/2007 11164764 2/28 6 ML 6ML 39.82 5/1/2007 11210290 2/28 6 ML 6ML 45.21 6/1/2007 11217826 2/28 6 ML 6ML 46.99 6/1/2007 11189020 2/28 6 ML 30/40 BALLOON 6ML 54.92 6/1/2007 11209697 2/28 6 ML 30/40 BALLOON 6ML 43.68 6/1/2007 11216869 2/28 6 ML 30/40 BALLOON 6ML 43.5 6/1/2007 11222632 2/28 6 ML 6ML 45.23 6/1/2007 11231356 30 YR FIXED FIX 41.62 00/00/0000 11210411 2/28 6 ML 6ML 32.59 5/1/2007 11205400 2/28 6 ML 30/40 BALLOON 6ML 39.1 5/1/2007 11199119 2/28 6 ML 30/40 BALLOON 6ML 47.97 6/1/2007 11216316 2/28 6 ML 6ML 34.49 6/1/2007 11180205 2/28 6 ML 6ML 35.85 5/1/2007 11227451 5/25 6 ML 6ML 17.13 5/1/2010 11191806 30 YR FIXED FIX 24.99 00/00/0000 11215140 2/28 6 ML 6ML 47.39 5/1/2007 11183840 2/28 6 ML with 5 yr IO 6ML 54.79 5/1/2007 11224095 2/28 6 ML with 5 yr IO 6ML 44.93 6/1/2007 11206140 2/28 6 ML 30/40 BALLOON 6ML 43.72 6/1/2007 11166011 2/28 6 ML with 5 yr IO 6ML 28.84 6/1/2007 11190104 2/28 6 ML 6ML 47.48 6/1/2007 11183929 2/28 6 ML 6ML 47.91 5/1/2007 11179951 2/28 6 ML 6ML 39.9 5/1/2007 11209646 2/28 6 ML 6ML 33.78 5/1/2007 11210181 2/28 6 ML 6ML 38.53 6/1/2007 11194273 2/28 6 ML 30/40 BALLOON 6ML 47.2 6/1/2007 11214669 2/28 6 ML 30/40 BALLOON 6ML 23.71 6/1/2007 11237201 2/28 6 ML 6ML 45.09 6/1/2007 11224615 2/28 6 ML 6ML 40.39 6/1/2007 11205539 2/28 6 ML 6ML 46.2 6/1/2007 11215901 2/28 6 ML 6ML 50.21 6/1/2007 11203696 2/28 6 ML 6ML 43.8 6/1/2007 11232651 2/28 6 ML with 5 yr IO 6ML 43.94 6/1/2007 11209869 2/28 6 ML with 5 yr IO 6ML 19.94 6/1/2007 11208646 2/28 6 ML with 5 yr IO 6ML 45.16 6/1/2007 11201501 3/27 6 ML 6ML 39.89 6/1/2008 11196047 2/28 6 ML with 5 yr IO 6ML 27.05 6/1/2007 11209843 2/28 6 ML 30/40 BALLOON 6ML 50.89 6/1/2007 11198026 2/28 6 ML 6ML 45.31 5/1/2007 11229814 2/28 6 ML 6ML 45.43 6/1/2007 11225704 5/25 6 ML with 5 yr IO 6ML 43.42 6/1/2010 11204575 2/28 6 ML 6ML 52.35 6/1/2007 11194154 2/28 6 ML 30/40 BALLOON 6ML 53.7 5/1/2007 11222323 2/28 6 ML 6ML 47.82 6/1/2007 11214326 2/28 6 ML 30/40 BALLOON 6ML 43.42 6/1/2007 11189977 2/28 6 ML 30/40 BALLOON 6ML 44.56 6/1/2007 11189795 30 YR FIXED FIX 31.87 00/00/0000 11229958 5/25 6 ML 30/40 BALLOON 6ML 43.09 6/1/2010 11215584 2/28 6 ML 30/40 BALLOON 6ML 51.27 6/1/2007 11212010 2/28 6 ML 6ML 35.58 6/1/2007 11203725 2/28 6 ML with 5 yr IO 6ML 47.67 5/1/2007 11220012 2/28 6 ML with 5 yr IO 6ML 37.46 6/1/2007 11232749 15 YR FIXED FIX 34.15 00/00/0000 11207620 2/28 6 ML 30/40 BALLOON 6ML 28.39 6/1/2007 11206045 2/28 6 ML 30/40 BALLOON 6ML 38.93 6/1/2007 11212753 5/25 6 ML with 5 yr IO 6ML 39.36 6/1/2010 11196302 2/28 6 ML 30/40 BALLOON 6ML 47.72 6/1/2007 11177477 2/28 6 ML 6ML 46.79 4/1/2007 11201905 30 YR FIXED FIX 47 00/00/0000 11214698 2/28 6 ML 30/40 BALLOON 6ML 41.43 6/1/2007 11200010 30 YR FIXED FIX 54.13 00/00/0000 11221608 2/28 6 ML 30/40 BALLOON 6ML 48.26 6/1/2007 11200732 2/28 6 ML 6ML 27 6/1/2007 11204244 30 YR FIXED FIX 29.59 00/00/0000 11201524 2/28 6 ML 30/40 BALLOON 6ML 29.15 6/1/2007 11174235 2/28 6 ML 6ML 43.7 5/1/2007 11217288 2/28 6 ML 30/40 BALLOON 6ML 31.47 6/1/2007 11205820 2/28 6 ML with 5 yr IO 6ML 46.38 6/1/2007 11212398 3/27 6 ML 30/40 BALLOON 6ML 51.04 6/1/2008 11225899 2/28 6 ML 30/40 BALLOON 6ML 37.66 6/1/2007 11213499 2/28 6 ML 6ML 37.33 6/1/2007 11212406 3/27 6 ML with 5 yr IO 6ML 23.64 6/1/2008 11216900 30 YR FIXED FIX 48.83 00/00/0000 11214979 2/28 6 ML 6ML 46.17 6/1/2007 11194041 2/28 6 ML 6ML 45.85 6/1/2007 11213309 2/28 6 ML with 5 yr IO 6ML 49.86 6/1/2007 11209951 2/28 6 ML 6ML 32.81 6/1/2007 11226233 3/27 6 ML 6ML 43.79 6/1/2008 11213125 2/28 6 ML 30/40 BALLOON 6ML 33.56 6/1/2007 11206818 2/28 6 ML 6ML 53.73 4/1/2007 11203307 2/28 6 ML 6ML 37.8 5/1/2007 11212027 2/28 6 ML 30/40 BALLOON 6ML 52.57 6/1/2007 11184828 2/28 6 ML with 5 yr IO 6ML 25.12 5/1/2007 11199424 5/25 6 ML 30/40 BALLOON 6ML 35.53 5/1/2010 11203968 2/28 6 ML 30/40 BALLOON 6ML 52.88 5/1/2007 11174287 2/28 6 ML with 5 yr IO 6ML 47.53 6/1/2007 11206992 5/25 6 ML with 10 yr IO 6ML 39.28 6/1/2010 11176527 2/28 6 ML 6ML 57.25 5/1/2007 11208365 2/28 6 ML with 5 yr IO 6ML 41.47 6/1/2007 11190735 2/28 6 ML 30/40 BALLOON 6ML 49.73 6/1/2007 11215615 2/28 6 ML 6ML 40.93 6/1/2007 11211721 2/28 6 ML 6ML 33.04 6/1/2007 11201532 2/28 6 ML 6ML 34.55 6/1/2007 11201300 2/28 6 ML 30/40 BALLOON 6ML 42.57 6/1/2007 11194332 2/28 6 ML 6ML 46.75 6/1/2007 11196460 2/28 6 ML 30/40 BALLOON 6ML 38.55 5/1/2007 11221613 30 YR FIXED FIX 34.87 00/00/0000 11231825 2/28 6 ML 6ML 33.29 6/1/2007 11219140 2/28 6 ML with 5 yr IO 6ML 35.35 6/1/2007 11180349 2/28 6 ML with 5 yr IO 6ML 40.28 6/1/2007 11211991 2/28 6 ML 6ML 21.3 6/1/2007 11222892 5/25 6 ML with 5 yr IO 6ML 40.45 6/1/2010 11221233 30 YR FIXED FIX 29.65 00/00/0000 11198826 3/27 6 ML 6ML 42.1 5/1/2008 11181290 2/28 6 ML 6ML 33.68 5/1/2007 11209447 2/28 6 ML with 5 yr IO 6ML 19.39 5/1/2007 11150206 2/28 6 ML 6ML 22 4/1/2007 11227918 2/28 6 ML 6ML 41.01 6/1/2007 11218351 2/28 6 ML 6ML 47.59 6/1/2007 11213897 2/28 6 ML with 5 yr IO 6ML 28.01 6/1/2007 11209563 2/28 6 ML with 5 yr IO 6ML 44.7 6/1/2007 11208191 2/28 6 ML 6ML 39.12 6/1/2007 11212180 30 YR FIXED FIX 22.94 00/00/0000 11216185 2/28 6 ML with 5 yr IO 6ML 36.85 6/1/2007 11213144 30 YR FIXED FIX 22.68 00/00/0000 11197901 2/28 6 ML with 5 yr IO 6ML 42.68 5/1/2007 11219255 30 YR FIXED FIX 31.56 00/00/0000 11198919 2/28 6 ML 6ML 38.34 5/1/2007 11208793 2/28 6 ML with 5 yr IO 6ML 42.39 6/1/2007 11209738 2/28 6 ML with 5 yr IO 6ML 39.72 6/1/2007 11191387 2/28 6 ML 6ML 46.23 5/1/2007 11192620 2/28 6 ML with 5 yr IO 6ML 33.36 6/1/2007 11183060 2/28 6 ML 6ML 40.79 5/1/2007 11220023 2/28 6 ML 6ML 38.28 6/1/2007 11224274 2/28 6 ML 6ML 47.47 6/1/2007 11210082 2/28 6 ML with 5 yr IO 6ML 36.62 6/1/2007 11199380 2/28 6 ML with 5 yr IO 6ML 41.54 5/1/2007 11188234 2/28 6 ML 6ML 44.23 5/1/2007 11212263 2/28 6 ML 6ML 49.15 6/1/2007 11196969 5/25 6 ML 6ML 38.26 6/1/2010 11229649 2/28 6 ML 6ML 52.98 6/1/2007 11215881 2/28 6 ML with 5 yr IO 6ML 29.33 6/1/2007 11228267 2/28 6 ML with 5 yr IO 6ML 49.52 6/1/2007 11216911 2/28 6 ML 6ML 31.47 6/1/2007 11224251 2/28 6 ML 6ML 41.29 6/1/2007 11208883 2/28 6 ML 6ML 49.09 6/1/2007 11149865 30 YR FIXED FIX 32.8 00/00/0000 11187451 2/28 6 ML 6ML 27.87 6/1/2007 11123292 15/30 BALLOON FIX 40.15 00/00/0000 11159830 15/30 BALLOON FIX 38.36 00/00/0000 11137718 15 YR FIXED FIX 47.24 00/00/0000 11155647 15 YR FIXED FIX 32.96 00/00/0000 11158960 15/30 BALLOON FIX 42.16 00/00/0000 11130873 15/30 BALLOON FIX 47.97 00/00/0000 11128094 15 YR FIXED FIX 55.51 00/00/0000 11159212 15/30 BALLOON FIX 46.35 00/00/0000 11159256 15/30 BALLOON FIX 43.23 00/00/0000 11166547 15/30 BALLOON FIX 39.77 00/00/0000 11152371 15/30 BALLOON FIX 30.64 00/00/0000 11165289 15/30 BALLOON FIX 27.86 00/00/0000 11180445 15/30 BALLOON FIX 44.57 00/00/0000 11170934 15/30 BALLOON FIX 48.72 00/00/0000 11172338 15/30 BALLOON FIX 37.51 00/00/0000 11157501 15/30 BALLOON FIX 49.08 00/00/0000 11167988 15/30 BALLOON FIX 47.52 00/00/0000 11171304 15/30 BALLOON FIX 48.07 00/00/0000 11132450 15/30 BALLOON FIX 41.18 00/00/0000 11169134 15/30 BALLOON FIX 44.93 00/00/0000 11169869 15/30 BALLOON FIX 47.11 00/00/0000 11181813 15/30 BALLOON FIX 48.36 00/00/0000 11173409 15/30 BALLOON FIX 40.19 00/00/0000 11173326 15 YR FIXED FIX 42.7 00/00/0000 11175177 15/30 BALLOON FIX 49.37 00/00/0000 11183229 15/30 BALLOON FIX 26.12 00/00/0000 11174724 15/30 BALLOON FIX 33.8 00/00/0000 11176053 15/30 BALLOON FIX 40.53 00/00/0000 11182499 15/30 BALLOON FIX 36.83 00/00/0000 11170222 15/30 BALLOON FIX 43.89 00/00/0000 11176454 15/30 BALLOON FIX 45.85 00/00/0000 11184006 15/30 BALLOON FIX 24.46 00/00/0000 11159336 15/30 BALLOON FIX 48.34 00/00/0000 11176883 15/30 BALLOON FIX 49.95 00/00/0000 11183308 15/30 BALLOON FIX 44.87 00/00/0000 11173336 15/30 BALLOON FIX 49.17 00/00/0000 11184666 15/30 BALLOON FIX 33.75 00/00/0000 11186169 15/30 BALLOON FIX 20.8 00/00/0000 11160161 15/30 BALLOON FIX 32.13 00/00/0000 11188601 15/30 BALLOON FIX 41.8 00/00/0000 11166411 15/30 BALLOON FIX 39.59 00/00/0000 11174278 15/30 BALLOON FIX 45.41 00/00/0000 11125459 15/30 BALLOON FIX 49.75 00/00/0000 11182326 15/30 BALLOON FIX 45.24 00/00/0000 11167651 15/30 BALLOON FIX 39.22 00/00/0000 11186471 15/30 BALLOON FIX 11.4 00/00/0000 11148174 15/30 BALLOON FIX 39.32 00/00/0000 11161108 15/30 BALLOON FIX 47.99 00/00/0000 11183055 15/30 BALLOON FIX 37.46 00/00/0000 11176646 15/30 BALLOON FIX 32.66 00/00/0000 11186962 15/30 BALLOON FIX 30.11 00/00/0000 11190775 15/30 BALLOON FIX 46.39 00/00/0000 11195274 15/30 BALLOON FIX 49.45 00/00/0000 11170954 15/30 BALLOON FIX 54.51 00/00/0000 11183747 15/30 BALLOON FIX 30.19 00/00/0000 11182256 15/30 BALLOON FIX 33.61 00/00/0000 11141764 15/30 BALLOON FIX 22.74 00/00/0000 11186231 15/30 BALLOON FIX 52.29 00/00/0000 11182579 15/30 BALLOON FIX 49.69 00/00/0000 11198828 15/30 BALLOON FIX 42.1 00/00/0000 11192858 15/30 BALLOON FIX 43.14 00/00/0000 11191021 15/30 BALLOON FIX 37.94 00/00/0000 11201289 15/30 BALLOON FIX 31.74 00/00/0000 11197928 15/30 BALLOON FIX 29.04 00/00/0000 11188322 15/30 BALLOON FIX 34.28 00/00/0000 11191691 15/30 BALLOON FIX 38.89 00/00/0000 11195632 15/30 BALLOON FIX 39.53 00/00/0000 11181321 15/30 BALLOON FIX 53.36 00/00/0000 11188365 15/30 BALLOON FIX 45.33 00/00/0000 11194484 15/30 BALLOON FIX 39.49 00/00/0000 11191262 15/30 BALLOON FIX 30.58 00/00/0000 11198830 15/30 BALLOON FIX 34.42 00/00/0000 11185138 15/30 BALLOON FIX 30.86 00/00/0000 11185465 15/30 BALLOON FIX 43.32 00/00/0000 11198814 20 YR FIXED FIX 39.24 00/00/0000 11168534 15/30 BALLOON FIX 19.89 00/00/0000 11205880 15/30 BALLOON FIX 38.92 00/00/0000 11155628 15/30 BALLOON FIX 47.25 00/00/0000 11196933 15/30 BALLOON FIX 44.57 00/00/0000 11201376 15/30 BALLOON FIX 38.3 00/00/0000 11185208 15/30 BALLOON FIX 49.39 00/00/0000 11190757 15/30 BALLOON FIX 29.73 00/00/0000 11203092 15/30 BALLOON FIX 35.45 00/00/0000 11196886 15/30 BALLOON FIX 34.18 00/00/0000 11231516 15/30 BALLOON FIX 42.07 00/00/0000 11196279 15/30 BALLOON FIX 28.83 00/00/0000 11210551 15/30 BALLOON FIX 40.15 00/00/0000 11230853 15/30 BALLOON FIX 38.53 00/00/0000 11205372 15/30 BALLOON FIX 48.58 00/00/0000 11210106 15/30 BALLOON FIX 37.83 00/00/0000 11147830 15/30 BALLOON FIX 42.3 00/00/0000 11197298 15/30 BALLOON FIX 38.03 00/00/0000 11231085 15/30 BALLOON FIX 40.81 00/00/0000 11221580 15/30 BALLOON FIX 49.99 00/00/0000 11206061 15/30 BALLOON FIX 34.6 00/00/0000 11202632 15/30 BALLOON FIX 53.24 00/00/0000 11206537 15/30 BALLOON FIX 43.15 00/00/0000 11193140 15/30 BALLOON FIX 47.46 00/00/0000 11201773 15/30 BALLOON FIX 49.1 00/00/0000 11216957 15/30 BALLOON FIX 35.75 00/00/0000 11193325 15/30 BALLOON FIX 42.97 00/00/0000 11204449 15/30 BALLOON FIX 39.61 00/00/0000 11235683 15/30 BALLOON FIX 31.9 00/00/0000 11220273 15/30 BALLOON FIX 47.62 00/00/0000 11201644 15/30 BALLOON FIX 40.63 00/00/0000 11212030 15/30 BALLOON FIX 52.57 00/00/0000 11209695 15/30 BALLOON FIX 45.89 00/00/0000 11225740 15/30 BALLOON FIX 28.87 00/00/0000 11229891 15/30 BALLOON FIX 37.33 00/00/0000 11197353 15/30 BALLOON FIX 46.13 00/00/0000 11222661 15/30 BALLOON FIX 45.23 00/00/0000 11227925 15/30 BALLOON FIX 34.75 00/00/0000 11198287 15/30 BALLOON FIX 35.97 00/00/0000 11209961 15/30 BALLOON FIX 39.66 00/00/0000 11198841 15/30 BALLOON FIX 32.62 00/00/0000 11225488 15/30 BALLOON FIX 41.85 00/00/0000 11220189 15/30 BALLOON FIX 42.64 00/00/0000 11194001 15/30 BALLOON FIX 35.71 00/00/0000 11180263 15/30 BALLOON FIX 41.23 00/00/0000 11202571 15/30 BALLOON FIX 42.64 00/00/0000 11230909 15/30 BALLOON FIX 44.45 00/00/0000 11198541 15/30 BALLOON FIX 36.62 00/00/0000 11220939 15/30 BALLOON FIX 40.55 00/00/0000 11223083 15/30 BALLOON FIX 18.49 00/00/0000 11221711 15/30 BALLOON FIX 48.52 00/00/0000 11229518 15/30 BALLOON FIX 45.02 00/00/0000 11220886 15/30 BALLOON FIX 43.89 00/00/0000 11211753 15/30 BALLOON FIX 49.99 00/00/0000 11218525 15/30 BALLOON FIX 46.72 00/00/0000 11220711 15/30 BALLOON FIX 45.63 00/00/0000 11199161 15/30 BALLOON FIX 33.73 00/00/0000 11208750 15/30 BALLOON FIX 40.75 00/00/0000 11214610 15/30 BALLOON FIX 33.56 00/00/0000 11204869 15/30 BALLOON FIX 32.28 00/00/0000 11210573 15/30 BALLOON FIX 29 00/00/0000 11193027 15/30 BALLOON FIX 38.36 00/00/0000 11208713 15/30 BALLOON FIX 49.65 00/00/0000 11212228 15/30 BALLOON FIX 41.87 00/00/0000 11208052 15/30 BALLOON FIX 44.52 00/00/0000 11183460 15/30 BALLOON FIX 30.25 00/00/0000 11210361 15/30 BALLOON FIX 33.25 00/00/0000 11212894 15/30 BALLOON FIX 33.62 00/00/0000 11226735 15/30 BALLOON FIX 40.27 00/00/0000 11202377 15/30 BALLOON FIX 41.44 00/00/0000 11213310 15/30 BALLOON FIX 50.82 00/00/0000 11205326 15/30 BALLOON FIX 37.25 00/00/0000 11186007 15/30 BALLOON FIX 47.85 00/00/0000 11208926 15/30 BALLOON FIX 37.26 00/00/0000 11227452 15 YR FIXED FIX 17.53 00/00/0000 11216789 15/30 BALLOON FIX 37.01 00/00/0000 11221837 15/30 BALLOON FIX 31.08 00/00/0000 11214424 15/30 BALLOON FIX 26.84 00/00/0000 11196937 15/30 BALLOON FIX 46.53 00/00/0000 11204699 15/30 BALLOON FIX 41.3 00/00/0000 11220570 15/30 BALLOON FIX 43.87 00/00/0000 11218091 15/30 BALLOON FIX 25.24 00/00/0000 11184945 15/30 BALLOON FIX 54.81 00/00/0000 11221499 15/30 BALLOON FIX 38.86 00/00/0000 11192047 15/30 BALLOON FIX 32.68 00/00/0000 11215648 15/30 BALLOON FIX 49.74 00/00/0000 11225273 15/30 BALLOON FIX 45.74 00/00/0000 11201319 15/30 BALLOON FIX 38.07 00/00/0000 11223850 15/30 BALLOON FIX 39.03 00/00/0000 11214564 15/30 BALLOON FIX 39.72 00/00/0000 11210315 15/30 BALLOON FIX 44.36 00/00/0000 11229638 15/30 BALLOON FIX 50.26 00/00/0000 11203311 15/30 BALLOON FIX 46.23 00/00/0000 11220663 15/30 BALLOON FIX 34.18 00/00/0000 11199801 15/30 BALLOON FIX 45.95 00/00/0000 11219666 15/30 BALLOON FIX 29.99 00/00/0000 11182225 15/30 BALLOON FIX 25.73 00/00/0000 11207833 15/30 BALLOON FIX 44.53 00/00/0000 11198226 15/30 BALLOON FIX 41.82 00/00/0000 11192473 15/30 BALLOON FIX 49.56 00/00/0000 11210564 15/30 BALLOON FIX 44.79 00/00/0000 11201093 15/30 BALLOON FIX 36.62 00/00/0000 11224392 15/30 BALLOON FIX 48.43 00/00/0000 11230817 15/30 BALLOON FIX 40.24 00/00/0000 11222120 15/30 BALLOON FIX 29.74 00/00/0000 11210345 15/30 BALLOON FIX 44.13 00/00/0000 11202100 15/30 BALLOON FIX 37.04 00/00/0000 11210248 15/30 BALLOON FIX 32.43 00/00/0000 11216697 15/30 BALLOON FIX 47.74 00/00/0000 11222427 15/30 BALLOON FIX 41.23 00/00/0000 11210657 15/30 BALLOON FIX 22.97 00/00/0000 11213162 15/30 BALLOON FIX 37.07 00/00/0000 11186579 15/30 BALLOON FIX 45.91 00/00/0000 11225308 15/30 BALLOON FIX 30.25 00/00/0000 11223636 15/30 BALLOON FIX 35.26 00/00/0000 11223574 15/30 BALLOON FIX 44.21 00/00/0000 11219669 15/30 BALLOON FIX 37.51 00/00/0000 11219350 15/30 BALLOON FIX 36.32 00/00/0000 11222809 15/30 BALLOON FIX 49.22 00/00/0000 11210153 15/30 BALLOON FIX 28.76 00/00/0000 11215744 15/30 BALLOON FIX 48.34 00/00/0000 11219640 15/30 BALLOON FIX 41.39 00/00/0000 11211852 15/30 BALLOON FIX 39.93 00/00/0000 11229716 15/30 BALLOON FIX 40.68 00/00/0000 11207753 15/30 BALLOON FIX 38.95 00/00/0000 11180576 15/30 BALLOON FIX 49.1 00/00/0000 11201377 15/30 BALLOON FIX 43.64 00/00/0000 11229246 15/30 BALLOON FIX 39.08 00/00/0000 11199304 15/30 BALLOON FIX 35.79 00/00/0000 11212781 15/30 BALLOON FIX 37.25 00/00/0000 11212481 15/30 BALLOON FIX 36.83 00/00/0000 11231199 15/30 BALLOON FIX 38.03 00/00/0000 11196778 15/30 BALLOON FIX 32.94 00/00/0000 11218979 15/30 BALLOON FIX 43.64 00/00/0000 11223738 15/30 BALLOON FIX 47.59 00/00/0000 11207108 15/30 BALLOON FIX 32.25 00/00/0000 11227071 15/30 BALLOON FIX 43.01 00/00/0000 11195347 15/30 BALLOON FIX 47.99 00/00/0000 11212150 15/30 BALLOON FIX 39.88 00/00/0000 11220517 15/30 BALLOON FIX 37.99 00/00/0000 11231448 15/30 BALLOON FIX 47.37 00/00/0000 11212161 15/30 BALLOON FIX 47.27 00/00/0000 11217311 15/30 BALLOON FIX 45.88 00/00/0000 11236897 15/30 BALLOON FIX 40.5 00/00/0000 11203125 15/30 BALLOON FIX 40.86 00/00/0000 11207021 15/30 BALLOON FIX 36.81 00/00/0000 11205450 15/30 BALLOON FIX 29.75 00/00/0000 11215486 15/30 BALLOON FIX 34.25 00/00/0000 11197234 15/30 BALLOON FIX 41.34 00/00/0000 11203298 15/30 BALLOON FIX 35.6 00/00/0000 11208827 15/30 BALLOON FIX 53.94 00/00/0000 11198010 15/30 BALLOON FIX 49.91 00/00/0000 11222990 15/30 BALLOON FIX 47.54 00/00/0000 11222010 15/30 BALLOON FIX 55.11 00/00/0000 11211741 15/30 BALLOON FIX 33.04 00/00/0000 11203746 15/30 BALLOON FIX 41.74 00/00/0000 11205253 15/30 BALLOON FIX 45.99 00/00/0000 11215374 15/30 BALLOON FIX 45.38 00/00/0000 11200208 15/30 BALLOON FIX 32.3 00/00/0000 11222849 15/30 BALLOON FIX 43.57 00/00/0000 11220648 15/30 BALLOON FIX 39.97 00/00/0000 11215583 15/30 BALLOON FIX 34.01 00/00/0000 11214409 15/30 BALLOON FIX 37.89 00/00/0000 11204901 15/30 BALLOON FIX 44.26 00/00/0000 11205307 15/30 BALLOON FIX 38.54 00/00/0000 11202832 15/30 BALLOON FIX 40.6 00/00/0000 11223238 15/30 BALLOON FIX 49.01 00/00/0000 11215384 15/30 BALLOON FIX 33.47 00/00/0000 11198406 15/30 BALLOON FIX 49.36 00/00/0000 11169449 15/30 BALLOON FIX 49.5 00/00/0000 11217339 15/30 BALLOON FIX 28.16 00/00/0000 11202689 15/30 BALLOON FIX 47.31 00/00/0000 11176044 15/30 BALLOON FIX 44.13 00/00/0000 11187856 15/30 BALLOON FIX 45.75 00/00/0000 11200480 15/30 BALLOON FIX 53.29 00/00/0000 11195427 15/30 BALLOON FIX 44.88 00/00/0000 11215332 15/30 BALLOON FIX 45.22 00/00/0000 11215780 15/30 BALLOON FIX 31.12 00/00/0000 11238130 15/30 BALLOON FIX 28.96 00/00/0000 11158719 15/30 BALLOON FIX 37.84 00/00/0000 11230582 15/30 BALLOON FIX 40.64 00/00/0000 11188566 15/30 BALLOON FIX 45.21 00/00/0000 11219578 15/30 BALLOON FIX 37.96 00/00/0000 11230439 15/30 BALLOON FIX 46.39 00/00/0000 11161271 15/30 BALLOON FIX 47.38 00/00/0000 11214738 15/30 BALLOON FIX 58.98 00/00/0000 11227112 15/30 BALLOON FIX 45.54 00/00/0000 11216599 15/30 BALLOON FIX 49.2 00/00/0000 11211258 15/30 BALLOON FIX 45.2 00/00/0000 11222974 15/30 BALLOON FIX 47.97 00/00/0000 11214651 15/30 BALLOON FIX 34.33 00/00/0000 11221513 15/30 BALLOON FIX 49.92 00/00/0000 11213375 15/30 BALLOON FIX 47.06 00/00/0000 11183934 15/30 BALLOON FIX 47.91 00/00/0000 11216478 15 YR FIXED FIX 34.14 00/00/0000 11188981 15/30 BALLOON FIX 51.19 00/00/0000 11230213 15/30 BALLOON FIX 36.65 00/00/0000 11205821 15/30 BALLOON FIX 44.77 00/00/0000 11228001 15/30 BALLOON FIX 41.96 00/00/0000 11216452 15/30 BALLOON FIX 40.97 00/00/0000 11209663 15 YR FIXED FIX 44.52 00/00/0000 11226467 15 YR FIXED FIX 41.59 00/00/0000 11210169 15/30 BALLOON FIX 40.47 00/00/0000 11211097 15/30 BALLOON FIX 30.92 00/00/0000 11211794 15 YR FIXED FIX 48.81 00/00/0000 11203872 15/30 BALLOON FIX 45.99 00/00/0000 11216345 15/30 BALLOON FIX 51.61 00/00/0000 11202208 15/30 BALLOON FIX 47.58 00/00/0000 11199120 15/30 BALLOON FIX 47.97 00/00/0000 11221455 15/30 BALLOON FIX 41.38 00/00/0000 11196504 15/30 BALLOON FIX 40.35 00/00/0000 11217831 15/30 BALLOON FIX 39.97 00/00/0000 11217912 15/30 BALLOON FIX 28.25 00/00/0000 11209652 15/30 BALLOON FIX 49.31 00/00/0000 11219800 15/30 BALLOON FIX 48.42 00/00/0000 11213397 15/30 BALLOON FIX 39.75 00/00/0000 11210397 15/30 BALLOON FIX 51.53 00/00/0000 11216908 15/30 BALLOON FIX 38.59 00/00/0000 11219439 15/30 BALLOON FIX 27.62 00/00/0000 11216108 15/30 BALLOON FIX 47.97 00/00/0000 11214506 15/30 BALLOON FIX 22.61 00/00/0000 11213042 15/30 BALLOON FIX 48.04 00/00/0000 11215533 15/30 BALLOON FIX 49.69 00/00/0000 11196150 15/30 BALLOON FIX 46.97 00/00/0000 11214631 15/30 BALLOON FIX 41.43 00/00/0000 11206696 15/30 BALLOON FIX 44.28 00/00/0000 11229863 15/30 BALLOON FIX 22.96 00/00/0000 11201869 15/30 BALLOON FIX 46.24 00/00/0000 11206141 15/30 BALLOON FIX 43.72 00/00/0000 11216545 15/30 BALLOON FIX 41.7 00/00/0000 11221488 15/30 BALLOON FIX 29.01 00/00/0000 11181523 15/30 BALLOON FIX 34.72 00/00/0000 11211444 15/30 BALLOON FIX 36.98 00/00/0000 11219047 15/30 BALLOON FIX 38.03 00/00/0000 11205042 15/30 BALLOON FIX 26.02 00/00/0000 11199501 15/30 BALLOON FIX 48.01 00/00/0000 11214976 15/30 BALLOON FIX 43.59 00/00/0000 11211177 15/30 BALLOON FIX 43.94 00/00/0000 11193131 15/30 BALLOON FIX 55.54 00/00/0000 11218963 15/30 BALLOON FIX 46.84 00/00/0000 11186820 15/30 BALLOON FIX 48.08 00/00/0000 11187468 15/30 BALLOON FIX 36.98 00/00/0000 11219413 15/30 BALLOON FIX 39.43 00/00/0000 11204414 15/30 BALLOON FIX 38.99 00/00/0000 11212898 15/30 BALLOON FIX 41.11 00/00/0000 11214604 15/30 BALLOON FIX 48.06 00/00/0000 11196295 15/30 BALLOON FIX 41.41 00/00/0000 11223986 15/30 BALLOON FIX 48.9 00/00/0000 11208338 15/30 BALLOON FIX 48.9 00/00/0000 11224755 15/30 BALLOON FIX 41.73 00/00/0000 11221467 15/30 BALLOON FIX 54.57 00/00/0000 11206957 15/30 BALLOON FIX 42.04 00/00/0000 11146754 15/30 BALLOON FIX 33.41 00/00/0000 11221650 15/30 BALLOON FIX 44.97 00/00/0000 11193470 15/30 BALLOON FIX 27.87 00/00/0000 11215447 15/30 BALLOON FIX 35.61 00/00/0000 11195636 15/30 BALLOON FIX 37.41 00/00/0000 11180350 15/30 BALLOON FIX 40.28 00/00/0000 11206814 15/30 BALLOON FIX 49.83 00/00/0000 11194546 15/30 BALLOON FIX 38.4 00/00/0000 11218496 15/30 BALLOON FIX 21.58 00/00/0000 11187428 15 YR FIXED FIX 30.75 00/00/0000 11216642 15/30 BALLOON FIX 50.02 00/00/0000 11206494 15/30 BALLOON FIX 44.52 00/00/0000 11200294 15/30 BALLOON FIX 29.15 00/00/0000 11215850 15/30 BALLOON FIX 47.56 00/00/0000 11201834 15/30 BALLOON FIX 48.73 00/00/0000 11204785 15/30 BALLOON FIX 23.44 00/00/0000 11185458 15/30 BALLOON FIX 36.02 00/00/0000 11209759 15/30 BALLOON FIX 47.84 00/00/0000 11223348 15/30 BALLOON FIX 51.93 00/00/0000 11219038 15/30 BALLOON FIX 30.43 00/00/0000 11208689 15/30 BALLOON FIX 38.74 00/00/0000 11204293 15/30 BALLOON FIX 53.31 00/00/0000 11190209 15/30 BALLOON FIX 54.54 00/00/0000 11202456 15/30 BALLOON FIX 53.96 00/00/0000 11165269 15/30 BALLOON FIX 37.35 00/00/0000 11203294 15/30 BALLOON FIX 37.82 00/00/0000 11213402 15/30 BALLOON FIX 48.36 00/00/0000 11222775 15/30 BALLOON FIX 44.06 00/00/0000 11168771 15/30 BALLOON FIX 42.03 00/00/0000 11219428 15/30 BALLOON FIX 33.15 00/00/0000 11212636 15/30 BALLOON FIX 49.38 00/00/0000 11196048 15/30 BALLOON FIX 27.05 00/00/0000 11217852 15/30 BALLOON FIX 45.14 00/00/0000 11219471 15/30 BALLOON FIX 31.35 00/00/0000 11233414 15/30 BALLOON FIX 35.19 00/00/0000 11218252 15/30 BALLOON FIX 44.12 00/00/0000 11197574 15/30 BALLOON FIX 43.33 00/00/0000 11221819 15/30 BALLOON FIX 48.75 00/00/0000 11223994 15/30 BALLOON FIX 31.07 00/00/0000 11214796 15/30 BALLOON FIX 41.14 00/00/0000 11200918 15/30 BALLOON FIX 24.76 00/00/0000 11207518 15/30 BALLOON FIX 41.79 00/00/0000 11210825 15/30 BALLOON FIX 47.74 00/00/0000 11209656 15/30 BALLOON FIX 47.95 00/00/0000 11207741 15/30 BALLOON FIX 42.6 00/00/0000 11223241 15/30 BALLOON FIX 44.94 00/00/0000 11215356 15/30 BALLOON FIX 46.71 00/00/0000 11208804 15/30 BALLOON FIX 49.17 00/00/0000 11200624 15/30 BALLOON FIX 38.26 00/00/0000 11231053 15/30 BALLOON FIX 29.56 00/00/0000 11226405 15/30 BALLOON FIX 46.9 00/00/0000 11214586 15/30 BALLOON FIX 42.73 00/00/0000 11215806 15/30 BALLOON FIX 49.22 00/00/0000 11184499 15/30 BALLOON FIX 29.81 00/00/0000 11136727 15/30 BALLOON FIX 38.42 00/00/0000 11197359 15/30 BALLOON FIX 48 00/00/0000 11217435 15/30 BALLOON FIX 35.82 00/00/0000 11224049 15/30 BALLOON FIX 40.2 00/00/0000 11226420 15/30 BALLOON FIX 33.6 00/00/0000 11213108 15/30 BALLOON FIX 45.62 00/00/0000 11233210 15/30 BALLOON FIX 38.55 00/00/0000 11235512 15/30 BALLOON FIX 43.93 00/00/0000 11205675 15/30 BALLOON FIX 48.74 00/00/0000 11226316 15/30 BALLOON FIX 44.68 00/00/0000 11216261 15/30 BALLOON FIX 39.87 00/00/0000 11204121 15/30 BALLOON FIX 24.3 00/00/0000 11192147 15/30 BALLOON FIX 36.79 00/00/0000 11214916 15/30 BALLOON FIX 48.58 00/00/0000 11200965 15/30 BALLOON FIX 47.66 00/00/0000 11221502 15/30 BALLOON FIX 15.8 00/00/0000 11206688 15/30 BALLOON FIX 38.6 00/00/0000 11212926 15/30 BALLOON FIX 44.44 00/00/0000 11210706 15/30 BALLOON FIX 28.98 00/00/0000 11197867 15/30 BALLOON FIX 47.1 00/00/0000 11170187 15/30 BALLOON FIX 35.8 00/00/0000 11190474 15/30 BALLOON FIX 45.21 00/00/0000 11191672 15/30 BALLOON FIX 44.18 00/00/0000 11207839 15/30 BALLOON FIX 36.21 00/00/0000 11214317 15/30 BALLOON FIX 48.46 00/00/0000 11205095 15/30 BALLOON FIX 42.57 00/00/0000 11227009 15/30 BALLOON FIX 47.72 00/00/0000 11229032 15/30 BALLOON FIX 49.03 00/00/0000 11219027 15/30 BALLOON FIX 39.26 00/00/0000 11194914 15/30 BALLOON FIX 49.65 00/00/0000 11216275 15/30 BALLOON FIX 24.24 00/00/0000 11211811 15/30 BALLOON FIX 41.14 00/00/0000 11203585 15/30 BALLOON FIX 40.62 00/00/0000 11227866 15/30 BALLOON FIX 43.22 00/00/0000 11227742 15/30 BALLOON FIX 47.23 00/00/0000 11213538 15/30 BALLOON FIX 20.11 00/00/0000 11211265 15/30 BALLOON FIX 43.58 00/00/0000 11232972 15/30 BALLOON FIX 39.63 00/00/0000 11228884 15/30 BALLOON FIX 42.39 00/00/0000 11210876 15/30 BALLOON FIX 32.85 00/00/0000 11222390 15/30 BALLOON FIX 39.96 00/00/0000 11214980 15/30 BALLOON FIX 45.96 00/00/0000 11212298 15/30 BALLOON FIX 44.1 00/00/0000 11184426 15/30 BALLOON FIX 36.44 00/00/0000 11213112 15/30 BALLOON FIX 28.09 00/00/0000 11227465 15/30 BALLOON FIX 46.89 00/00/0000 11221129 15/30 BALLOON FIX 39.15 00/00/0000 11228266 15/30 BALLOON FIX 49.45 00/00/0000 11211608 15/30 BALLOON FIX 38.52 00/00/0000 11208745 15/30 BALLOON FIX 44.91 00/00/0000 11215928 15/30 BALLOON FIX 32.5 00/00/0000 11221630 15/30 BALLOON FIX 49.78 00/00/0000 11195249 15/30 BALLOON FIX 35.31 00/00/0000 11199584 15/30 BALLOON FIX 45.83 00/00/0000 11213975 15/30 BALLOON FIX 38.58 00/00/0000 11191096 15/30 BALLOON FIX 39.88 00/00/0000 11203370 15/30 BALLOON FIX 25.32 00/00/0000 11218563 15/30 BALLOON FIX 44.33 00/00/0000 11221342 15/30 BALLOON FIX 47.84 00/00/0000 11199864 15/30 BALLOON FIX 28.22 00/00/0000 11202102 15/30 BALLOON FIX 34.22 00/00/0000 11191010 15/30 BALLOON FIX 54.16 00/00/0000 11164064 15/30 BALLOON FIX 36.32 00/00/0000 11216391 15/30 BALLOON FIX 48.37 00/00/0000 11194527 15/30 BALLOON FIX 30.44 00/00/0000 11169215 15/30 BALLOON FIX 46.47 00/00/0000 11217860 15/30 BALLOON FIX 39.46 00/00/0000 11215560 15/30 BALLOON FIX 38.46 00/00/0000 11212948 15/30 BALLOON FIX 40.63 00/00/0000 11196158 15/30 BALLOON FIX 27.5 00/00/0000 11207365 15/30 BALLOON FIX 39.07 00/00/0000 11212291 15/30 BALLOON FIX 45.44 00/00/0000 11212369 15/30 BALLOON FIX 10.52 00/00/0000 11224521 15/30 BALLOON FIX 48.3 00/00/0000 11184002 15/30 BALLOON FIX 39.93 00/00/0000 11202800 15/30 BALLOON FIX 43.07 00/00/0000 11218464 15/30 BALLOON FIX 28.35 00/00/0000 11185496 15/30 BALLOON FIX 43.88 00/00/0000 11223089 15/30 BALLOON FIX 43.78 00/00/0000 11215201 15/30 BALLOON FIX 30.99 00/00/0000 11211045 15/30 BALLOON FIX 46.02 00/00/0000 11200737 15/30 BALLOON FIX 47.16 00/00/0000 11217953 15/30 BALLOON FIX 44.35 00/00/0000 11203516 15/30 BALLOON FIX 45.99 00/00/0000 11215617 15/30 BALLOON FIX 32.25 00/00/0000 11218077 15/30 BALLOON FIX 49.28 00/00/0000 11189300 15/30 BALLOON FIX 47.95 00/00/0000 11200007 15/30 BALLOON FIX 46.26 00/00/0000 11180136 15/30 BALLOON FIX 34.4 00/00/0000 11219167 15/30 BALLOON FIX 26.71 00/00/0000 11210839 15/30 BALLOON FIX 48.95 00/00/0000 11232989 15/30 BALLOON FIX 44.74 00/00/0000 11204618 15/30 BALLOON FIX 38.04 00/00/0000 11210592 15/30 BALLOON FIX 47.29 00/00/0000 11199992 15 YR FIXED FIX 40.76 00/00/0000 11218302 15/30 BALLOON FIX 48.4 00/00/0000 11205446 15/30 BALLOON FIX 49.76 00/00/0000 11203216 15/30 BALLOON FIX 44.27 00/00/0000 11230468 15/30 BALLOON FIX 54.75 00/00/0000 11205728 15/30 BALLOON FIX 49.74 00/00/0000 11209884 15/30 BALLOON FIX 5.92 00/00/0000 11189091 15/30 BALLOON FIX 51.36 00/00/0000 11181432 15/30 BALLOON FIX 40.8 00/00/0000 11211314 15/30 BALLOON FIX 39.09 00/00/0000 11205910 15/30 BALLOON FIX 37.14 00/00/0000 11206633 15/30 BALLOON FIX 51.11 00/00/0000 11213579 15/30 BALLOON FIX 43.01 00/00/0000 11227963 15/30 BALLOON FIX 41.61 00/00/0000 11206148 15/30 BALLOON FIX 41.72 00/00/0000 11196462 15/30 BALLOON FIX 45.27 00/00/0000 11213294 15/30 BALLOON FIX 41.92 00/00/0000 11218286 15/30 BALLOON FIX 35.74 00/00/0000 11176608 15/30 BALLOON FIX 50.58 00/00/0000 11204312 15/30 BALLOON FIX 41.66 00/00/0000 11214716 15/30 BALLOON FIX 11.01 00/00/0000 11221013 15/30 BALLOON FIX 50.62 00/00/0000 11219845 15/30 BALLOON FIX 50.74 00/00/0000 11212212 15/30 BALLOON FIX 37.72 00/00/0000 11209398 15/30 BALLOON FIX 44.69 00/00/0000 11222069 15/30 BALLOON FIX 46.44 00/00/0000 11218528 15/30 BALLOON FIX 46.19 00/00/0000 11218352 15/30 BALLOON FIX 47.59 00/00/0000 11207916 15/30 BALLOON FIX 38.15 00/00/0000 11211473 15/30 BALLOON FIX 43.58 00/00/0000 11201157 15/30 BALLOON FIX 33.4 00/00/0000 11204501 15/30 BALLOON FIX 39.82 00/00/0000 11209116 15/30 BALLOON FIX 41.4 00/00/0000 11184408 15/30 BALLOON FIX 40.08 00/00/0000 11207910 15/30 BALLOON FIX 31.19 00/00/0000 11198614 15/30 BALLOON FIX 26.9 00/00/0000 11232987 15/30 BALLOON FIX 49.46 00/00/0000 11223474 15/30 BALLOON FIX 45.71 00/00/0000 11222631 15/30 BALLOON FIX 41.83 00/00/0000 11175947 15/30 BALLOON FIX 53.35 00/00/0000 11208792 15/30 BALLOON FIX 33.93 00/00/0000 11210736 15/30 BALLOON FIX 49.12 00/00/0000 11212602 15/30 BALLOON FIX 43.69 00/00/0000 11224210 15/30 BALLOON FIX 33.92 00/00/0000 11177979 15/30 BALLOON FIX 48.03 00/00/0000 11198866 15/30 BALLOON FIX 39.71 00/00/0000 11221058 15/30 BALLOON FIX 49.46 00/00/0000 11228962 15/30 BALLOON FIX 46.62 00/00/0000 11208977 15/30 BALLOON FIX 35.28 00/00/0000 11202734 15/30 BALLOON FIX 38.73 00/00/0000 11206093 15/30 BALLOON FIX 49.8 00/00/0000 11203899 15/30 BALLOON FIX 44.26 00/00/0000 11207563 15/30 BALLOON FIX 42.16 00/00/0000 11224132 15/30 BALLOON FIX 33.56 00/00/0000 11220296 15/30 BALLOON FIX 46.54 00/00/0000 11210020 15/30 BALLOON FIX 39.07 00/00/0000 11200665 15/30 BALLOON FIX 47.99 00/00/0000 11210026 15/30 BALLOON FIX 44.24 00/00/0000 11189671 15/30 BALLOON FIX 48.09 00/00/0000 11199717 15/30 BALLOON FIX 26.38 00/00/0000 11227613 15/30 BALLOON FIX 34.6 00/00/0000 11229961 15/30 BALLOON FIX 48.59 00/00/0000 11209552 15/30 BALLOON FIX 46.1 00/00/0000 11229219 15/30 BALLOON FIX 48.77 00/00/0000 11190698 15/30 BALLOON FIX 49.6 00/00/0000 11214257 15/30 BALLOON FIX 40.46 00/00/0000 11223343 15/30 BALLOON FIX 44.02 00/00/0000 11231680 15/30 BALLOON FIX 44.05 00/00/0000 11217173 15/30 BALLOON FIX 32.96 00/00/0000 11218114 15/30 BALLOON FIX 44.26 00/00/0000 11210059 15/30 BALLOON FIX 38.24 00/00/0000 11182471 15/30 BALLOON FIX 50.31 00/00/0000 11205379 15/30 BALLOON FIX 47.2 00/00/0000 11210658 15/30 BALLOON FIX 46.87 00/00/0000 11192033 15/30 BALLOON FIX 35.59 00/00/0000 11222593 20 YR FIXED FIX 54.62 00/00/0000 11225060 15/30 BALLOON FIX 18.39 00/00/0000 11184938 15/30 BALLOON FIX 46.74 00/00/0000 11212666 15/30 BALLOON FIX 39.38 00/00/0000 11179969 15/30 BALLOON FIX 41.06 00/00/0000 11200994 15/30 BALLOON FIX 41.79 00/00/0000 11232652 15/30 BALLOON FIX 40.83 00/00/0000 11209029 15/30 BALLOON FIX 40.78 00/00/0000 11236404 15/30 BALLOON FIX 21.04 00/00/0000 11209459 15/30 BALLOON FIX 42.12 00/00/0000 11209568 15/30 BALLOON FIX 44.19 00/00/0000 11211113 15/30 BALLOON FIX 45.54 00/00/0000 11211597 15/30 BALLOON FIX 44.51 00/00/0000 11213863 15/30 BALLOON FIX 48.6 00/00/0000 11220487 15/30 BALLOON FIX 31.84 00/00/0000 11220260 15/30 BALLOON FIX 43.39 00/00/0000 11199210 15/30 BALLOON FIX 38.19 00/00/0000 11219764 15/30 BALLOON FIX 48.66 00/00/0000 11200686 15/30 BALLOON FIX 44.78 00/00/0000 11213848 15/30 BALLOON FIX 35.35 00/00/0000 11193688 15/30 BALLOON FIX 43.41 00/00/0000 11223667 15/30 BALLOON FIX 54.43 00/00/0000 11138352 15/30 BALLOON FIX 29.04 00/00/0000 11217493 15/30 BALLOON FIX 48.99 00/00/0000 11211144 15 YR FIXED FIX 25.78 00/00/0000 11211684 15/30 BALLOON FIX 40.64 00/00/0000 11218010 15/30 BALLOON FIX 51.81 00/00/0000 11214135 15/30 BALLOON FIX 42.54 00/00/0000 11209199 15/30 BALLOON FIX 10.8 00/00/0000 11234095 15/30 BALLOON FIX 32.13 00/00/0000 11217932 15/30 BALLOON FIX 48.53 00/00/0000 11204580 15/30 BALLOON FIX 36.66 00/00/0000 11217113 15/30 BALLOON FIX 49.54 00/00/0000 11206122 15/30 BALLOON FIX 48.11 00/00/0000 11203814 15/30 BALLOON FIX 49.21 00/00/0000 11189727 15/30 BALLOON FIX 37.67 00/00/0000 11210924 15/30 BALLOON FIX 39.91 00/00/0000 11207194 15/30 BALLOON FIX 42.81 00/00/0000 11223457 15 YR FIXED FIX 47.24 00/00/0000 11224081 15/30 BALLOON FIX 46.99 00/00/0000 11214301 15/30 BALLOON FIX 41.04 00/00/0000 11210669 15/30 BALLOON FIX 49.81 00/00/0000 11206306 15/30 BALLOON FIX 44.36 00/00/0000 11206571 15/30 BALLOON FIX 54.32 00/00/0000 11206994 15/30 BALLOON FIX 45.29 00/00/0000 11174170 15/30 BALLOON FIX 42.93 00/00/0000 11193339 15/30 BALLOON FIX 24.65 00/00/0000 11230425 15/30 BALLOON FIX 45.4 00/00/0000 11216092 15/30 BALLOON FIX 51.55 00/00/0000 11188338 15/30 BALLOON FIX 46.95 00/00/0000 11195272 15/30 BALLOON FIX 39.42 00/00/0000 11199847 15/30 BALLOON FIX 36.42 00/00/0000 11216295 15/30 BALLOON FIX 42.61 00/00/0000 11194661 15/30 BALLOON FIX 45.78 00/00/0000 11233114 15/30 BALLOON FIX 47.22 00/00/0000 11211324 15/30 BALLOON FIX 29.41 00/00/0000 11222136 20 YR FIXED FIX 47.5 00/00/0000 11202035 15/30 BALLOON FIX 30.91 00/00/0000 11204148 15/30 BALLOON FIX 32.46 00/00/0000 11224850 15/30 BALLOON FIX 42.86 00/00/0000 11194530 15/30 BALLOON FIX 33.72 00/00/0000 11181591 15/30 BALLOON FIX 41.75 00/00/0000 11215858 15/30 BALLOON FIX 44.54 00/00/0000 11216988 15/30 BALLOON FIX 45.98 00/00/0000 11198316 15/30 BALLOON FIX 40.36 00/00/0000 11223234 15/30 BALLOON FIX 41.63 00/00/0000 11200667 15/30 BALLOON FIX 37.09 00/00/0000 11201391 15/30 BALLOON FIX 47.82 00/00/0000 11192412 15/30 BALLOON FIX 32.35 00/00/0000 11210922 15/30 BALLOON FIX 29.81 00/00/0000 11215182 15/30 BALLOON FIX 48.97 00/00/0000 11219555 15/30 BALLOON FIX 36.32 00/00/0000 11224031 15/30 BALLOON FIX 14.59 00/00/0000 11194439 15/30 BALLOON FIX 43.37 00/00/0000 11228352 15/30 BALLOON FIX 47.53 00/00/0000 11220425 15/30 BALLOON FIX 47.08 00/00/0000 11206979 15/30 BALLOON FIX 35.5 00/00/0000 11197926 15/30 BALLOON FIX 38.33 00/00/0000 11207240 15 YR FIXED FIX 29.76 00/00/0000 11198563 15/30 BALLOON FIX 30.23 00/00/0000 11194730 15/30 BALLOON FIX 47.05 00/00/0000 11213660 15/30 BALLOON FIX 49.31 00/00/0000 11214500 15/30 BALLOON FIX 26.55 00/00/0000 11234758 15/30 BALLOON FIX 17.04 00/00/0000 11194557 15/30 BALLOON FIX 43.37 00/00/0000 11221381 15/30 BALLOON FIX 45 00/00/0000 11232953 15/30 BALLOON FIX 47.15 00/00/0000 11199361 15/30 BALLOON FIX 33.56 00/00/0000 11224434 15/30 BALLOON FIX 43.39 00/00/0000 11210276 15/30 BALLOON FIX 38.58 00/00/0000 11200830 15/30 BALLOON FIX 43.25 00/00/0000 11220594 15/30 BALLOON FIX 31.51 00/00/0000 11190990 15/30 BALLOON FIX 38.51 00/00/0000 11225845 15/30 BALLOON FIX 38.08 00/00/0000 11220569 15/30 BALLOON FIX 20.74 00/00/0000 11199875 15/30 BALLOON FIX 44.84 00/00/0000 11212795 15/30 BALLOON FIX 34 00/00/0000 11198579 15/30 BALLOON FIX 48.46 00/00/0000 11209628 15/30 BALLOON FIX 48.42 00/00/0000 11189808 15/30 BALLOON FIX 51.25 00/00/0000 11180398 15/30 BALLOON FIX 43.98 00/00/0000 11207098 15/30 BALLOON FIX 45.85 00/00/0000 11212582 15/30 BALLOON FIX 49.53 00/00/0000 11222416 15/30 BALLOON FIX 43.83 00/00/0000 11212767 15/30 BALLOON FIX 47.07 00/00/0000 11217639 15/30 BALLOON FIX 17.02 00/00/0000 11198854 15/30 BALLOON FIX 45.51 00/00/0000 11217664 15/30 BALLOON FIX 49.68 00/00/0000 11211626 15/30 BALLOON FIX 40.17 00/00/0000 11201201 15/30 BALLOON FIX 41.91 00/00/0000 11221971 15/30 BALLOON FIX 46.14 00/00/0000 11200099 15/30 BALLOON FIX 47.76 00/00/0000 11215805 15/30 BALLOON FIX 30.1 00/00/0000 11234400 15/30 BALLOON FIX 47.43 00/00/0000 11221350 15/30 BALLOON FIX 33.19 00/00/0000 11214792 15/30 BALLOON FIX 40.39 00/00/0000 11215227 15/30 BALLOON FIX 43.74 00/00/0000 11230246 15/30 BALLOON FIX 50.26 00/00/0000 11228384 15/30 BALLOON FIX 41.74 00/00/0000 11219075 15/30 BALLOON FIX 47.38 00/00/0000 11202132 15/30 BALLOON FIX 42.97 00/00/0000 11212941 15/30 BALLOON FIX 25.49 00/00/0000 11196318 15/30 BALLOON FIX 44.3 00/00/0000 11218683 15/30 BALLOON FIX 39.79 00/00/0000 11223867 15/30 BALLOON FIX 47.6 00/00/0000 11220366 15/30 BALLOON FIX 43.44 00/00/0000 11225576 15/30 BALLOON FIX 40.94 00/00/0000 11226230 15/30 BALLOON FIX 44.31 00/00/0000 11222067 15/30 BALLOON FIX 36.27 00/00/0000 11211953 15/30 BALLOON FIX 40.74 00/00/0000 11221392 15/30 BALLOON FIX 32.83 00/00/0000 11209163 15/30 BALLOON FIX 40.41 00/00/0000 11216547 15/30 BALLOON FIX 45.49 00/00/0000 11181113 15/30 BALLOON FIX 45.6 00/00/0000 11223511 15/30 BALLOON FIX 23.12 00/00/0000 11208522 15/30 BALLOON FIX 49.94 00/00/0000 11225410 15/30 BALLOON FIX 38.85 00/00/0000 11211192 15/30 BALLOON FIX 22.58 00/00/0000 11215934 15/30 BALLOON FIX 44.44 00/00/0000 11217681 15/30 BALLOON FIX 51.62 00/00/0000 11184353 15/30 BALLOON FIX 45.48 00/00/0000 11212792 15/30 BALLOON FIX 41.81 00/00/0000 11180767 15/30 BALLOON FIX 37.26 00/00/0000 11187453 15/30 BALLOON FIX 27.87 00/00/0000 11220078 15/30 BALLOON FIX 50.24 00/00/0000 11231798 15/30 BALLOON FIX 48.83 00/00/0000 11201565 15/30 BALLOON FIX 34.55 00/00/0000 11210725 15/30 BALLOON FIX 44.31 00/00/0000 11204082 15/30 BALLOON FIX 45.02 00/00/0000 11183962 15/30 BALLOON FIX 41.99 00/00/0000 11220795 15/30 BALLOON FIX 29.72 00/00/0000 11199083 15/30 BALLOON FIX 37.94 00/00/0000 11211948 15/30 BALLOON FIX 33.19 00/00/0000 11188098 15/30 BALLOON FIX 37.6 00/00/0000 11213036 15/30 BALLOON FIX 40.69 00/00/0000 11207729 15/30 BALLOON FIX 46.83 00/00/0000 11232237 15/30 BALLOON FIX 23.31 00/00/0000 11231436 15/30 BALLOON FIX 43.56 00/00/0000 11222167 15/30 BALLOON FIX 26.35 00/00/0000 11210991 15/30 BALLOON FIX 45.84 00/00/0000 11190668 15/30 BALLOON FIX 51.09 00/00/0000 11200162 15/30 BALLOON FIX 44.99 00/00/0000 11209678 15/30 BALLOON FIX 45.16 00/00/0000 11219448 15/30 BALLOON FIX 44.38 00/00/0000 11197536 15/30 BALLOON FIX 34.86 00/00/0000 11217937 15/30 BALLOON FIX 38.59 00/00/0000 11225914 15/30 BALLOON FIX 33.82 00/00/0000 11204680 15/30 BALLOON FIX 48.89 00/00/0000 11212726 15/30 BALLOON FIX 34.41 00/00/0000 11226611 15/30 BALLOON FIX 17.76 00/00/0000 11217033 15/30 BALLOON FIX 45.41 00/00/0000 11224912 15/30 BALLOON FIX 48.79 00/00/0000 11217841 15/30 BALLOON FIX 44.89 00/00/0000 11208370 15/30 BALLOON FIX 36.76 00/00/0000 11198455 15/30 BALLOON FIX 39.85 00/00/0000 11209537 15/30 BALLOON FIX 47.06 00/00/0000 11203943 15/30 BALLOON FIX 44.45 00/00/0000 11213027 15/30 BALLOON FIX 42.78 00/00/0000 11224092 15/30 BALLOON FIX 33.76 00/00/0000 11208327 15/30 BALLOON FIX 35.02 00/00/0000 11220996 15/30 BALLOON FIX 55.86 00/00/0000 11215688 15/30 BALLOON FIX 50.09 00/00/0000 11216320 15/30 BALLOON FIX 22.02 00/00/0000 11223131 15/30 BALLOON FIX 37.1 00/00/0000 11216107 15/30 BALLOON FIX 49.71 00/00/0000 11213306 15/30 BALLOON FIX 44.08 00/00/0000 11219215 15/30 BALLOON FIX 36.83 00/00/0000 11201873 15/30 BALLOON FIX 41.14 00/00/0000 11232575 15/30 BALLOON FIX 49.93 00/00/0000 11221179 15/30 BALLOON FIX 32.36 00/00/0000 11210620 15/30 BALLOON FIX 46 00/00/0000 11203617 15/30 BALLOON FIX 49.43 00/00/0000 11217987 15/30 BALLOON FIX 50.06 00/00/0000 11210661 15/30 BALLOON FIX 39.3 00/00/0000 11215903 15/30 BALLOON FIX 20.14 00/00/0000 11217397 15/30 BALLOON FIX 50.38 00/00/0000 11222132 15/30 BALLOON FIX 40.92 00/00/0000 11190589 15/30 BALLOON FIX 44.08 00/00/0000 11202593 15/30 BALLOON FIX 33.36 00/00/0000 11200508 15/30 BALLOON FIX 54.3 00/00/0000 11201552 15/30 BALLOON FIX 48.15 00/00/0000 11230636 15 YR FIXED FIX 44.23 00/00/0000 11188932 15/30 BALLOON FIX 35.71 00/00/0000 11228522 15/30 BALLOON FIX 45.93 00/00/0000 11210073 15/30 BALLOON FIX 43.86 00/00/0000 11229984 15/30 BALLOON FIX 40.82 00/00/0000 11199232 15/30 BALLOON FIX 12.24 00/00/0000 11210093 15/30 BALLOON FIX 44.85 00/00/0000 11210010 15/30 BALLOON FIX 41.91 00/00/0000 11213328 15/30 BALLOON FIX 35.04 00/00/0000 11211337 15/30 BALLOON FIX 44.33 00/00/0000 11220604 15/30 BALLOON FIX 38.59 00/00/0000 11218201 15/30 BALLOON FIX 48.55 00/00/0000 11195608 15/30 BALLOON FIX 49.58 00/00/0000 11222368 15/30 BALLOON FIX 39.67 00/00/0000 11171486 15/30 BALLOON FIX 29.72 00/00/0000 11207230 15/30 BALLOON FIX 40.41 00/00/0000 11205888 15/30 BALLOON FIX 49.48 00/00/0000 11191671 15/30 BALLOON FIX 46.29 00/00/0000 11226133 15/30 BALLOON FIX 46.96 00/00/0000 11221739 15/30 BALLOON FIX 35.73 00/00/0000 11180799 15 YR FIXED FIX 48.35 00/00/0000 11219986 15/30 BALLOON FIX 46.55 00/00/0000 11201727 15/30 BALLOON FIX 30.57 00/00/0000 11228106 15/30 BALLOON FIX 39.69 00/00/0000 11207486 15/30 BALLOON FIX 43.38 00/00/0000 11202986 15/30 BALLOON FIX 48.61 00/00/0000 11225692 15/30 BALLOON FIX 42.66 00/00/0000 11205716 15/30 BALLOON FIX 37.51 00/00/0000 11219758 15/30 BALLOON FIX 32.59 00/00/0000 11213633 15/30 BALLOON FIX 37.08 00/00/0000 11216684 15/30 BALLOON FIX 48.92 00/00/0000 11217221 15/30 BALLOON FIX 55.35 00/00/0000 11208874 15/30 BALLOON FIX 40.13 00/00/0000 11198992 15/30 BALLOON FIX 49.05 00/00/0000 11205154 15/30 BALLOON FIX 39.33 00/00/0000 11204729 15/30 BALLOON FIX 35.16 00/00/0000 11193110 15/30 BALLOON FIX 43.67 00/00/0000 11218762 15/30 BALLOON FIX 38.9 00/00/0000 11232732 20 YR FIXED FIX 48.81 00/00/0000 11204576 15/30 BALLOON FIX 52.35 00/00/0000 11223226 15/30 BALLOON FIX 41.41 00/00/0000 11189755 15 YR FIXED FIX 49.9 00/00/0000 11221033 15/30 BALLOON FIX 37.06 00/00/0000 11216018 15/30 BALLOON FIX 33.67 00/00/0000 11201413 15/30 BALLOON FIX 23.9 00/00/0000 11222829 15/30 BALLOON FIX 35.67 00/00/0000 11182197 15/30 BALLOON FIX 32.57 00/00/0000 11182071 15/30 BALLOON FIX 15.97 00/00/0000 11209775 15/30 BALLOON FIX 43.73 00/00/0000 11222636 15/30 BALLOON FIX 50.35 00/00/0000 11215675 15/30 BALLOON FIX 56.19 00/00/0000 11188184 15/30 BALLOON FIX 45.28 00/00/0000 11219239 15/30 BALLOON FIX 49.13 00/00/0000 11209491 15/30 BALLOON FIX 45.42 00/00/0000 11228709 15/30 BALLOON FIX 45.76 00/00/0000 11219730 15/30 BALLOON FIX 38.41 00/00/0000 11197892 15/30 BALLOON FIX 48.13 00/00/0000 11204327 15/30 BALLOON FIX 41.3 00/00/0000 11217145 15/30 BALLOON FIX 42.88 00/00/0000 11204276 15/30 BALLOON FIX 33.43 00/00/0000 11222270 15/30 BALLOON FIX 47.42 00/00/0000 11176090 15/30 BALLOON FIX 47.72 00/00/0000 11225888 15/30 BALLOON FIX 48.6 00/00/0000 11220354 15/30 BALLOON FIX 35.42 00/00/0000 11202426 15/30 BALLOON FIX 51.14 00/00/0000 11219921 15/30 BALLOON FIX 43.26 00/00/0000 11169594 15/30 BALLOON FIX 24.17 00/00/0000 11212079 15/30 BALLOON FIX 31.88 00/00/0000 11228287 15/30 BALLOON FIX 36.32 00/00/0000 11208281 15/30 BALLOON FIX 48.84 00/00/0000 11197284 15/30 BALLOON FIX 38.18 00/00/0000 11221370 15/30 BALLOON FIX 44.06 00/00/0000 11227288 15/30 BALLOON FIX 22.52 00/00/0000 11212160 15/30 BALLOON FIX 49.58 00/00/0000 11206320 15/30 BALLOON FIX 48.57 00/00/0000 11203436 15/30 BALLOON FIX 39.89 00/00/0000 11211879 15/30 BALLOON FIX 25.25 00/00/0000 11203598 15/30 BALLOON FIX 41.71 00/00/0000 11214035 15/30 BALLOON FIX 57.51 00/00/0000 11206361 15/30 BALLOON FIX 48.67 00/00/0000 11194458 15/30 BALLOON FIX 35.62 00/00/0000 11193817 15/30 BALLOON FIX 38.86 00/00/0000 11191011 15/30 BALLOON FIX 32.74 00/00/0000 11203201 15/30 BALLOON FIX 49.81 00/00/0000 11215262 15/30 BALLOON FIX 46.32 00/00/0000 11192331 15/30 BALLOON FIX 47.81 00/00/0000 11227058 15/30 BALLOON FIX 41.08 00/00/0000 11216251 15/30 BALLOON FIX 45.19 00/00/0000 11218374 15/30 BALLOON FIX 49.38 00/00/0000 11187059 15/30 BALLOON FIX 40.43 00/00/0000 11220441 15/30 BALLOON FIX 41.68 00/00/0000 11218821 15/30 BALLOON FIX 49.34 00/00/0000 11225674 15/30 BALLOON FIX 38.66 00/00/0000 11153249 15/30 BALLOON FIX 45.29 00/00/0000 11151786 15/30 BALLOON FIX 23.6 00/00/0000 11180461 15/30 BALLOON FIX 56.36 00/00/0000 11183049 15/30 BALLOON FIX 46.95 00/00/0000 11181291 15/30 BALLOON FIX 33.68 00/00/0000 11163975 15/30 BALLOON FIX 55 00/00/0000 11159155 15/30 BALLOON FIX 44.88 00/00/0000 11176545 15/30 BALLOON FIX 38.93 00/00/0000 11162826 15/30 BALLOON FIX 48.04 00/00/0000 11188418 15/30 BALLOON FIX 48.91 00/00/0000 11193100 15/30 BALLOON FIX 39.88 00/00/0000 11186575 15/30 BALLOON FIX 41.18 00/00/0000 11182971 15/30 BALLOON FIX 26.82 00/00/0000 11177447 15/30 BALLOON FIX 38.48 00/00/0000 11175754 15/30 BALLOON FIX 49.36 00/00/0000 11187348 15/30 BALLOON FIX 35.9 00/00/0000 11181632 15/30 BALLOON FIX 45.28 00/00/0000 11187017 15/30 BALLOON FIX 45.98 00/00/0000 11179061 15/30 BALLOON FIX 38.72 00/00/0000 11205711 15/30 BALLOON FIX 25.89 00/00/0000 11200454 15/30 BALLOON FIX 48.54 00/00/0000 11205745 15/30 BALLOON FIX 44.64 00/00/0000 11196991 15/30 BALLOON FIX 23.32 00/00/0000 11170377 15/30 BALLOON FIX 44.41 00/00/0000 11197989 15/30 BALLOON FIX 42.35 00/00/0000 11225402 15/30 BALLOON FIX 36.24 00/00/0000 11206391 15/30 BALLOON FIX 40.49 00/00/0000 11216734 15/30 BALLOON FIX 43.32 00/00/0000 11211098 15/30 BALLOON FIX 32.66 00/00/0000 11204434 15/30 BALLOON FIX 46.13 00/00/0000 11206967 15/30 BALLOON FIX 46.92 00/00/0000 11196214 15/30 BALLOON FIX 39.53 00/00/0000 11194253 15/30 BALLOON FIX 49.96 00/00/0000 11217285 15/30 BALLOON FIX 46.67 00/00/0000 11223500 15/30 BALLOON FIX 39.35 00/00/0000 11226390 15/30 BALLOON FIX 48.33 00/00/0000 11202920 15/30 BALLOON FIX 30.11 00/00/0000 11220443 15/30 BALLOON FIX 33.26 00/00/0000 11224249 15/30 BALLOON FIX 46.52 00/00/0000 11231338 15/30 BALLOON FIX 49.75 00/00/0000 11222361 15/30 BALLOON FIX 37 00/00/0000 11189741 15/30 BALLOON FIX 39.32 00/00/0000 11190629 15/30 BALLOON FIX 41.33 00/00/0000 11222717 15/30 BALLOON FIX 48.25 00/00/0000 11214650 15/30 BALLOON FIX 42.88 00/00/0000 11200857 15/30 BALLOON FIX 42.71 00/00/0000 11223061 15/30 BALLOON FIX 43.84 00/00/0000 11203676 15/30 BALLOON FIX 48.94 00/00/0000 11223334 15/30 BALLOON FIX 54.83 00/00/0000 11207329 15/30 BALLOON FIX 42.35 00/00/0000 11208939 15/30 BALLOON FIX 35.23 00/00/0000 11223950 15/30 BALLOON FIX 43.49 00/00/0000 11228742 15/30 BALLOON FIX 45.17 00/00/0000 11213482 15/30 BALLOON FIX 44.64 00/00/0000 11194242 15/30 BALLOON FIX 47.61 00/00/0000 11221722 15/30 BALLOON FIX 49.43 00/00/0000 11216831 15/30 BALLOON FIX 49.51 00/00/0000 11191531 15/30 BALLOON FIX 38.4 00/00/0000 11195752 15/30 BALLOON FIX 38.37 00/00/0000 11202205 15/30 BALLOON FIX 40.22 00/00/0000 11219810 15/30 BALLOON FIX 43.97 00/00/0000 11207952 15/30 BALLOON FIX 50.61 00/00/0000 11212513 15/30 BALLOON FIX 46.68 00/00/0000 11220408 15/30 BALLOON FIX 46.99 00/00/0000 11212438 15/30 BALLOON FIX 54.42 00/00/0000 11225426 15/30 BALLOON FIX 40.34 00/00/0000 11225078 15/30 BALLOON FIX 32.39 00/00/0000 11210388 15/30 BALLOON FIX 37.53 00/00/0000 11186650 15/30 BALLOON FIX 29.86 00/00/0000 11206823 15/30 BALLOON FIX 29.87 00/00/0000 11217865 15/30 BALLOON FIX 48.53 00/00/0000 11185035 15/30 BALLOON FIX 37.97 00/00/0000 11200601 15/30 BALLOON FIX 47.79 00/00/0000 11209216 15/30 BALLOON FIX 32.75 00/00/0000 11210823 15/30 BALLOON FIX 42.7 00/00/0000 11206054 15/30 BALLOON FIX 46.43 00/00/0000 11215961 15/30 BALLOON FIX 37.69 00/00/0000 11212620 15/30 BALLOON FIX 44.49 00/00/0000 11210652 15/30 BALLOON FIX 36.64 00/00/0000 11229856 15/30 BALLOON FIX 47.87 00/00/0000 11207454 15/30 BALLOON FIX 30.88 00/00/0000 11204667 15/30 BALLOON FIX 50 00/00/0000 11222153 15/30 BALLOON FIX 44.02 00/00/0000 11191391 15/30 BALLOON FIX 41.34 00/00/0000 11211658 15/30 BALLOON FIX 44.91 00/00/0000 11196205 15/30 BALLOON FIX 15.64 00/00/0000 11215945 15/30 BALLOON FIX 48.2 00/00/0000 11199635 15/30 BALLOON FIX 23.57 00/00/0000 11177881 15/30 BALLOON FIX 47.62 00/00/0000 11225012 15/30 BALLOON FIX 32.74 00/00/0000 11219813 15/30 BALLOON FIX 44.16 00/00/0000 11222328 15/30 BALLOON FIX 47.82 00/00/0000 11197649 15/30 BALLOON FIX 40.04 00/00/0000 11177439 15/30 BALLOON FIX 44.88 00/00/0000 11167778 15/30 BALLOON FIX 40.26 00/00/0000 11218753 15/30 BALLOON FIX 49.09 00/00/0000 11212168 15/30 BALLOON FIX 31.53 00/00/0000 11205682 15/30 BALLOON FIX 23 00/00/0000 11207649 15/30 BALLOON FIX 45.92 00/00/0000 11210850 15/30 BALLOON FIX 44.43 00/00/0000 11191533 15/30 BALLOON FIX 26.61 00/00/0000 11223255 15/30 BALLOON FIX 46.79 00/00/0000 11218043 15/30 BALLOON FIX 44.9 00/00/0000 11222338 15/30 BALLOON FIX 42.15 00/00/0000 11211401 15/30 BALLOON FIX 38.44 00/00/0000 11215890 15/30 BALLOON FIX 36.32 00/00/0000 11227197 15/30 BALLOON FIX 43.78 00/00/0000 11198569 15 YR FIXED FIX 42.77 00/00/0000 11211862 15/30 BALLOON FIX 35.44 00/00/0000 11217624 15/30 BALLOON FIX 48.84 00/00/0000 11214148 15/30 BALLOON FIX 35.48 00/00/0000 11198637 15/30 BALLOON FIX 41.56 00/00/0000 11227390 15/30 BALLOON FIX 40.79 00/00/0000 11229859 15/30 BALLOON FIX 45.94 00/00/0000 11211275 15/30 BALLOON FIX 36.24 00/00/0000 11218169 15/30 BALLOON FIX 40.21 00/00/0000 11220495 15/30 BALLOON FIX 44.93 00/00/0000 11164647 15/30 BALLOON FIX 49.56 00/00/0000 11210938 15/30 BALLOON FIX 43.15 00/00/0000 11213223 15/30 BALLOON FIX 33.76 00/00/0000 11193331 15/30 BALLOON FIX 49.78 00/00/0000 11191374 15/30 BALLOON FIX 44.93 00/00/0000 11217978 15/30 BALLOON FIX 47.68 00/00/0000 11214113 15/30 BALLOON FIX 35.32 00/00/0000 11216612 15/30 BALLOON FIX 24.38 00/00/0000 11204666 15/30 BALLOON FIX 48.65 00/00/0000 11204814 15/30 BALLOON FIX 31.46 00/00/0000 11190106 15/30 BALLOON FIX 47.48 00/00/0000 11224749 15/30 BALLOON FIX 37.67 00/00/0000 11193864 15/30 BALLOON FIX 35.6 00/00/0000 11208783 15/30 BALLOON FIX 45.99 00/00/0000 11212584 15/30 BALLOON FIX 32.55 00/00/0000 11209986 15/30 BALLOON FIX 41.28 00/00/0000 11198584 15/30 BALLOON FIX 39.09 00/00/0000 11190552 15/30 BALLOON FIX 34.31 00/00/0000 11212936 15/30 BALLOON FIX 34.99 00/00/0000 11194364 15/30 BALLOON FIX 48.25 00/00/0000 11203809 15/30 BALLOON FIX 14.18 00/00/0000 11215503 15/30 BALLOON FIX 43.2 00/00/0000 11205827 15/30 BALLOON FIX 41.2 00/00/0000 11206073 15/30 BALLOON FIX 23.66 00/00/0000 11212123 15/30 BALLOON FIX 38.84 00/00/0000 11205196 15/30 BALLOON FIX 48.2 00/00/0000 11212121 15/30 BALLOON FIX 32.28 00/00/0000 11216973 15/30 BALLOON FIX 30.37 00/00/0000 11218478 15/30 BALLOON FIX 46.17 00/00/0000 11227448 15/30 BALLOON FIX 45.02 00/00/0000 11211956 15/30 BALLOON FIX 30.68 00/00/0000 11228968 15/30 BALLOON FIX 24.35 00/00/0000 11220047 15/30 BALLOON FIX 38.9 00/00/0000 11196775 15/30 BALLOON FIX 3.46 00/00/0000 11211504 15/30 BALLOON FIX 24.34 00/00/0000 11210905 15/30 BALLOON FIX 44.22 00/00/0000 11221573 15/30 BALLOON FIX 26.15 00/00/0000 11212270 15/30 BALLOON FIX 47.26 00/00/0000 11209304 15/30 BALLOON FIX 38.76 00/00/0000 11178483 15/30 BALLOON FIX 44.59 00/00/0000 11211185 15/30 BALLOON FIX 48.45 00/00/0000 11220051 15/30 BALLOON FIX 37.98 00/00/0000 11224028 15/30 BALLOON FIX 49.23 00/00/0000 11208371 15/30 BALLOON FIX 44.87 00/00/0000 11192444 15/30 BALLOON FIX 34.26 00/00/0000 11200433 15/30 BALLOON FIX 44.35 00/00/0000 11211602 15/30 BALLOON FIX 38.23 00/00/0000 11214482 15/30 BALLOON FIX 53 00/00/0000 11202164 15/30 BALLOON FIX 48.21 00/00/0000 11213736 15/30 BALLOON FIX 19.5 00/00/0000 11227379 15/30 BALLOON FIX 45.29 00/00/0000 11194348 15/30 BALLOON FIX 29.77 00/00/0000 11189636 15/30 BALLOON FIX 42.72 00/00/0000 11212214 15/30 BALLOON FIX 23.36 00/00/0000 11198236 15/30 BALLOON FIX 32.96 00/00/0000 11219971 15/30 BALLOON FIX 45.24 00/00/0000 11194508 15/30 BALLOON FIX 45.75 00/00/0000 11228979 15/30 BALLOON FIX 41.71 00/00/0000 11220965 15/30 BALLOON FIX 49.35 00/00/0000 11217320 15/30 BALLOON FIX 49.34 00/00/0000 11202255 15/30 BALLOON FIX 43.01 00/00/0000 11228234 15/30 BALLOON FIX 43.29 00/00/0000 11183576 15/30 BALLOON FIX 42.76 00/00/0000 11226764 15/30 BALLOON FIX 24.35 00/00/0000 11198222 15/30 BALLOON FIX 41.55 00/00/0000 11208128 15/30 BALLOON FIX 50.5 00/00/0000 11209190 15/30 BALLOON FIX 30.85 00/00/0000 11226069 15/30 BALLOON FIX 47.04 00/00/0000 11199257 15/30 BALLOON FIX 58.2 00/00/0000 11219543 15/30 BALLOON FIX 44.74 00/00/0000 11203241 15/30 BALLOON FIX 25.52 00/00/0000 11209478 15/30 BALLOON FIX 39.82 00/00/0000 11197671 15/30 BALLOON FIX 26.6 00/00/0000 11199425 15/30 BALLOON FIX 29.81 00/00/0000 11210137 15/30 BALLOON FIX 35.16 00/00/0000 11197375 15/30 BALLOON FIX 31.65 00/00/0000 11205852 15/30 BALLOON FIX 44.81 00/00/0000 11201187 15/30 BALLOON FIX 39.79 00/00/0000 11231929 15/30 BALLOON FIX 44.88 00/00/0000 11235133 15/30 BALLOON FIX 46.12 00/00/0000 11209233 15/30 BALLOON FIX 33.89 00/00/0000 11211038 15/30 BALLOON FIX 42.65 00/00/0000 11210195 15/30 BALLOON FIX 43.99 00/00/0000 11188105 15/30 BALLOON FIX 35.6 00/00/0000 11222746 15/30 BALLOON FIX 46.95 00/00/0000 11223386 15/30 BALLOON FIX 43.52 00/00/0000 11199369 15/30 BALLOON FIX 49.63 00/00/0000 11192470 15/30 BALLOON FIX 31.76 00/00/0000 11201772 15/30 BALLOON FIX 34.6 00/00/0000 11208643 15/30 BALLOON FIX 53.58 00/00/0000 11232055 15/30 BALLOON FIX 45.79 00/00/0000 11215151 15/30 BALLOON FIX 36.55 00/00/0000 11207185 15/30 BALLOON FIX 37.61 00/00/0000 11217076 15/30 BALLOON FIX 50 00/00/0000 11225037 15/30 BALLOON FIX 49.1 00/00/0000 11227232 15/30 BALLOON FIX 47.81 00/00/0000 11205589 15/30 BALLOON FIX 38.23 00/00/0000 11210017 15/30 BALLOON FIX 44.77 00/00/0000 11176190 15/30 BALLOON FIX 32.03 00/00/0000 11222224 15/30 BALLOON FIX 43.14 00/00/0000 11166335 15/30 BALLOON FIX 48.73 00/00/0000 11206216 15/30 BALLOON FIX 45.34 00/00/0000 11212534 15/30 BALLOON FIX 27.09 00/00/0000 11216649 15/30 BALLOON FIX 47.79 00/00/0000 11222844 15/30 BALLOON FIX 39.29 00/00/0000 11211077 15/30 BALLOON FIX 54.56 00/00/0000 11220830 15/30 BALLOON FIX 44.34 00/00/0000 11215809 15/30 BALLOON FIX 47.92 00/00/0000 11229795 15/30 BALLOON FIX 45.43 00/00/0000 11224556 15/30 BALLOON FIX 38.03 00/00/0000 11213899 15/30 BALLOON FIX 37.87 00/00/0000 11219013 15/30 BALLOON FIX 41.91 00/00/0000 11211264 15/30 BALLOON FIX 39.08 00/00/0000 11190255 15/30 BALLOON FIX 32.78 00/00/0000 11214931 15/30 BALLOON FIX 43.69 00/00/0000 11216199 15/30 BALLOON FIX 47.55 00/00/0000 11196304 15/30 BALLOON FIX 38.81 00/00/0000 11211240 15/30 BALLOON FIX 47.66 00/00/0000 11210458 15/30 BALLOON FIX 49.6 00/00/0000 11216596 15/30 BALLOON FIX 39.31 00/00/0000 11212878 15/30 BALLOON FIX 42.32 00/00/0000 11153745 15/30 BALLOON FIX 57.02 00/00/0000 11208292 15/30 BALLOON FIX 38.55 00/00/0000 11203507 15/30 BALLOON FIX 37.65 00/00/0000 11212084 15/30 BALLOON FIX 48.69 00/00/0000 11226918 15/30 BALLOON FIX 22.16 00/00/0000 11232097 15/30 BALLOON FIX 39.96 00/00/0000 11225229 15/30 BALLOON FIX 46.32 00/00/0000 11209147 15/30 BALLOON FIX 44.92 00/00/0000 11208319 15/30 BALLOON FIX 46.38 00/00/0000 11201324 15/30 BALLOON FIX 46.66 00/00/0000 11206406 15/30 BALLOON FIX 42.65 00/00/0000 11217897 15/30 BALLOON FIX 47.34 00/00/0000 11207282 15/30 BALLOON FIX 43.1 00/00/0000 11221951 15 YR FIXED FIX 46.76 00/00/0000 11192696 15/30 BALLOON FIX 48.97 00/00/0000 11151867 15/30 BALLOON FIX 30.62 00/00/0000 11203457 15/30 BALLOON FIX 48.2 00/00/0000 11206246 15/30 BALLOON FIX 44.23 00/00/0000 11215974 15/30 BALLOON FIX 29.8 00/00/0000 11210138 15/30 BALLOON FIX 43.23 00/00/0000 11175070 15/30 BALLOON FIX 39.1 00/00/0000 11223328 15/30 BALLOON FIX 44.85 00/00/0000 11217631 15/30 BALLOON FIX 36.25 00/00/0000 11142123 15/30 BALLOON FIX 27.74 00/00/0000 11228341 15/30 BALLOON FIX 49.95 00/00/0000 11220787 15/30 BALLOON FIX 49.69 00/00/0000 11232230 15/30 BALLOON FIX 44.44 00/00/0000 11216126 15/30 BALLOON FIX 36.1 00/00/0000 11172866 15/30 BALLOON FIX 47.81 00/00/0000 11196848 15/30 BALLOON FIX 42.29 00/00/0000 11223637 15/30 BALLOON FIX 37.26 00/00/0000 11207312 15/30 BALLOON FIX 43.38 00/00/0000 11212907 15/30 BALLOON FIX 43.89 00/00/0000 11192104 15/30 BALLOON FIX 46.5 00/00/0000 11202721 15/30 BALLOON FIX 38.4 00/00/0000 11230007 15/30 BALLOON FIX 43.41 00/00/0000 11221063 15/30 BALLOON FIX 48.56 00/00/0000 11226964 15/30 BALLOON FIX 38.48 00/00/0000 11200439 15/30 BALLOON FIX 32.82 00/00/0000 11192323 15/30 BALLOON FIX 39.7 00/00/0000 11216715 15/30 BALLOON FIX 36.55 00/00/0000 11216851 15/30 BALLOON FIX 40.7 00/00/0000 11200199 15/30 BALLOON FIX 35.25 00/00/0000 11222321 15/30 BALLOON FIX 24.74 00/00/0000 11214341 15/30 BALLOON FIX 35.43 00/00/0000 11185313 15/30 BALLOON FIX 39.94 00/00/0000 11221913 15/30 BALLOON FIX 44.12 00/00/0000 11158407 15/30 BALLOON FIX 38.1 00/00/0000 11192907 15/30 BALLOON FIX 49.93 00/00/0000 11188063 15/30 BALLOON FIX 35.84 00/00/0000 11227220 15/30 BALLOON FIX 47.49 00/00/0000 11204036 2/28 6 ML 30/40 BALLOON 6ML 48.09 5/1/2007 11202076 2/28 6 ML with 5 yr IO 6ML 49.66 6/1/2007 11210273 2/28 6 ML 6ML 35.81 6/1/2007 11204341 2/28 6 ML 6ML 47.37 6/1/2007 11231754 2/28 6 ML with 5 yr IO 6ML 43.12 6/1/2007 11210946 2/28 6 ML 6ML 40.08 6/1/2007 11211833 2/28 6 ML 6ML 44.6 6/1/2007 11196101 30 YR FIXED FIX 46.99 00/00/0000 11215521 2/28 6 ML 6ML 48.76 6/1/2007 11204604 2/28 6 ML 6ML 36.17 6/1/2007 11203685 2/28 6 ML 6ML 49.61 5/1/2007 11208161 2/28 6 ML 6ML 32.89 6/1/2007 11178601 2/28 6 ML 6ML 46.84 5/1/2007 11153440 2/28 6 ML 6ML 37.78 6/1/2007 11214567 2/28 6 ML 6ML 40.94 6/1/2007 11197535 5/25 6 ML with 5 yr IO 6ML 45.77 6/1/2010 11191761 2/28 6 ML with 5 yr IO 6ML 32.68 5/1/2007 11210988 5/25 6 ML 30/40 BALLOON 6ML 26.92 6/1/2010 11182314 2/28 6 ML 6ML 54.45 6/1/2007 11209899 2/28 6 ML 30/40 BALLOON 6ML 48.03 6/1/2007 11192995 2/28 6 ML with 5 yr IO 6ML 34.3 5/1/2007 11232573 2/28 6 ML 30/40 BALLOON 6ML 49.81 6/1/2007 11227349 2/28 6 ML 6ML 32.15 6/1/2007 11191231 2/28 6 ML 6ML 41.84 5/1/2007 11220105 2/28 6 ML 6ML 32.24 6/1/2007 11220381 2/28 6 ML 6ML 28.74 6/1/2007 11226856 2/28 6 ML 30/40 BALLOON 6ML 35.61 6/1/2007 11207774 2/28 6 ML with 5 yr IO 6ML 30.57 6/1/2007 11210323 2/28 6 ML 30/40 BALLOON 6ML 47.89 6/1/2007 11178017 2/28 6 ML 6ML 49.37 5/1/2007 11207966 2/28 6 ML 6ML 37.98 6/1/2007 11210704 2/28 6 ML 6ML 30.26 6/1/2007 11187410 2/28 6 ML 6ML 37.51 5/1/2007 11219250 5/25 6 ML 6ML 49.16 6/1/2010 11222414 5/25 6 ML with 10 yr IO 6ML 38.13 6/1/2010 11189745 2/28 6 ML 6ML 28.94 5/1/2007 11230727 30 YR FIXED FIX 45.4 00/00/0000 11203478 2/28 6 ML with 10 yr IO 6ML 41.79 6/1/2007 11213849 30 YR FIXED FIX 45.78 00/00/0000 11192284 2/28 6 ML 30/40 BALLOON 6ML 42.07 6/1/2007 11216474 2/28 6 ML 6ML 36.87 6/1/2007 11139525 2/28 6 ML 6ML 46.43 5/1/2007 11204268 2/28 6 ML 6ML 45.29 6/1/2007 11205701 2/28 6 ML with 10 yr IO 6ML 37.26 6/1/2007 11202973 2/28 6 ML 6ML 47.74 6/1/2007 11217560 5/25 6 ML 6ML 49.8 6/1/2010 11209772 2/28 6 ML 6ML 48.05 6/1/2007 11227025 2/28 6 ML with 5 yr IO 6ML 40.54 6/1/2007 11208465 2/28 6 ML 30/40 BALLOON 6ML 37.25 6/1/2007 11210050 5/25 6 ML 6ML 32.65 6/1/2010 11205391 2/28 6 ML with 5 yr IO 6ML 34.24 6/1/2007 11197424 2/28 6 ML 6ML 27.69 6/1/2007 11218362 2/28 6 ML 6ML 28.01 6/1/2007 11218221 2/28 6 ML 6ML 34.1 6/1/2007 11214945 2/28 6 ML with 5 yr IO 6ML 40.19 6/1/2007 11175147 2/28 6 ML 6ML 43.17 5/1/2007 11212309 2/28 6 ML 6ML 43.87 6/1/2007 11209362 2/28 6 ML with 5 yr IO 6ML 30.1 6/1/2007 11193604 2/28 6 ML 30/40 BALLOON 6ML 48.32 5/1/2007 11192132 2/28 6 ML 6ML 22.73 6/1/2007 11218781 30 YR FIXED FIX 37.47 00/00/0000 11199149 2/28 6 ML 6ML 28.85 6/1/2007 11201160 2/28 6 ML 6ML 47.45 5/1/2007 11209833 2/28 6 ML 6ML 12.97 6/1/2007 11204502 2/28 6 ML with 5 yr IO 6ML 24.49 6/1/2007 11216208 30 YR FIXED FIX 41.15 00/00/0000 11206399 2/28 6 ML with 5 yr IO 6ML 35.24 6/1/2007 11171642 2/28 6 ML 30/40 BALLOON 6ML 40.12 6/1/2007 11217261 2/28 6 ML 30/40 BALLOON 6ML 46.32 6/1/2007 11222330 2/28 6 ML with 5 yr IO 6ML 43.27 6/1/2007 11206834 2/28 6 ML with 5 yr IO 6ML 39.47 6/1/2007 11211379 2/28 6 ML 30/40 BALLOON 6ML 39.48 6/1/2007 11224781 2/28 6 ML with 5 yr IO 6ML 40.04 6/1/2007 11222331 2/28 6 ML 30/40 BALLOON 6ML 48.88 6/1/2007 11221471 2/28 6 ML with 5 yr IO 6ML 49.14 6/1/2007 11227083 2/28 6 ML 6ML 49.92 6/1/2007 11211868 2/28 6 ML 30/40 BALLOON 6ML 39.99 6/1/2007 11210494 2/28 6 ML 30/40 BALLOON 6ML 45.2 6/1/2007 11222706 2/28 6 ML 6ML 43.95 6/1/2007 11182533 2/28 6 ML 6ML 49.7 6/1/2007 11199782 30 YR FIXED FIX 44.99 00/00/0000 11221432 5/25 6 ML with 5 yr IO 6ML 20.91 6/1/2010 11218503 30 YR FIXED 30/40 BALLOON FIX 41.6 00/00/0000 11214443 2/28 6 ML with 5 yr IO 6ML 27.05 6/1/2007 11216610 2/28 6 ML 6ML 40.47 6/1/2007 11181577 2/28 6 ML 6ML 44.73 6/1/2007 11221531 2/28 6 ML 6ML 45.39 6/1/2007 11199950 2/28 6 ML 6ML 40.56 5/1/2007 11216700 2/28 6 ML 6ML 16.79 6/1/2007 11229897 2/28 6 ML 6ML 33.44 6/1/2007 11198752 2/28 6 ML 6ML 43.26 6/1/2007 11205436 2/28 6 ML 6ML 32.51 6/1/2007 11203186 3/27 6 ML 6ML 41.28 6/1/2008 11220240 2/28 6 ML with 5 yr IO 6ML 37.78 6/1/2007 11189056 2/28 6 ML 30/40 BALLOON 6ML 53.96 6/1/2007 11229962 2/28 6 ML 6ML 41.62 6/1/2007 11200937 2/28 6 ML 6ML 42.35 5/1/2007 11175206 2/28 6 ML with 5 yr IO 6ML 42.38 5/1/2007 11206568 2/28 6 ML with 5 yr IO 6ML 42.81 6/1/2007 11200435 2/28 6 ML 6ML 41.57 6/1/2007 11232431 2/28 6 ML 6ML 49.56 6/1/2007 11181735 2/28 6 ML 6ML 47.8 5/1/2007 11223862 2/28 6 ML 6ML 32.29 6/1/2007 11230326 2/28 6 ML 6ML 42.58 6/1/2007 11225536 2/28 6 ML 30/40 BALLOON 6ML 37.16 6/1/2007 11187510 2/28 6 ML 6ML 48.36 6/1/2007 11215765 2/28 6 ML 30/40 BALLOON 6ML 45.66 6/1/2007 11214359 2/28 6 ML 6ML 35.8 6/1/2007 11216631 2/28 6 ML with 10 yr IO 6ML 45.36 6/1/2007 11218424 30 YR FIXED 30/40 BALLOON FIX 25.61 00/00/0000 11192981 2/28 6 ML 6ML 26.65 5/1/2007 11208331 2/28 6 ML 30/40 BALLOON 6ML 41.61 6/1/2007 11201460 2/28 6 ML 30/40 BALLOON 6ML 33.65 6/1/2007 11214639 2/28 6 ML with 5 yr IO 6ML 39.2 6/1/2007 11215211 2/28 6 ML 30/40 BALLOON 6ML 45.04 6/1/2007 11207040 2/28 6 ML 30/40 BALLOON 6ML 44.17 6/1/2007 11215941 2/28 6 ML 30/40 BALLOON 6ML 40.09 6/1/2007 11218838 2/28 6 ML with 5 yr IO 6ML 27.68 6/1/2007 11218876 30 YR FIXED FIX 30.87 00/00/0000 11202303 2/28 6 ML 30/40 BALLOON 6ML 41.28 6/1/2007 11210996 2/28 6 ML 6ML 48.65 6/1/2007 11183201 2/28 6 ML 6ML 20.58 5/1/2007 11223291 2/28 6 ML 30/40 BALLOON 6ML 29.21 6/1/2007 11210985 2/28 6 ML 6ML 49.22 6/1/2007 11202251 2/28 6 ML 6ML 49.76 6/1/2007 11224733 2/28 6 ML 6ML 47.53 6/1/2007 11217649 2/28 6 ML with 5 yr IO 6ML 34.74 6/1/2007 11204018 2/28 6 ML with 5 yr IO 6ML 36.59 6/1/2007 11206473 2/28 6 ML 30/40 BALLOON 6ML 26.53 5/1/2007 11202913 2/28 6 ML 6ML 32.03 6/1/2007 11198715 2/28 6 ML 6ML 46.27 6/1/2007 11189801 30 YR FIXED FIX 45.1 00/00/0000 11226707 2/28 6 ML 6ML 44.78 6/1/2007 11228576 2/28 6 ML with 5 yr IO 6ML 44.62 6/1/2007 11218935 2/28 6 ML 30/40 BALLOON 6ML 39.94 6/1/2007 11230874 30 YR FIXED 30/40 BALLOON FIX 56.85 00/00/0000 11198790 30 YR FIXED FIX 45.92 00/00/0000 11217354 2/28 6 ML 6ML 43.36 6/1/2007 11181411 2/28 6 ML 30/40 BALLOON 6ML 47 5/1/2007 11200693 2/28 6 ML with 5 yr IO 6ML 36.08 5/1/2007 11184269 2/28 6 ML 6ML 26.65 6/1/2007 11188462 2/28 6 ML 30/40 BALLOON 6ML 46.26 5/1/2007 11193885 2/28 6 ML 6ML 48.22 6/1/2007 11194670 2/28 6 ML 6ML 51.52 5/1/2007 11218903 2/28 6 ML 30/40 BALLOON 6ML 45.29 6/1/2007 11193375 2/28 6 ML 30/40 BALLOON 6ML 49.14 6/1/2007 11205057 2/28 6 ML 30/40 BALLOON 6ML 42.85 6/1/2007 11214928 2/28 6 ML with 5 yr IO 6ML 52.93 6/1/2007 11228372 2/28 6 ML 6ML 34.09 6/1/2007 11221988 2/28 6 ML 30/40 BALLOON 6ML 42.85 6/1/2007 11214016 30 YR FIXED FIX 33 00/00/0000 11211410 5/25 6 ML with 5 yr IO 6ML 32.25 5/1/2010 11155077 2/28 6 ML 6ML 39.07 5/1/2007 11199604 2/28 6 ML 6ML 28.15 5/1/2007 11209268 2/28 6 ML 30/40 BALLOON 6ML 49.58 6/1/2007 11107768 2/28 6 ML 6ML 38.82 1/1/2007 11214283 2/28 6 ML 6ML 48.55 6/1/2007 11197141 2/28 6 ML 6ML 30.22 6/1/2007 11211246 3/27 6 ML with 5 yr IO 6ML 44.82 6/1/2008 11193662 2/28 6 ML 6ML 59.79 5/1/2007 11195232 2/28 6 ML 6ML 34.8 5/1/2007 11206438 2/28 6 ML with 5 yr IO 6ML 13.61 6/1/2007 11203238 2/28 6 ML 6ML 33.5 6/1/2007 11220777 2/28 6 ML with 5 yr IO 6ML 37.51 6/1/2007 11174320 2/28 6 ML 6ML 47.12 5/1/2007 11222240 2/28 6 ML 30/40 BALLOON 6ML 28.2 6/1/2007 11195112 30 YR FIXED FIX 35.93 00/00/0000 11203291 2/28 6 ML 30/40 BALLOON 6ML 43.05 6/1/2007 11196699 2/28 6 ML with 5 yr IO 6ML 39.09 5/1/2007 11202479 2/28 6 ML with 10 yr IO 6ML 34.93 5/1/2007 11203405 5/25 6 ML with 5 yr IO 6ML 35.63 5/1/2010 11228259 2/28 6 ML 30/40 BALLOON 6ML 40.53 6/1/2007 11211375 2/28 6 ML 6ML 37.09 6/1/2007 11216354 2/28 6 ML 6ML 27.58 6/1/2007 11235829 2/28 6 ML 6ML 36.58 6/1/2007 11175041 2/28 6 ML 6ML 29.22 5/1/2007 11226095 30 YR FIXED FIX 36.35 00/00/0000 11211914 2/28 6 ML 6ML 29.85 6/1/2007 11202130 2/28 6 ML 6ML 43.4 5/1/2007 11224624 2/28 6 ML 6ML 30.07 6/1/2007 11121508 2/28 6 ML 6ML 42.11 1/1/2007 11163582 2/28 6 ML 6ML 32.33 4/1/2007 11191154 2/28 6 ML with 5 yr IO 6ML 42 6/1/2007 11172989 2/28 6 ML 6ML 33.66 5/1/2007 11223854 2/28 6 ML 6ML 34.41 6/1/2007 11215567 2/28 6 ML 30/40 BALLOON 6ML 47.4 6/1/2007 11190970 5/25 6 ML with 5 yr IO 6ML 36.85 5/1/2010 11212838 2/28 6 ML 30/40 BALLOON 6ML 43.34 6/1/2007 11192886 2/28 6 ML 30/40 BALLOON 6ML 16.56 6/1/2007 11218314 3/27 6 ML 6ML 51.45 6/1/2008 11225008 2/28 6 ML 30/40 BALLOON 6ML 45.24 6/1/2007 11177707 2/28 6 ML 6ML 42.33 5/1/2007 11228302 3/27 6 ML with 5 yr IO 6ML 30.99 6/1/2008 11221482 2/28 6 ML with 5 yr IO 6ML 42.25 6/1/2007 11217552 2/28 6 ML 6ML 47.37 6/1/2007 11212501 2/28 6 ML with 5 yr IO 6ML 56.58 6/1/2007 11200418 2/28 6 ML 30/40 BALLOON 6ML 38.23 6/1/2007 11185069 2/28 6 ML 6ML 43.16 6/1/2007 11174134 2/28 6 ML with 5 yr IO 6ML 49.66 4/1/2007 11215313 2/28 6 ML 30/40 BALLOON 6ML 44.86 6/1/2007 11214620 2/28 6 ML 6ML 25.78 6/1/2007 11222524 2/28 6 ML 6ML 42.83 6/1/2007 11211567 2/28 6 ML 6ML 43.81 6/1/2007 11175036 2/28 6 ML 6ML 50.48 6/1/2007 11166719 2/28 6 ML 30/40 BALLOON 6ML 52.76 5/1/2007 11190350 2/28 6 ML with 5 yr IO 6ML 29.7 5/1/2007 11190902 2/28 6 ML 30/40 BALLOON 6ML 39.19 5/1/2007 11214352 2/28 6 ML 6ML 33.22 6/1/2007 11194935 30 YR FIXED 30/40 BALLOON FIX 31.91 00/00/0000 11192798 2/28 6 ML 6ML 43.04 5/1/2007 11216355 2/28 6 ML 6ML 39.23 6/1/2007 11212177 30 YR FIXED FIX 26.58 00/00/0000 11205155 30 YR FIXED FIX 36.34 00/00/0000 11220774 5/25 6 ML 30/40 BALLOON 6ML 39.3 6/1/2010 11163096 2/28 6 ML 30/40 BALLOON 6ML 43.67 5/1/2007 11198425 30 YR FIXED FIX 37.67 00/00/0000 11173532 2/28 6 ML 6ML 35.85 6/1/2007 11163714 2/28 6 ML 6ML 38.48 4/1/2007 11198548 2/28 6 ML 30/40 BALLOON 6ML 48.11 5/1/2007 11208308 3/27 6 ML with 5 yr IO 6ML 44.63 6/1/2008 11225453 2/28 6 ML 6ML 49.16 6/1/2007 11202735 2/28 6 ML 6ML 46.33 6/1/2007 11177200 2/28 6 ML 6ML 39.16 4/1/2007 11149574 2/28 6 ML with 5 yr IO 6ML 43.18 3/1/2007 11214447 5/25 6 ML with 5 yr IO 6ML 37.83 6/1/2010 11224981 2/28 6 ML 6ML 24.31 6/1/2007 11197709 2/28 6 ML 6ML 42.72 6/1/2007 11150931 30 YR FIXED FIX 54.94 00/00/0000 11228953 2/28 6 ML 6ML 36 6/1/2007 11210379 2/28 6 ML with 5 yr IO 6ML 54.04 6/1/2007 11219546 2/28 6 ML with 5 yr IO 6ML 39.86 6/1/2007 11210190 2/28 6 ML 6ML 48.36 6/1/2007 11199767 2/28 6 ML 30/40 BALLOON 6ML 32.96 6/1/2007 11211932 30 YR FIXED FIX 47.96 00/00/0000 11225182 2/28 6 ML 6ML 48.37 6/1/2007 11193634 2/28 6 ML 6ML 43.25 6/1/2007 11208695 2/28 6 ML 30/40 BALLOON 6ML 44.38 6/1/2007 11217296 2/28 6 ML 30/40 BALLOON 6ML 44.59 6/1/2007 11186582 2/28 6 ML 6ML 49.11 5/1/2007 11193196 2/28 6 ML 6ML 39.84 5/1/2007 11202078 2/28 6 ML 6ML 38.86 6/1/2007 11204417 2/28 6 ML 6ML 43.84 6/1/2007 11219621 2/28 6 ML 30/40 BALLOON 6ML 46.81 6/1/2007 11182236 2/28 6 ML 6ML 49.95 5/1/2007 11186369 2/28 6 ML 6ML 44.75 5/1/2007 11227309 2/28 6 ML 6ML 50.67 6/1/2007 11206357 2/28 6 ML 30/40 BALLOON 6ML 47.46 6/1/2007 11179757 2/28 6 ML with 5 yr IO 6ML 33.32 6/1/2007 11216307 2/28 6 ML with 5 yr IO 6ML 44.59 6/1/2007 11209401 2/28 6 ML with 5 yr IO 6ML 54.99 6/1/2007 11210024 2/28 6 ML 30/40 BALLOON 6ML 22.88 6/1/2007 11210789 5/25 6 ML with 5 yr IO 6ML 47.28 6/1/2010 11213980 2/28 6 ML 6ML 53.82 6/1/2007 11210757 2/28 6 ML 6ML 53.14 6/1/2007 11230794 2/28 6 ML 6ML 39.82 6/1/2007 11204035 30 YR FIXED FIX 25.64 00/00/0000 11209819 2/28 6 ML 6ML 53.45 6/1/2007 11210590 30 YR FIXED FIX 27.57 00/00/0000 11221175 5/25 6 ML with 5 yr IO 6ML 34.91 6/1/2010 11209861 2/28 6 ML with 5 yr IO 6ML 20.91 6/1/2007 11190947 2/28 6 ML 6ML 49.09 5/1/2007 11220461 2/28 6 ML with 5 yr IO 6ML 46.53 6/1/2007 11216000 2/28 6 ML 6ML 48.67 6/1/2007 11194958 2/28 6 ML 6ML 34.79 5/1/2007 11223820 2/28 6 ML 6ML 45.33 6/1/2007 11202922 2/28 6 ML 30/40 BALLOON 6ML 38.67 6/1/2007 11219660 5/25 6 ML with 5 yr IO 6ML 38.24 6/1/2010 11220501 2/28 6 ML 6ML 22.49 6/1/2007 11185524 30 YR FIXED FIX 43.47 00/00/0000 11211214 2/28 6 ML 6ML 21.27 6/1/2007 11163247 2/28 6 ML with 5 yr IO 6ML 44.7 4/1/2007 11226828 2/28 6 ML 30/40 BALLOON 6ML 40.53 6/1/2007 11190642 2/28 6 ML 6ML 30.12 5/1/2007 11219852 2/28 6 ML 30/40 BALLOON 6ML 29.36 6/1/2007 11214764 2/28 6 ML 30/40 BALLOON 6ML 39.21 6/1/2007 11201072 2/28 6 ML 6ML 45.6 5/1/2007 11214821 5/25 6 ML 6ML 39.13 6/1/2010 11210525 2/28 6 ML with 10 yr IO 6ML 34.63 6/1/2007 11196870 30 YR FIXED FIX 54.88 00/00/0000 11211323 2/28 6 ML 6ML 48.98 6/1/2007 11203623 2/28 6 ML 6ML 54.27 5/1/2007 11200021 2/28 6 ML 6ML 43.67 5/1/2007 11230881 2/28 6 ML 6ML 46.77 6/1/2007 11217063 2/28 6 ML 6ML 37.74 6/1/2007 11209343 2/28 6 ML 6ML 47.63 6/1/2007 11190506 2/28 6 ML 6ML 49.53 6/1/2007 11211765 3/27 6 ML 6ML 45.93 6/1/2008 11229472 2/28 6 ML 30/40 BALLOON 6ML 44.12 6/1/2007 11211870 2/28 6 ML with 5 yr IO 6ML 48.29 6/1/2007 11225354 2/28 6 ML 30/40 BALLOON 6ML 44.57 6/1/2007 11228692 2/28 6 ML 30/40 BALLOON 6ML 40.55 6/1/2007 11228369 2/28 6 ML 6ML 51.64 5/1/2007 11198016 2/28 6 ML 6ML 50.84 6/1/2007 11189651 2/28 6 ML 6ML 48.32 5/1/2007 11210061 15 YR FIXED FIX 30.21 00/00/0000 11208955 2/28 6 ML 6ML 40.93 6/1/2007 11199228 30 YR FIXED 30/40 BALLOON FIX 27.01 00/00/0000 11212686 2/28 6 ML 30/40 BALLOON 6ML 32.79 6/1/2007 11217094 5/25 6 ML with 5 yr IO 6ML 34.71 6/1/2010 11214569 2/28 6 ML 6ML 43.08 6/1/2007 11205868 2/28 6 ML with 5 yr IO 6ML 26.01 6/1/2007 11233175 2/28 6 ML 6ML 29.39 6/1/2007 11179100 2/28 6 ML 6ML 55.43 6/1/2007 11210818 2/28 6 ML 30/40 BALLOON 6ML 49.89 6/1/2007 11202827 2/28 6 ML 6ML 50.29 6/1/2007 11214697 2/28 6 ML 6ML 36.05 6/1/2007 11176972 2/28 6 ML 6ML 45.13 5/1/2007 11184111 2/28 6 ML 6ML 31.76 4/1/2007 11216100 2/28 6 ML 6ML 34.56 6/1/2007 11210639 5/25 6 ML with 5 yr IO 6ML 23.7 6/1/2010 11210428 2/28 6 ML 6ML 47.22 6/1/2007 11220085 2/28 6 ML 6ML 48.57 6/1/2007 11198736 2/28 6 ML with 5 yr IO 6ML 44.97 5/1/2007 11178338 30 YR FIXED FIX 39.13 00/00/0000 11226371 2/28 6 ML 6ML 48.22 6/1/2007 11222181 2/28 6 ML 30/40 BALLOON 6ML 46.69 6/1/2007 11232012 2/28 6 ML 6ML 49.86 6/1/2007 11198592 2/28 6 ML with 5 yr IO 6ML 48.51 6/1/2007 11193679 2/28 6 ML 30/40 BALLOON 6ML 22.56 6/1/2007 11222398 2/28 6 ML 30/40 BALLOON 6ML 51.14 6/1/2007 11214427 2/28 6 ML with 5 yr IO 6ML 38.4 6/1/2007 11192739 2/28 6 ML 6ML 46.88 6/1/2007 11176865 2/28 6 ML 6ML 24.85 4/1/2007 11225277 2/28 6 ML with 5 yr IO 6ML 32.53 6/1/2007 11188891 30 YR FIXED FIX 27.77 00/00/0000 11200154 2/28 6 ML with 5 yr IO 6ML 44.82 6/1/2007 11203661 2/28 6 ML 6ML 44.72 6/1/2007 11205705 2/28 6 ML 6ML 16.64 6/1/2007 11198797 2/28 6 ML 6ML 43.05 5/1/2007 11166661 2/28 6 ML 6ML 19.01 6/1/2007 11207511 2/28 6 ML 6ML 54.81 6/1/2007 11228776 5/25 6 ML 6ML 45.52 6/1/2010 11214571 2/28 6 ML with 5 yr IO 6ML 43.58 6/1/2007 11205666 2/28 6 ML 6ML 47.17 6/1/2007 11173048 30 YR FIXED FIX 32.31 00/00/0000 11195582 2/28 6 ML 6ML 36.61 5/1/2007 11217093 2/28 6 ML 6ML 47.4 6/1/2007 11203380 2/28 6 ML 30/40 BALLOON 6ML 49.74 5/1/2007 11226602 2/28 6 ML 30/40 BALLOON 6ML 47.86 6/1/2007 11183535 2/28 6 ML with 5 yr IO 6ML 46.41 5/1/2007 11217710 2/28 6 ML with 5 yr IO 6ML 33 6/1/2007 11210146 2/28 6 ML 6ML 56.53 6/1/2007 11157603 2/28 6 ML with 5 yr IO 6ML 43.96 5/1/2007 11223858 2/28 6 ML with 5 yr IO 6ML 42.9 6/1/2007 11220363 2/28 6 ML 30/40 BALLOON 6ML 41.55 6/1/2007 11195486 2/28 6 ML 6ML 51.37 5/1/2007 11221749 2/28 6 ML with 5 yr IO 6ML 31 6/1/2007 11227714 2/28 6 ML 6ML 53.05 6/1/2007 11232820 2/28 6 ML 30/40 BALLOON 6ML 20.44 6/1/2007 11191490 2/28 6 ML 6ML 32.55 5/1/2007 11182257 2/28 6 ML 6ML 49.8 6/1/2007 11200307 3/27 6 ML 30/40 BALLOON 6ML 50.27 6/1/2008 11212052 2/28 6 ML 30/40 BALLOON 6ML 42.02 6/1/2007 11228798 2/28 6 ML with 5 yr IO 6ML 42.29 6/1/2007 11171134 2/28 6 ML 6ML 42.38 5/1/2007 11205325 5/25 6 ML with 5 yr IO 6ML 35.55 6/1/2010 11216532 2/28 6 ML with 5 yr IO 6ML 40.06 6/1/2007 11201248 2/28 6 ML 6ML 54.49 6/1/2007 11206875 2/28 6 ML 6ML 40.6 6/1/2007 11222460 2/28 6 ML with 5 yr IO 6ML 25.98 6/1/2007 11204709 2/28 6 ML 6ML 48.11 5/1/2007 11224196 30 YR FIXED FIX 44.63 00/00/0000 11212094 2/28 6 ML 6ML 49.98 6/1/2007 11230068 2/28 6 ML with 5 yr IO 6ML 40.78 6/1/2007 11161762 2/28 6 ML with 5 yr IO 6ML 22.47 4/1/2007 11231248 2/28 6 ML 6ML 42.7 6/1/2007 11196941 2/28 6 ML with 5 yr IO 6ML 50.46 6/1/2007 11194822 2/28 6 ML 6ML 41.58 5/1/2007 11191149 2/28 6 ML 6ML 51.26 6/1/2007 11204359 2/28 6 ML 30/40 BALLOON 6ML 50.77 6/1/2007 11193937 2/28 6 ML 30/40 BALLOON 6ML 25.82 5/1/2007 11222542 2/28 6 ML 6ML 48.1 6/1/2007 11194724 3/27 6 ML 30/40 BALLOON 6ML 41.57 5/1/2008 11190777 2/28 6 ML with 5 yr IO 6ML 44.33 5/1/2007 11218350 30 YR FIXED FIX 20.03 00/00/0000 11198209 30 YR FIXED FIX 47.6 00/00/0000 11223513 2/28 6 ML 30/40 BALLOON 6ML 42.9 6/1/2007 11191355 2/28 6 ML 6ML 45.98 6/1/2007 11187047 5/25 6 ML 30/40 BALLOON 6ML 41.56 6/1/2010 11195155 2/28 6 ML 6ML 35.43 6/1/2007 11197594 2/28 6 ML 6ML 47.77 5/1/2007 11203401 2/28 6 ML 6ML 38.55 6/1/2007 11215579 2/28 6 ML with 5 yr IO 6ML 43.52 6/1/2007 11222640 2/28 6 ML 6ML 48.87 6/1/2007 11221958 2/28 6 ML with 5 yr IO 6ML 35.97 6/1/2007 11224285 2/28 6 ML 6ML 47.06 6/1/2007 11176188 2/28 6 ML 6ML 45.65 6/1/2007 11173268 5/25 6 ML 6ML 39.94 5/1/2010 11199208 2/28 6 ML 6ML 41.03 5/1/2007 11199281 2/28 6 ML 6ML 41.08 6/1/2007 11200619 2/28 6 ML 6ML 47.32 6/1/2007 11197913 2/28 6 ML 30/40 BALLOON 6ML 47.64 6/1/2007 11213714 2/28 6 ML with 10 yr IO 6ML 25.46 6/1/2007 11201828 2/28 6 ML 6ML 47.24 6/1/2007 11217529 3/27 6 ML 6ML 29.36 6/1/2008 11214373 2/28 6 ML with 5 yr IO 6ML 49.18 6/1/2007 11229325 5/25 6 ML with 5 yr IO 6ML 50.21 6/1/2010 11228426 2/28 6 ML with 10 yr IO 6ML 49.72 6/1/2007 11225724 30 YR FIXED FIX 40.99 00/00/0000 11223331 2/28 6 ML 30/40 BALLOON 6ML 54.6 6/1/2007 11179423 2/28 6 ML 30/40 BALLOON 6ML 46.22 6/1/2007 11211993 2/28 6 ML 6ML 44.66 6/1/2007 11173407 30 YR FIXED FIX 26.95 00/00/0000 11200570 5/25 6 ML with 5 yr IO 6ML 21.01 6/1/2010 11203043 2/28 6 ML 6ML 41.42 6/1/2007 11207275 2/28 6 ML 6ML 50.01 6/1/2007 11193873 2/28 6 ML with 5 yr IO 6ML 43.14 5/1/2007 11214886 2/28 6 ML 30/40 BALLOON 6ML 45.82 6/1/2007 11210820 2/28 6 ML 6ML 40.31 6/1/2007 11196213 2/28 6 ML 6ML 52.83 6/1/2007 11220040 2/28 6 ML 30/40 BALLOON 6ML 47.6 6/1/2007 11182098 2/28 6 ML 6ML 53.62 6/1/2007 11205596 2/28 6 ML 6ML 38.15 5/1/2007 11200858 2/28 6 ML 6ML 54.4 5/1/2007 11207167 2/28 6 ML 30/40 BALLOON 6ML 34.3 6/1/2007 11204250 2/28 6 ML 6ML 48.74 6/1/2007 11218131 2/28 6 ML 6ML 49.1 6/1/2007 11166955 2/28 6 ML 6ML 44.9 5/1/2007 11212904 2/28 6 ML with 5 yr IO 6ML 27.43 6/1/2007 11203529 2/28 6 ML 6ML 35.62 5/1/2007 11207999 30 YR FIXED FIX 41.5 00/00/0000 11182004 2/28 6 ML 6ML 50.16 5/1/2007 11200932 2/28 6 ML 30/40 BALLOON 6ML 35.51 6/1/2007 11217246 2/28 6 ML 30/40 BALLOON 6ML 52.66 6/1/2007 11189955 2/28 6 ML 6ML 44.38 6/1/2007 11187013 2/28 6 ML 6ML 34.59 5/1/2007 11198342 2/28 6 ML 6ML 21.04 5/1/2007 11214278 2/28 6 ML 30/40 BALLOON 6ML 50.38 6/1/2007 11215623 2/28 6 ML 6ML 41.93 6/1/2007 11218203 2/28 6 ML 6ML 35.6 6/1/2007 11209339 2/28 6 ML 6ML 46.75 6/1/2007 11210394 2/28 6 ML 6ML 32.03 5/1/2007 11167827 2/28 6 ML with 5 yr IO 6ML 37.51 4/1/2007 11203447 30 YR FIXED FIX 46.38 00/00/0000 11216048 2/28 6 ML 30/40 BALLOON 6ML 38.5 6/1/2007 11216325 2/28 6 ML with 5 yr IO 6ML 33.14 6/1/2007 11220797 30 YR FIXED FIX 40 00/00/0000 11180420 2/28 6 ML 6ML 16.56 6/1/2007 11209253 30 YR FIXED FIX 43.91 00/00/0000 11168102 2/28 6 ML with 5 yr IO 6ML 47.08 5/1/2007 11166200 2/28 6 ML 6ML 52.85 4/1/2007 11172092 2/28 6 ML 6ML 48.03 4/1/2007 11193730 2/28 6 ML 6ML 50.47 6/1/2007 11206036 2/28 6 ML 6ML 41.79 6/1/2007 11201363 2/28 6 ML with 5 yr IO 6ML 26.44 6/1/2007 11206432 2/28 6 ML 6ML 18.82 6/1/2007 11221375 2/28 6 ML 6ML 44.54 6/1/2007 11209246 2/28 6 ML with 5 yr IO 6ML 40.26 6/1/2007 11201108 2/28 6 ML 30/40 BALLOON 6ML 43.47 6/1/2007 11199069 2/28 6 ML 6ML 50.26 5/1/2007 11204768 2/28 6 ML 6ML 42.59 6/1/2007 11216584 2/28 6 ML 6ML 54.09 5/1/2007 11212631 2/28 6 ML 6ML 49.87 6/1/2007 11232612 2/28 6 ML with 5 yr IO 6ML 52.89 6/1/2007 11189380 2/28 6 ML with 5 yr IO 6ML 22.36 5/1/2007 11206062 2/28 6 ML 6ML 40.33 6/1/2007 11186842 3/27 6 ML 6ML 45.13 6/1/2008 11213283 5/25 6 ML 6ML 19.41 6/1/2010 11210429 2/28 6 ML 6ML 41.14 6/1/2007 11212066 2/28 6 ML 6ML 37.03 6/1/2007 11180157 2/28 6 ML 6ML 47.66 5/1/2007 11201551 30 YR FIXED FIX 46.01 00/00/0000 11229491 2/28 6 ML 30/40 BALLOON 6ML 49.8 6/1/2007 11176429 30 YR FIXED FIX 38.69 00/00/0000 11201224 2/28 6 ML 6ML 48.73 6/1/2007 11169653 2/28 6 ML 6ML 5.8 4/1/2007 11183098 2/28 6 ML 6ML 44.2 5/1/2007 11187593 2/28 6 ML 30/40 BALLOON 6ML 34.4 6/1/2007 11202980 2/28 6 ML 30/40 BALLOON 6ML 47.53 5/1/2007 11186952 2/28 6 ML 6ML 47.88 6/1/2007 11191964 2/28 6 ML 30/40 BALLOON 6ML 43.74 5/1/2007 11198326 2/28 6 ML with 5 yr IO 6ML 41 5/1/2007 11205160 2/28 6 ML 6ML 47.66 5/1/2007 11205471 2/28 6 ML 6ML 40.94 5/1/2007 11211955 30 YR FIXED FIX 26.76 00/00/0000 11162584 2/28 6 ML 6ML 48.19 6/1/2007 11212499 2/28 6 ML with 5 yr IO 6ML 42.27 6/1/2007 11198033 2/28 6 ML 30/40 BALLOON 6ML 41.3 6/1/2007 11224270 2/28 6 ML 30/40 BALLOON 6ML 44.09 6/1/2007 11215968 30 YR FIXED 30/40 BALLOON FIX 44.29 00/00/0000 11212502 2/28 6 ML 6ML 37.26 6/1/2007 11210466 30 YR FIXED FIX 42.59 00/00/0000 11202168 2/28 6 ML 30/40 BALLOON 6ML 44.6 6/1/2007 11219028 2/28 6 ML 6ML 31.06 6/1/2007 11198993 30 YR FIXED FIX 40.5 00/00/0000 11213153 2/28 6 ML with 5 yr IO 6ML 39.29 6/1/2007 11179400 2/28 6 ML 6ML 44.12 5/1/2007 11210562 2/28 6 ML 30/40 BALLOON 6ML 49.8 6/1/2007 11201620 2/28 6 ML with 5 yr IO 6ML 27.68 5/1/2007 11203820 2/28 6 ML 30/40 BALLOON 6ML 52.18 6/1/2007 11219892 2/28 6 ML 6ML 43.27 6/1/2007 11202243 2/28 6 ML 6ML 48.1 6/1/2007 11193105 30 YR FIXED FIX 43.08 00/00/0000 11204662 2/28 6 ML 6ML 34.71 5/1/2007 11187920 2/28 6 ML 30/40 BALLOON 6ML 58.82 5/1/2007 11213645 5/25 6 ML with 5 yr IO 6ML 28.29 6/1/2010 11224239 2/28 6 ML 6ML 48.34 6/1/2007 11211639 2/28 6 ML 6ML 49.3 6/1/2007 11232655 2/28 6 ML 6ML 32.18 6/1/2007 11198147 2/28 6 ML 6ML 37.65 5/1/2007 11216983 30 YR FIXED FIX 35.4 00/00/0000 11211056 2/28 6 ML 6ML 49.88 5/1/2007 11217775 2/28 6 ML 6ML 41.58 6/1/2007 11206779 30 YR FIXED FIX 47.4 00/00/0000 11201805 30 YR FIXED 30/40 BALLOON FIX 45.81 00/00/0000 11208698 2/28 6 ML with 5 yr IO 6ML 34.04 6/1/2007 11201225 30 YR FIXED FIX 29.52 00/00/0000 11199983 2/28 6 ML 6ML 49.53 5/1/2007 11142827 2/28 6 ML 6ML 26.42 6/1/2007 11179741 30 YR FIXED FIX 45.12 00/00/0000 11222607 2/28 6 ML 6ML 34.14 5/1/2007 11186973 2/28 6 ML 6ML 41.3 5/1/2007 11172170 30 YR FIXED FIX 52.3 00/00/0000 11213913 2/28 6 ML 6ML 34.28 6/1/2007 11220862 2/28 6 ML 30/40 BALLOON 6ML 40.15 6/1/2007 11208204 2/28 6 ML 6ML 47.75 6/1/2007 11210471 30 YR FIXED 30/40 BALLOON FIX 44.24 00/00/0000 11213870 2/28 6 ML 6ML 45.12 6/1/2007 11216669 2/28 6 ML 30/40 BALLOON 6ML 49.42 6/1/2007 11209936 2/28 6 ML 6ML 39.38 6/1/2007 11175895 2/28 6 ML 6ML 45.82 6/1/2007 11186260 5/25 6 ML 30/40 BALLOON 6ML 51.46 6/1/2010 11197564 2/28 6 ML 6ML 37.37 6/1/2007 11211590 2/28 6 ML 6ML 45.4 6/1/2007 11193373 2/28 6 ML with 5 yr IO 6ML 48.4 5/1/2007 11165579 2/28 6 ML 6ML 56.95 4/1/2007 11200698 2/28 6 ML with 5 yr IO 6ML 45.23 6/1/2007 11193132 2/28 6 ML 6ML 30.29 6/1/2007 11229460 2/28 6 ML 6ML 42.76 6/1/2007 11203025 2/28 6 ML 30/40 BALLOON 6ML 42.58 5/1/2007 11222018 30 YR FIXED 30/40 BALLOON FIX 22.45 00/00/0000 11226892 2/28 6 ML 6ML 31.39 6/1/2007 11205645 2/28 6 ML 6ML 10.78 6/1/2007 11195320 2/28 6 ML 30/40 BALLOON 6ML 47.46 5/1/2007 11206389 2/28 6 ML 6ML 29.8 6/1/2007 11206900 2/28 6 ML 6ML 40.7 6/1/2007 11197587 2/28 6 ML 6ML 33.94 6/1/2007 11158318 2/28 6 ML 6ML 47.31 5/1/2007 11190118 5/25 6 ML with 5 yr IO 6ML 45.46 6/1/2010 11207804 2/28 6 ML 6ML 40.47 5/1/2007 11214023 15 YR FIXED FIX 53.69 00/00/0000 11222155 2/28 6 ML 6ML 37.5 6/1/2007 11225336 2/28 6 ML 30/40 BALLOON 6ML 31.69 6/1/2007 11223413 2/28 6 ML 6ML 28.03 6/1/2007 11195476 30 YR FIXED FIX 33.03 00/00/0000 11210360 2/28 6 ML 6ML 50.49 6/1/2007 11201113 2/28 6 ML 6ML 37.17 6/1/2007 11210889 30 YR FIXED FIX 40.96 00/00/0000 11191125 30 YR FIXED FIX 47.57 00/00/0000 11188240 30 YR FIXED FIX 31.25 00/00/0000 11227927 2/28 6 ML 6ML 50 6/1/2007 11139377 2/28 6 ML 30/40 BALLOON 6ML 37.54 4/1/2007 11208224 2/28 6 ML 6ML 49.93 6/1/2007 11191335 5/25 6 ML with 5 yr IO 6ML 16.77 5/1/2010 11209046 2/28 6 ML 6ML 20.62 6/1/2007 11200272 2/28 6 ML 6ML 46.1 6/1/2007 11190681 30 YR FIXED FIX 37.63 00/00/0000 11207197 2/28 6 ML 6ML 47.28 5/1/2007 11202436 2/28 6 ML with 5 yr IO 6ML 26.74 6/1/2007 11207564 2/28 6 ML 6ML 32.53 6/1/2007 11221717 2/28 6 ML 30/40 BALLOON 6ML 48.88 6/1/2007 11165776 30 YR FIXED FIX 46.07 00/00/0000 11202748 5/25 6 ML with 5 yr IO 6ML 47.33 5/1/2010 11226886 30 YR FIXED FIX 49.45 00/00/0000 11194353 5/25 6 ML 30/40 BALLOON 6ML 18.86 5/1/2010 11216093 2/28 6 ML 6ML 39.96 6/1/2007 11208940 2/28 6 ML with 5 yr IO 6ML 44.9 5/1/2007 11192129 2/28 6 ML 6ML 41.72 5/1/2007 11200504 2/28 6 ML 30/40 BALLOON 6ML 35.37 5/1/2007 11165076 2/28 6 ML 6ML 39.7 4/1/2007 11225921 2/28 6 ML with 5 yr IO 6ML 40.82 6/1/2007 11149373 2/28 6 ML 6ML 28.29 4/1/2007 11221680 30 YR FIXED FIX 42.28 00/00/0000 11203558 2/28 6 ML 30/40 BALLOON 6ML 46.62 6/1/2007 11193119 2/28 6 ML 30/40 BALLOON 6ML 37.19 5/1/2007 11205430 2/28 6 ML with 10 yr IO 6ML 40.76 6/1/2007 11219894 30 YR FIXED FIX 27.25 00/00/0000 11190945 2/28 6 ML 6ML 52.57 5/1/2007 11184330 2/28 6 ML 6ML 18.26 4/1/2007 11204253 30 YR FIXED FIX 53.14 00/00/0000 11216047 2/28 6 ML with 5 yr IO 6ML 28.32 6/1/2007 11194776 2/28 6 ML 6ML 42.87 6/1/2007 11220331 2/28 6 ML with 5 yr IO 6ML 41.69 6/1/2007 11229565 2/28 6 ML 6ML 42.74 6/1/2007 11220822 2/28 6 ML 30/40 BALLOON 6ML 48.55 6/1/2007 11215745 2/28 6 ML 30/40 BALLOON 6ML 39.77 6/1/2007 11195512 30 YR FIXED FIX 49.63 00/00/0000 11219488 2/28 6 ML with 5 yr IO 6ML 42.88 6/1/2007 11220356 2/28 6 ML 30/40 BALLOON 6ML 18.56 6/1/2007 11209097 2/28 6 ML 6ML 45.44 6/1/2007 11207158 15 YR FIXED FIX 38.13 00/00/0000 11213385 30 YR FIXED 30/40 BALLOON FIX 41.29 00/00/0000 11172740 2/28 6 ML 6ML 19.22 4/1/2007 11217055 30 YR FIXED FIX 43.15 00/00/0000 11212712 2/28 6 ML with 5 yr IO 6ML 34.27 6/1/2007 11200655 2/28 6 ML with 5 yr IO 6ML 40.69 6/1/2007 11186660 2/28 6 ML 6ML 43.56 5/1/2007 11217294 2/28 6 ML 30/40 BALLOON 6ML 37.57 6/1/2007 11184127 2/28 6 ML 6ML 51.88 5/1/2007 11188670 2/28 6 ML with 5 yr IO 6ML 40.57 6/1/2007 11199955 2/28 6 ML with 5 yr IO 6ML 38.66 5/1/2007 11202496 2/28 6 ML with 5 yr IO 6ML 51.1 6/1/2007 11225167 2/28 6 ML 30/40 BALLOON 6ML 36.84 6/1/2007 11205916 2/28 6 ML 6ML 53.5 5/1/2007 11203022 2/28 6 ML with 5 yr IO 6ML 43.64 5/1/2007 11210756 2/28 6 ML 30/40 BALLOON 6ML 40.61 6/1/2007 11195676 2/28 6 ML 6ML 29.73 6/1/2007 11216752 2/28 6 ML 6ML 34.52 6/1/2007 11205443 2/28 6 ML 6ML 53.04 6/1/2007 11215826 3/27 6 ML 6ML 57.26 6/1/2008 11212157 2/28 6 ML 6ML 35.85 6/1/2007 11199381 2/28 6 ML 30/40 BALLOON 6ML 41.12 5/1/2007 11221107 2/28 6 ML 30/40 BALLOON 6ML 47.93 6/1/2007 11194753 2/28 6 ML 6ML 48 5/1/2007 11209373 30 YR FIXED FIX 43.39 00/00/0000 11208823 2/28 6 ML 30/40 BALLOON 6ML 45.73 6/1/2007 11204897 2/28 6 ML 6ML 17.66 6/1/2007 11227912 2/28 6 ML 6ML 28.73 6/1/2007 11200465 2/28 6 ML 6ML 48.44 6/1/2007 11208347 2/28 6 ML 30/40 BALLOON 6ML 46.61 6/1/2007 11198000 2/28 6 ML 6ML 48.76 6/1/2007 11218379 2/28 6 ML 30/40 BALLOON 6ML 41.29 6/1/2007 11212797 30 YR FIXED FIX 47.29 00/00/0000 11216868 30 YR FIXED 30/40 BALLOON FIX 37.41 00/00/0000 11222247 2/28 6 ML 6ML 48.17 6/1/2007 11195707 30 YR FIXED FIX 53.2 00/00/0000 11194774 2/28 6 ML 6ML 48.92 5/1/2007 11203906 30 YR FIXED FIX 38 00/00/0000 11228988 5/25 6 ML 6ML 51.69 6/1/2010 11220287 30 YR FIXED 30/40 BALLOON FIX 52.76 00/00/0000 11182087 2/28 6 ML 6ML 43.55 5/1/2007 11203518 5/25 6 ML with 5 yr IO 6ML 44.9 5/1/2010 11181400 2/28 6 ML 30/40 BALLOON 6ML 40.31 5/1/2007 11196016 30 YR FIXED FIX 56.85 00/00/0000 11222860 30 YR FIXED 30/40 BALLOON FIX 33.02 00/00/0000 11203132 3/27 6 ML 6ML 47.28 6/1/2008 11184422 2/28 6 ML 30/40 BALLOON 6ML 49.77 5/1/2007 11203686 2/28 6 ML 6ML 40.77 5/1/2007 11228029 2/28 6 ML with 5 yr IO 6ML 44.35 6/1/2007 11178566 2/28 6 ML 6ML 34.76 5/1/2007 11230808 30 YR FIXED FIX 47.55 00/00/0000 11226074 2/28 6 ML 6ML 46.14 6/1/2007 11167776 2/28 6 ML with 5 yr IO 6ML 22.4 4/1/2007 11210762 5/25 6 ML 6ML 32.48 6/1/2010 11212822 2/28 6 ML 30/40 BALLOON 6ML 45.29 6/1/2007 11217405 2/28 6 ML 6ML 48.78 6/1/2007 11199006 2/28 6 ML 30/40 BALLOON 6ML 41.1 6/1/2007 11205913 2/28 6 ML 6ML 48.69 6/1/2007 11208228 2/28 6 ML 6ML 46.7 6/1/2007 11208464 2/28 6 ML 30/40 BALLOON 6ML 49.24 6/1/2007 11202701 30 YR FIXED FIX 48.22 00/00/0000 11198159 2/28 6 ML 6ML 48.58 6/1/2007 11196513 3/27 6 ML with 5 yr IO 6ML 41.07 5/1/2008 11198704 2/28 6 ML 6ML 52 5/1/2007 11219663 5/25 6 ML 6ML 46.79 6/1/2010 11192693 2/28 6 ML 6ML 33.54 6/1/2007 11225145 2/28 6 ML 6ML 46.94 6/1/2007 11206371 2/28 6 ML 30/40 BALLOON 6ML 38.69 5/1/2007 11202924 2/28 6 ML 6ML 46.3 6/1/2007 11221097 2/28 6 ML 30/40 BALLOON 6ML 37.13 6/1/2007 11207892 5/25 6 ML with 10 yr IO 6ML 42.76 6/1/2010 11233599 2/28 6 ML 30/40 BALLOON 6ML 48 6/1/2007 11195446 2/28 6 ML with 5 yr IO 6ML 5.25 6/1/2007 11174851 2/28 6 ML 6ML 37.56 6/1/2007 11210335 2/28 6 ML 30/40 BALLOON 6ML 44.21 6/1/2007 11191983 2/28 6 ML with 5 yr IO 6ML 44.2 5/1/2007 11233863 2/28 6 ML 30/40 BALLOON 6ML 54.26 6/1/2007 11196452 2/28 6 ML with 5 yr IO 6ML 25.46 6/1/2007 11182768 2/28 6 ML 6ML 49.33 5/1/2007 11180032 2/28 6 ML 30/40 BALLOON 6ML 49.55 5/1/2007 11229492 2/28 6 ML 6ML 54.07 6/1/2007 11159251 30 YR FIXED FIX 36.32 00/00/0000 11220967 30 YR FIXED FIX 49.98 00/00/0000 11188608 2/28 6 ML 6ML 47.13 4/1/2007 11220963 2/28 6 ML with 5 yr IO 6ML 27.74 6/1/2007 11217743 2/28 6 ML with 10 yr IO 6ML 33.3 6/1/2007 11205304 2/28 6 ML 30/40 BALLOON 6ML 38.02 6/1/2007 11230940 2/28 6 ML 30/40 BALLOON 6ML 46.64 6/1/2007 11203242 2/28 6 ML with 5 yr IO 6ML 44.62 6/1/2007 11208560 2/28 6 ML with 5 yr IO 6ML 27.02 6/1/2007 11200940 2/28 6 ML 6ML 26.97 6/1/2007 11216542 2/28 6 ML 6ML 36.02 6/1/2007 11188514 2/28 6 ML 6ML 15.35 6/1/2007 11225207 2/28 6 ML 30/40 BALLOON 6ML 39.74 6/1/2007 11151900 3/27 6 ML 6ML 44.91 4/1/2008 11209720 2/28 6 ML 30/40 BALLOON 6ML 41.57 6/1/2007 11188591 2/28 6 ML 6ML 47.56 5/1/2007 11215342 30 YR FIXED FIX 40.21 00/00/0000 11217739 2/28 6 ML with 5 yr IO 6ML 46.25 6/1/2007 11188049 2/28 6 ML 6ML 40.21 5/1/2007 11212063 2/28 6 ML with 5 yr IO 6ML 47.45 6/1/2007 11201839 2/28 6 ML 30/40 BALLOON 6ML 47.36 6/1/2007 11221104 2/28 6 ML 30/40 BALLOON 6ML 45.72 6/1/2007 11184264 2/28 6 ML with 5 yr IO 6ML 45.98 6/1/2007 11195212 2/28 6 ML 6ML 51.76 5/1/2007 11175834 2/28 6 ML 6ML 41.19 5/1/2007 11203865 5/25 6 ML with 5 yr IO 6ML 41.05 6/1/2010 11208343 2/28 6 ML with 5 yr IO 6ML 45 6/1/2007 11197017 30 YR FIXED 30/40 BALLOON FIX 29.06 00/00/0000 11168849 2/28 6 ML 30/40 BALLOON 6ML 54.89 5/1/2007 11179285 15 YR FIXED FIX 44.93 00/00/0000 11189257 2/28 6 ML 6ML 1.49 5/1/2007 11189336 5/25 6 ML with 5 yr IO 6ML 16.3 5/1/2010 11225176 2/28 6 ML 30/40 BALLOON 6ML 49.42 6/1/2007 11220010 2/28 6 ML 6ML 41.96 6/1/2007 11195688 2/28 6 ML 30/40 BALLOON 6ML 41.42 6/1/2007 11204648 2/28 6 ML 6ML 6.28 5/1/2007 11164175 2/28 6 ML with 5 yr IO 6ML 50.74 5/1/2007 11228337 2/28 6 ML with 5 yr IO 6ML 40.66 6/1/2007 11191117 2/28 6 ML 30/40 BALLOON 6ML 48.84 6/1/2007 11219303 2/28 6 ML 6ML 43.33 6/1/2007 11216025 2/28 6 ML 30/40 BALLOON 6ML 43.05 6/1/2007 11194102 30 YR FIXED FIX 35.66 00/00/0000 11222749 5/25 6 ML with 5 yr IO 6ML 47.62 6/1/2010 11209501 30 YR FIXED FIX 48.1 00/00/0000 11201083 2/28 6 ML with 5 yr IO 6ML 41.47 6/1/2007 11225276 2/28 6 ML 6ML 45.57 6/1/2007 11194782 2/28 6 ML 6ML 47.6 6/1/2007 11205835 2/28 6 ML with 5 yr IO 6ML 28.02 5/1/2007 11186216 2/28 6 ML 30/40 BALLOON 6ML 36.39 6/1/2007 11155595 2/28 6 ML 6ML 43.97 5/1/2007 11224580 2/28 6 ML 6ML 40.68 6/1/2007 11232762 30 YR FIXED 30/40 BALLOON FIX 41.66 00/00/0000 11178570 3/27 6 ML 6ML 38 5/1/2008 11171068 2/28 6 ML 6ML 36.55 4/1/2007 11187639 2/28 6 ML 6ML 36.38 6/1/2007 11217253 2/28 6 ML 6ML 52 6/1/2007 11220350 2/28 6 ML 6ML 30.91 6/1/2007 11210695 2/28 6 ML 30/40 BALLOON 6ML 17.03 6/1/2007 11169346 3/27 6 ML 6ML 49.7 5/1/2008 11221321 2/28 6 ML 6ML 54.62 6/1/2007 11165169 3/27 6 ML 6ML 42.72 6/1/2008 11192884 15 YR FIXED FIX 25.13 00/00/0000 11198323 30 YR FIXED 30/40 BALLOON FIX 41.66 00/00/0000 11208953 2/28 6 ML 6ML 48.41 6/1/2007 11203247 2/28 6 ML 6ML 52.31 6/1/2007 11199928 2/28 6 ML 6ML 38.22 6/1/2007 11203215 15 YR FIXED FIX 46.46 00/00/0000 11169420 2/28 6 ML 30/40 BALLOON 6ML 42.52 6/1/2007 11211787 3/27 6 ML 30/40 BALLOON 6ML 46.9 6/1/2008 11193008 2/28 6 ML with 5 yr IO 6ML 30.7 5/1/2007 11213582 2/28 6 ML 30/40 BALLOON 6ML 48.55 6/1/2007 11204387 2/28 6 ML with 5 yr IO 6ML 20.8 6/1/2007 11226253 2/28 6 ML 30/40 BALLOON 6ML 43.24 6/1/2007 11199492 2/28 6 ML 30/40 BALLOON 6ML 41.49 6/1/2007 11210849 2/28 6 ML 6ML 49.29 6/1/2007 11220033 2/28 6 ML 6ML 34.95 6/1/2007 11189558 15 YR FIXED FIX 32.36 00/00/0000 11205427 2/28 6 ML 6ML 49.23 6/1/2007 11224163 2/28 6 ML 6ML 48.19 6/1/2007 11202950 2/28 6 ML with 5 yr IO 6ML 37.07 6/1/2007 11227537 2/28 6 ML 30/40 BALLOON 6ML 46.12 6/1/2007 11160441 30 YR FIXED FIX 43.54 00/00/0000 11212198 2/28 6 ML 6ML 39.73 6/1/2007 11203136 2/28 6 ML 6ML 19.91 6/1/2007 11186143 2/28 6 ML 6ML 44.57 5/1/2007 11225342 2/28 6 ML 6ML 44.56 6/1/2007 11223524 2/28 6 ML 6ML 46.1 6/1/2007 11227472 2/28 6 ML 30/40 BALLOON 6ML 48.2 6/1/2007 11213719 2/28 6 ML 6ML 45.62 6/1/2007 11217975 2/28 6 ML with 5 yr IO 6ML 43.83 6/1/2007 11193661 2/28 6 ML with 5 yr IO 6ML 31.46 5/1/2007 11156412 2/28 6 ML 6ML 35.17 4/1/2007 11203656 2/28 6 ML 6ML 55.36 6/1/2007 11186533 2/28 6 ML 6ML 51.76 5/1/2007 11201106 2/28 6 ML 6ML 49.01 6/1/2007 11220619 2/28 6 ML 6ML 28.56 6/1/2007 11199718 30 YR FIXED FIX 37.52 00/00/0000 11201923 2/28 6 ML with 5 yr IO 6ML 38.39 6/1/2007 11178516 2/28 6 ML 30/40 BALLOON 6ML 48.09 4/1/2007 11207107 2/28 6 ML with 5 yr IO 6ML 26.11 5/1/2007 11159265 2/28 6 ML with 5 yr IO 6ML 13.97 4/1/2007 11212297 2/28 6 ML 6ML 50.12 6/1/2007 11198056 2/28 6 ML 30/40 BALLOON 6ML 40.6 5/1/2007 11221547 2/28 6 ML 6ML 49.07 6/1/2007 11223289 2/28 6 ML 30/40 BALLOON 6ML 49.99 6/1/2007 11178316 2/28 6 ML 6ML 32.94 5/1/2007 11229116 2/28 6 ML 6ML 31.86 6/1/2007 11194224 30 YR FIXED FIX 32.13 00/00/0000 11207508 2/28 6 ML 6ML 25.43 6/1/2007 11210054 2/28 6 ML 30/40 BALLOON 6ML 31.28 6/1/2007 11160331 2/28 6 ML with 5 yr IO 6ML 33.69 4/1/2007 11193671 2/28 6 ML 6ML 36.31 5/1/2007 11213471 2/28 6 ML 30/40 BALLOON 6ML 49.9 6/1/2007 11208884 2/28 6 ML 30/40 BALLOON 6ML 50.66 6/1/2007 11181979 2/28 6 ML 6ML 48.25 3/1/2007 11225121 2/28 6 ML 30/40 BALLOON 6ML 49.81 6/1/2007 11217409 2/28 6 ML with 5 yr IO 6ML 33.17 6/1/2007 11197905 2/28 6 ML 6ML 4.34 6/1/2007 11195982 2/28 6 ML with 5 yr IO 6ML 39.07 6/1/2007 11189961 2/28 6 ML 6ML 24.32 5/1/2007 11218930 2/28 6 ML 6ML 45.39 6/1/2007 11214756 5/25 6 ML 6ML 46.12 6/1/2010 11195847 2/28 6 ML 30/40 BALLOON 6ML 37.28 6/1/2007 11211675 2/28 6 ML 30/40 BALLOON 6ML 54.98 6/1/2007 11201029 2/28 6 ML 6ML 46.8 6/1/2007 11206637 3/27 6 ML 6ML 56.56 6/1/2008 11231562 2/28 6 ML 6ML 48.86 6/1/2007 11177909 2/28 6 ML 6ML 38.5 5/1/2007 11168747 2/28 6 ML 6ML 29.2 4/1/2007 11193363 2/28 6 ML 30/40 BALLOON 6ML 40.47 6/1/2007 11212306 3/27 6 ML 30/40 BALLOON 6ML 52.84 6/1/2008 11177593 2/28 6 ML 30/40 BALLOON 6ML 51.1 6/1/2007 11215634 2/28 6 ML 6ML 25.66 6/1/2007 11178387 2/28 6 ML 6ML 39.1 5/1/2007 11211942 2/28 6 ML 30/40 BALLOON 6ML 53.38 6/1/2007 11217209 2/28 6 ML 6ML 27.3 6/1/2007 11158111 2/28 6 ML 6ML 47.68 4/1/2007 11175086 2/28 6 ML 6ML 48.42 6/1/2007 11227745 2/28 6 ML 6ML 45.49 6/1/2007 11220841 2/28 6 ML 30/40 BALLOON 6ML 48.54 6/1/2007 11171249 2/28 6 ML with 5 yr IO 6ML 33.9 5/1/2007 11208376 2/28 6 ML 6ML 46.93 6/1/2007 11192074 30 YR FIXED FIX 47.77 00/00/0000 11222945 2/28 6 ML with 5 yr IO 6ML 36.06 6/1/2007 11112558 30 YR FIXED FIX 49.45 00/00/0000 11221399 2/28 6 ML 6ML 49.74 6/1/2007 11174707 2/28 6 ML 6ML 12.18 5/1/2007 11230546 2/28 6 ML 6ML 46.59 6/1/2007 11209987 2/28 6 ML 6ML 48.19 6/1/2007 11205074 2/28 6 ML with 5 yr IO 6ML 25.98 5/1/2007 11216277 5/25 6 ML 6ML 29.42 6/1/2010 11203926 3/27 6 ML 30/40 BALLOON 6ML 43.86 6/1/2008 11221943 30 YR FIXED FIX 46.48 00/00/0000 11213926 2/28 6 ML with 5 yr IO 6ML 42.9 6/1/2007 11188723 2/28 6 ML 6ML 43.45 5/1/2007 11208297 2/28 6 ML 6ML 54.03 6/1/2007 11204848 2/28 6 ML 6ML 38.18 4/1/2007 11184424 2/28 6 ML with 5 yr IO 6ML 41.23 5/1/2007 11164712 2/28 6 ML 6ML 34.81 6/1/2007 11181039 2/28 6 ML 6ML 56.6 5/1/2007 11226776 2/28 6 ML 6ML 29.32 6/1/2007 11190011 2/28 6 ML 6ML 10.18 5/1/2007 11209493 2/28 6 ML 6ML 48.36 6/1/2007 11213034 2/28 6 ML 6ML 42.34 6/1/2007 11195855 30 YR FIXED FIX 31.63 00/00/0000 11222000 30 YR FIXED FIX 46.42 00/00/0000 11210168 2/28 6 ML with 5 yr IO 6ML 47.46 6/1/2007 11206462 2/28 6 ML 6ML 49.42 6/1/2007 11212271 3/27 6 ML 6ML 49.47 6/1/2008 11179444 2/28 6 ML 6ML 49.27 4/1/2007 11193148 30 YR FIXED FIX 49.9 00/00/0000 11213987 2/28 6 ML 6ML 44.4 6/1/2007 11190703 30 YR FIXED FIX 41.09 00/00/0000 11211243 2/28 6 ML 30/40 BALLOON 6ML 36.57 6/1/2007 11200216 30 YR FIXED FIX 31.83 00/00/0000 11193361 2/28 6 ML 6ML 45.42 6/1/2007 11217489 2/28 6 ML 30/40 BALLOON 6ML 26.08 6/1/2007 11213370 2/28 6 ML 6ML 24.63 6/1/2007 11216029 2/28 6 ML 30/40 BALLOON 6ML 27.52 6/1/2007 11215461 2/28 6 ML 6ML 34.92 6/1/2007 11191569 2/28 6 ML 30/40 BALLOON 6ML 54.38 6/1/2007 11215050 2/28 6 ML 6ML 43.55 6/1/2007 11203573 2/28 6 ML with 10 yr IO 6ML 44.3 6/1/2007 11174209 30 YR FIXED FIX 46.13 00/00/0000 11215414 2/28 6 ML 6ML 37.87 6/1/2007 11207945 30 YR FIXED FIX 22.37 00/00/0000 11186342 30 YR FIXED FIX 46.85 00/00/0000 11194786 2/28 6 ML 6ML 34.99 5/1/2007 11180648 2/28 6 ML 6ML 53.18 6/1/2007 11213744 2/28 6 ML 30/40 BALLOON 6ML 32.27 6/1/2007 11173816 2/28 6 ML 6ML 51.25 5/1/2007 11215696 2/28 6 ML 30/40 BALLOON 6ML 50 6/1/2007 11199363 2/28 6 ML with 5 yr IO 6ML 42.8 6/1/2007 11192628 2/28 6 ML 6ML 36.97 6/1/2007 11198639 2/28 6 ML 30/40 BALLOON 6ML 44.62 5/1/2007 11181153 2/28 6 ML 6ML 48.13 5/1/2007 11175138 2/28 6 ML 6ML 10.7 5/1/2007 11204752 2/28 6 ML 6ML 43.54 6/1/2007 11214787 30 YR FIXED FIX 27.62 00/00/0000 11203664 2/28 6 ML 6ML 42.54 6/1/2007 11215224 2/28 6 ML 6ML 42.6 6/1/2007 11202503 2/28 6 ML 6ML 44.22 5/1/2007 11166010 2/28 6 ML 6ML 36.15 5/1/2007 11198017 2/28 6 ML 6ML 45.75 6/1/2007 11160565 2/28 6 ML with 5 yr IO 6ML 37.73 4/1/2007 11214336 2/28 6 ML with 10 yr IO 6ML 41.5 6/1/2007 11178725 2/28 6 ML 6ML 37.99 6/1/2007 11229641 2/28 6 ML with 5 yr IO 6ML 24.03 6/1/2007 11211320 2/28 6 ML with 5 yr IO 6ML 44.93 6/1/2007 11165065 15 YR FIXED FIX 47.3 00/00/0000 11217010 2/28 6 ML 30/40 BALLOON 6ML 44.01 6/1/2007 11191304 2/28 6 ML with 10 yr IO 6ML 26.77 6/1/2007 11151453 30 YR FIXED FIX 45.2 00/00/0000 11203857 2/28 6 ML with 5 yr IO 6ML 49.57 6/1/2007 11178111 2/28 6 ML 6ML 26.95 4/1/2007 11179566 2/28 6 ML with 5 yr IO 6ML 41.59 5/1/2007 11234538 2/28 6 ML with 5 yr IO 6ML 37.22 6/1/2007 11222521 2/28 6 ML with 5 yr IO 6ML 44.79 6/1/2007 11168774 2/28 6 ML 6ML 36.21 4/1/2007 11203630 15 YR FIXED FIX 45.46 00/00/0000 11156549 2/28 6 ML with 5 yr IO 6ML 11.54 4/1/2007 11164416 2/28 6 ML with 5 yr IO 6ML 37.36 6/1/2007 11197132 2/28 6 ML 6ML 52.4 6/1/2007 11207094 20 YR FIXED FIX 45.64 00/00/0000 11117371 3/27 6 ML 6ML 33.82 6/1/2008 11204299 30 YR FIXED FIX 45.01 00/00/0000 11192724 2/28 6 ML 6ML 38.37 6/1/2007 11162384 2/28 6 ML 6ML 49.04 4/1/2007 11221645 2/28 6 ML 6ML 38.72 6/1/2007 11204262 2/28 6 ML with 5 yr IO 6ML 25.3 6/1/2007 11213509 5/25 6 ML 6ML 42.09 6/1/2010 11202328 2/28 6 ML 6ML 54.1 5/1/2007 11205340 2/28 6 ML 30/40 BALLOON 6ML 49.47 6/1/2007 11228181 2/28 6 ML 6ML 32.63 6/1/2007 11194622 2/28 6 ML 6ML 41.58 6/1/2007 11214321 2/28 6 ML 6ML 55.58 6/1/2007 11201296 2/28 6 ML 6ML 53.15 6/1/2007 11180491 5/25 6 ML 6ML 35.05 5/1/2010 11227649 2/28 6 ML 6ML 24.39 6/1/2007 11216944 2/28 6 ML with 5 yr IO 6ML 41.39 6/1/2007 11220234 2/28 6 ML 6ML 46.48 6/1/2007 11210692 2/28 6 ML 30/40 BALLOON 6ML 46.52 6/1/2007 11215474 2/28 6 ML 6ML 16.56 6/1/2007 11157378 30 YR FIXED FIX 54.3 00/00/0000 11220252 30 YR FIXED FIX 47.22 00/00/0000 11183688 2/28 6 ML 6ML 49.16 6/1/2007 11200711 2/28 6 ML 6ML 46.09 6/1/2007 11208690 2/28 6 ML with 5 yr IO 6ML 48.61 6/1/2007 11201354 30 YR FIXED FIX 51.81 00/00/0000 11197973 2/28 6 ML 6ML 48.47 5/1/2007 11207560 30 YR FIXED 30/40 BALLOON FIX 42.69 00/00/0000 11201577 2/28 6 ML 6ML 32.79 5/1/2007 11174696 30 YR FIXED FIX 45.89 00/00/0000 11207029 2/28 6 ML 6ML 40.97 6/1/2007 11219533 2/28 6 ML 6ML 40.29 6/1/2007 11222296 2/28 6 ML 30/40 BALLOON 6ML 45.56 6/1/2007 11232327 2/28 6 ML with 5 yr IO 6ML 30.92 6/1/2007 11195426 2/28 6 ML 6ML 43.74 6/1/2007 11196625 2/28 6 ML 6ML 40.13 5/1/2007 11202144 2/28 6 ML 6ML 29.31 6/1/2007 11203541 2/28 6 ML 6ML 30.66 5/1/2007 11222461 2/28 6 ML 6ML 49.87 6/1/2007 11217619 2/28 6 ML 6ML 40.13 6/1/2007 11218825 2/28 6 ML 6ML 36.45 6/1/2007 11232366 2/28 6 ML with 5 yr IO 6ML 22.68 6/1/2007 11217637 2/28 6 ML 6ML 49.59 6/1/2007 11206883 2/28 6 ML with 5 yr IO 6ML 29.31 5/1/2007 11208337 2/28 6 ML 30/40 BALLOON 6ML 48.45 6/1/2007 11212022 20 YR FIXED FIX 47.22 00/00/0000 11192178 2/28 6 ML 6ML 28.42 5/1/2007 11208742 2/28 6 ML with 5 yr IO 6ML 37.1 5/1/2007 11177009 2/28 6 ML 6ML 26.36 5/1/2007 11211968 5/25 6 ML with 5 yr IO 6ML 33.6 6/1/2010 11213393 2/28 6 ML 6ML 46.45 6/1/2007 11214141 2/28 6 ML 6ML 46.04 6/1/2007 11214644 2/28 6 ML 30/40 BALLOON 6ML 34.11 6/1/2007 11213644 2/28 6 ML 6ML 49.2 6/1/2007 11196437 2/28 6 ML with 5 yr IO 6ML 19.31 5/1/2007 11217836 2/28 6 ML with 5 yr IO 6ML 30.88 6/1/2007 11197831 2/28 6 ML with 5 yr IO 6ML 32.97 6/1/2007 11059190 30 YR FIXED FIX 51.04 00/00/0000 11216709 2/28 6 ML with 5 yr IO 6ML 48.77 6/1/2007 11223101 2/28 6 ML 6ML 40.3 6/1/2007 11175166 2/28 6 ML 6ML 47.91 5/1/2007 11219213 2/28 6 ML 30/40 BALLOON 6ML 46.56 6/1/2007 11220182 2/28 6 ML 30/40 BALLOON 6ML 24.29 6/1/2007 11205819 2/28 6 ML 30/40 BALLOON 6ML 32.92 5/1/2007 11209835 2/28 6 ML 6ML 54.08 6/1/2007 11214033 2/28 6 ML with 5 yr IO 6ML 35.19 6/1/2007 11194925 5/25 6 ML with 5 yr IO 6ML 47.19 6/1/2010 11196990 2/28 6 ML 30/40 BALLOON 6ML 49.17 6/1/2007 11176855 2/28 6 ML with 5 yr IO 6ML 44.51 6/1/2007 11222450 2/28 6 ML 6ML 39.84 6/1/2007 11213457 2/28 6 ML 6ML 10.32 6/1/2007 11175405 2/28 6 ML 6ML 48.24 4/1/2007 11214345 2/28 6 ML 30/40 BALLOON 6ML 54.49 6/1/2007 11210616 2/28 6 ML with 5 yr IO 6ML 45.01 6/1/2007 11213780 15 YR FIXED FIX 47.94 00/00/0000 11210618 30 YR FIXED 30/40 BALLOON FIX 28.45 00/00/0000 11191208 2/28 6 ML 6ML 50.61 6/1/2007 11199279 30 YR FIXED FIX 52.82 00/00/0000 11207126 30 YR FIXED FIX 54.28 00/00/0000 11210667 2/28 6 ML 6ML 42.99 6/1/2007 11184760 2/28 6 ML 6ML 55.43 5/1/2007 11203718 2/28 6 ML 30/40 BALLOON 6ML 46.58 6/1/2007 11222242 2/28 6 ML 6ML 35.41 6/1/2007 11211111 2/28 6 ML 30/40 BALLOON 6ML 22.93 6/1/2007 11226752 2/28 6 ML 6ML 37.73 6/1/2007 11201863 2/28 6 ML 6ML 41.28 6/1/2007 11230108 2/28 6 ML 30/40 BALLOON 6ML 39.61 6/1/2007 11216314 2/28 6 ML 30/40 BALLOON 6ML 31.79 6/1/2007 11205652 2/28 6 ML 6ML 45.53 5/1/2007 11168761 2/28 6 ML 30/40 BALLOON 6ML 28.01 5/1/2007 11217884 2/28 6 ML with 5 yr IO 6ML 46.86 6/1/2007 11193842 30 YR FIXED FIX 39.32 00/00/0000 11213271 2/28 6 ML 30/40 BALLOON 6ML 27.85 6/1/2007 11231418 2/28 6 ML 6ML 46.25 6/1/2007 11186921 2/28 6 ML 6ML 17.52 6/1/2007 11157449 3/27 6 ML 6ML 40.68 5/1/2008 11216731 2/28 6 ML 30/40 BALLOON 6ML 36.54 6/1/2007 11198160 2/28 6 ML 6ML 48.23 6/1/2007 11231334 2/28 6 ML 30/40 BALLOON 6ML 49.9 6/1/2007 11220169 2/28 6 ML 30/40 BALLOON 6ML 25.52 6/1/2007 11197761 2/28 6 ML 6ML 49.8 5/1/2007 11183250 2/28 6 ML 6ML 48.17 5/1/2007 11193669 2/28 6 ML with 5 yr IO 6ML 43.76 6/1/2007 11217245 2/28 6 ML 30/40 BALLOON 6ML 42.14 6/1/2007 11196824 2/28 6 ML with 5 yr IO 6ML 42.4 6/1/2007 11107986 30 YR FIXED FIX 48.61 00/00/0000 11197130 2/28 6 ML 6ML 11.89 5/1/2007 11196827 2/28 6 ML 6ML 31.48 6/1/2007 11210686 2/28 6 ML 6ML 46.39 6/1/2007 11188227 15 YR FIXED FIX 45.29 00/00/0000 11217705 2/28 6 ML 6ML 42.86 6/1/2007 11207028 2/28 6 ML 6ML 49.85 5/1/2007 11216592 2/28 6 ML with 5 yr IO 6ML 35.3 6/1/2007 11230682 2/28 6 ML 30/40 BALLOON 6ML 42.43 6/1/2007 11216688 2/28 6 ML 6ML 33.06 6/1/2007 11223129 2/28 6 ML 6ML 44.82 6/1/2007 11183964 2/28 6 ML 6ML 42.11 5/1/2007 11179503 2/28 6 ML 6ML 48.72 5/1/2007 11210520 2/28 6 ML 30/40 BALLOON 6ML 36.32 6/1/2007 11175424 2/28 6 ML with 5 yr IO 6ML 42.25 4/1/2007 11203076 2/28 6 ML with 5 yr IO 6ML 43.12 6/1/2007 11213680 2/28 6 ML 6ML 43.71 6/1/2007 11200070 2/28 6 ML with 5 yr IO 6ML 49.26 6/1/2007 11211894 2/28 6 ML 6ML 51.86 6/1/2007 11222370 30 YR FIXED FIX 46.18 00/00/0000 11212725 2/28 6 ML 6ML 37.84 6/1/2007 11175513 2/28 6 ML 6ML 49.83 5/1/2007 11211882 30 YR FIXED FIX 41.52 00/00/0000 11196499 2/28 6 ML with 5 yr IO 6ML 28.93 5/1/2007 11218680 5/25 6 ML 6ML 38.75 6/1/2010 11198051 2/28 6 ML 30/40 BALLOON 6ML 32.11 5/1/2007 11155169 2/28 6 ML 6ML 27.34 4/1/2007 11205171 2/28 6 ML 6ML 49.93 5/1/2007 11215854 2/28 6 ML 30/40 BALLOON 6ML 49.01 6/1/2007 11221632 2/28 6 ML 6ML 26.39 6/1/2007 11179610 2/28 6 ML 6ML 25.04 6/1/2007 11178481 2/28 6 ML 6ML 34.39 6/1/2007 11210080 2/28 6 ML 6ML 40.24 6/1/2007 11212516 2/28 6 ML 30/40 BALLOON 6ML 48.83 6/1/2007 11218672 2/28 6 ML 30/40 BALLOON 6ML 36.66 6/1/2007 11218185 2/28 6 ML with 5 yr IO 6ML 36.46 6/1/2007 11221929 2/28 6 ML 6ML 45.01 6/1/2007 11218113 2/28 6 ML 30/40 BALLOON 6ML 35.28 6/1/2007 11209944 30 YR FIXED FIX 32.66 00/00/0000 11210261 2/28 6 ML 6ML 42.08 6/1/2007 11189694 2/28 6 ML 6ML 46.71 5/1/2007 11204923 2/28 6 ML with 5 yr IO 6ML 42.25 6/1/2007 11207260 2/28 6 ML 30/40 BALLOON 6ML 45.79 6/1/2007 11192800 30 YR FIXED FIX 39.22 00/00/0000 11211355 2/28 6 ML with 5 yr IO 6ML 44.12 6/1/2007 11207189 5/25 6 ML with 5 yr IO 6ML 20.57 6/1/2010 11220080 2/28 6 ML 6ML 34.34 6/1/2007 11217338 2/28 6 ML with 5 yr IO 6ML 43.02 6/1/2007 11214386 30 YR FIXED FIX 39.04 00/00/0000 11163598 2/28 6 ML 6ML 52.85 4/1/2007 11230553 2/28 6 ML 6ML 37.9 6/1/2007 11217776 3/27 6 ML 6ML 42.42 6/1/2008 11213595 2/28 6 ML 30/40 BALLOON 6ML 35.89 6/1/2007 11194213 3/27 6 ML with 5 yr IO 6ML 34.21 6/1/2008 11220565 2/28 6 ML 6ML 49.45 6/1/2007 11217309 2/28 6 ML 6ML 41.18 6/1/2007 11140686 2/28 6 ML 6ML 27.34 3/1/2007 11199815 5/25 6 ML with 5 yr IO 6ML 22.09 6/1/2010 11231783 2/28 6 ML 6ML 38.46 6/1/2007 11194873 2/28 6 ML 6ML 37.27 6/1/2007 11181762 2/28 6 ML 6ML 32.71 6/1/2007 11187599 2/28 6 ML 6ML 29.47 5/1/2007 11220502 2/28 6 ML with 5 yr IO 6ML 52.43 6/1/2007 11176174 2/28 6 ML with 5 yr IO 6ML 56.91 5/1/2007 11196292 5/25 6 ML with 5 yr IO 6ML 37.03 6/1/2010 11205024 2/28 6 ML 30/40 BALLOON 6ML 39.26 6/1/2007 11198410 2/28 6 ML 6ML 35.4 6/1/2007 11211520 2/28 6 ML 6ML 46.61 6/1/2007 11206982 30 YR FIXED FIX 43.17 00/00/0000 11191687 2/28 6 ML with 5 yr IO 6ML 38.51 5/1/2007 11223703 2/28 6 ML 6ML 42.9 6/1/2007 11208997 2/28 6 ML 6ML 47.06 6/1/2007 11203690 2/28 6 ML 30/40 BALLOON 6ML 36.51 6/1/2007 11187055 2/28 6 ML 6ML 34.96 6/1/2007 11212854 2/28 6 ML with 5 yr IO 6ML 38.17 6/1/2007 11210431 30 YR FIXED FIX 50.62 00/00/0000 11203423 2/28 6 ML 6ML 40.94 6/1/2007 11219647 2/28 6 ML 6ML 33.58 6/1/2007 11227378 2/28 6 ML with 5 yr IO 6ML 47.44 6/1/2007 11221002 2/28 6 ML 30/40 BALLOON 6ML 51.15 6/1/2007 11192892 2/28 6 ML with 5 yr IO 6ML 49.97 5/1/2007 11206837 2/28 6 ML with 5 yr IO 6ML 45.73 5/1/2007 11211277 2/28 6 ML with 10 yr IO 6ML 47.28 6/1/2007 11214964 2/28 6 ML 6ML 30.21 6/1/2007 11190459 2/28 6 ML with 5 yr IO 6ML 25.09 5/1/2007 11219103 2/28 6 ML 6ML 48.04 6/1/2007 11197418 2/28 6 ML 6ML 41.47 6/1/2007 11212289 30 YR FIXED FIX 38.47 00/00/0000 11212155 2/28 6 ML with 5 yr IO 6ML 47.53 6/1/2007 11228243 2/28 6 ML 6ML 36.23 6/1/2007 11214901 30 YR FIXED FIX 34.73 00/00/0000 11210067 2/28 6 ML 6ML 20.75 6/1/2007 11214015 30 YR FIXED FIX 37.32 00/00/0000 11204959 2/28 6 ML 30/40 BALLOON 6ML 38.2 6/1/2007 11179407 2/28 6 ML 6ML 50 6/1/2007 11204499 30 YR FIXED FIX 35.74 00/00/0000 11196043 2/28 6 ML 6ML 50.26 5/1/2007 11217918 2/28 6 ML 30/40 BALLOON 6ML 40.36 6/1/2007 11212862 2/28 6 ML with 5 yr IO 6ML 44.78 6/1/2007 11208494 2/28 6 ML 6ML 38.24 6/1/2007 11178707 2/28 6 ML 30/40 BALLOON 6ML 30.02 5/1/2007 11230114 2/28 6 ML 6ML 50.26 6/1/2007 11226551 2/28 6 ML 6ML 28.5 6/1/2007 11225211 2/28 6 ML 30/40 BALLOON 6ML 47.38 6/1/2007 11201900 2/28 6 ML with 5 yr IO 6ML 47.02 6/1/2007 11199253 2/28 6 ML 30/40 BALLOON 6ML 42.69 5/1/2007 11204208 2/28 6 ML 6ML 43.44 6/1/2007 11197561 0.5/29.5 6 ML 6ML 17.14 12/1/2005 11214119 2/28 6 ML 30/40 BALLOON 6ML 43.58 6/1/2007 11184850 2/28 6 ML 6ML 57.37 5/1/2007 11198798 5/25 6 ML 6ML 47.28 6/1/2010 11171348 2/28 6 ML 6ML 31.74 6/1/2007 11202895 30 YR FIXED FIX 39.53 00/00/0000 11179638 2/28 6 ML 6ML 42.67 6/1/2007 11217814 2/28 6 ML 6ML 41.39 6/1/2007 11186588 2/28 6 ML 30/40 BALLOON 6ML 40.67 5/1/2007 11208145 30 YR FIXED FIX 53.46 00/00/0000 11220669 2/28 6 ML 6ML 26.47 6/1/2007 11176110 2/28 6 ML 30/40 BALLOON 6ML 33.03 5/1/2007 11182064 2/28 6 ML 6ML 41.9 5/1/2007 11200183 2/28 6 ML 6ML 45.48 5/1/2007 11233315 2/28 6 ML with 10 yr IO 6ML 42.27 6/1/2007 11216179 3/27 6 ML 30/40 BALLOON 6ML 38.26 6/1/2008 11216279 2/28 6 ML 6ML 40.3 6/1/2007 11215044 2/28 6 ML 30/40 BALLOON 6ML 39.05 6/1/2007 11201600 2/28 6 ML 6ML 36.25 6/1/2007 11195276 30 YR FIXED FIX 52.18 00/00/0000 11221084 2/28 6 ML 30/40 BALLOON 6ML 30.01 6/1/2007 11215791 2/28 6 ML 30/40 BALLOON 6ML 41.59 6/1/2007 11198694 2/28 6 ML 6ML 46.75 6/1/2007 11189654 2/28 6 ML 6ML 52.97 5/1/2007 11183650 2/28 6 ML 6ML 46.58 5/1/2007 11208286 30 YR FIXED FIX 35.25 00/00/0000 11225278 2/28 6 ML 6ML 23 6/1/2007 11213142 3/27 6 ML with 10 yr IO 6ML 47.67 6/1/2008 11218956 2/28 6 ML 30/40 BALLOON 6ML 42.85 6/1/2007 11224938 2/28 6 ML with 5 yr IO 6ML 49.93 6/1/2007 11211897 2/28 6 ML 6ML 40.89 6/1/2007 11223286 30 YR FIXED FIX 28.39 00/00/0000 11192017 2/28 6 ML with 5 yr IO 6ML 39.53 5/1/2007 11190980 5/25 6 ML with 5 yr IO 6ML 26 5/1/2010 11228890 2/28 6 ML 6ML 23.93 6/1/2007 11165861 30 YR FIXED FIX 29.14 00/00/0000 11145719 2/28 6 ML with 5 yr IO 6ML 35.74 4/1/2007 11202687 2/28 6 ML with 5 yr IO 6ML 41.31 6/1/2007 11216426 2/28 6 ML 30/40 BALLOON 6ML 40.16 6/1/2007 11203849 2/28 6 ML with 5 yr IO 6ML 36.16 5/1/2007 11200027 2/28 6 ML with 5 yr IO 6ML 37.78 5/1/2007 11228353 2/28 6 ML 6ML 42.82 6/1/2007 11207030 2/28 6 ML 30/40 BALLOON 6ML 43.35 6/1/2007 11229361 15 YR FIXED FIX 22.28 00/00/0000 11214466 2/28 6 ML with 5 yr IO 6ML 38.25 6/1/2007 11183506 2/28 6 ML with 5 yr IO 6ML 33.25 5/1/2007 11206715 2/28 6 ML 6ML 46.49 6/1/2007 11212833 2/28 6 ML with 5 yr IO 6ML 44.29 6/1/2007 11172981 2/28 6 ML with 5 yr IO 6ML 38.48 4/1/2007 11157508 2/28 6 ML 6ML 42.85 5/1/2007 11196375 2/28 6 ML with 5 yr IO 6ML 44.89 5/1/2007 11201468 5/25 6 ML with 5 yr IO 6ML 43.01 5/1/2010 11185419 2/28 6 ML 6ML 45.69 6/1/2007 11222059 2/28 6 ML 6ML 38.78 6/1/2007 11168687 2/28 6 ML 6ML 36.66 4/1/2007 11210501 2/28 6 ML 6ML 45 6/1/2007 11210536 2/28 6 ML 6ML 46.25 6/1/2007 11196641 2/28 6 ML with 5 yr IO 6ML 44.21 5/1/2007 11205344 30 YR FIXED FIX 49.75 00/00/0000 11193374 2/28 6 ML with 5 yr IO 6ML 49.1 5/1/2007 11193439 2/28 6 ML 6ML 39.39 6/1/2007 11224250 2/28 6 ML 30/40 BALLOON 6ML 37.61 6/1/2007 11218585 2/28 6 ML 30/40 BALLOON 6ML 36.5 6/1/2007 11213126 2/28 6 ML 30/40 BALLOON 6ML 41.53 6/1/2007 11153929 15/30 BALLOON FIX 27.64 00/00/0000 11163599 15/30 BALLOON FIX 52.85 00/00/0000 11151901 15/30 BALLOON FIX 46.6 00/00/0000 11169661 15/30 BALLOON FIX 5.8 00/00/0000 11163868 15/30 BALLOON FIX 49.04 00/00/0000 11154931 15/30 BALLOON FIX 49.22 00/00/0000 11179504 15/30 BALLOON FIX 48.72 00/00/0000 11146188 15/30 BALLOON FIX 42.01 00/00/0000 11181194 15/30 BALLOON FIX 54.25 00/00/0000 11145565 15/30 BALLOON FIX 51.08 00/00/0000 11178059 15/30 BALLOON FIX 46.04 00/00/0000 11179567 15/30 BALLOON FIX 41.59 00/00/0000 11159266 15/30 BALLOON FIX 13.97 00/00/0000 11165489 15/30 BALLOON FIX 39.7 00/00/0000 11177199 15/30 BALLOON FIX 41.38 00/00/0000 11178967 15/30 BALLOON FIX 42.8 00/00/0000 11173471 15/30 BALLOON FIX 42.38 00/00/0000 11189890 15/30 BALLOON FIX 52.84 00/00/0000 11152522 15/30 BALLOON FIX 50.98 00/00/0000 11182561 15/30 BALLOON FIX 19.89 00/00/0000 11155611 15/30 BALLOON FIX 31.81 00/00/0000 11195879 15/30 BALLOON FIX 33.11 00/00/0000 11182551 15/30 BALLOON FIX 45.13 00/00/0000 11195277 15/30 BALLOON FIX 52.18 00/00/0000 11185463 15/30 BALLOON FIX 30.58 00/00/0000 11181047 15/30 BALLOON FIX 56.6 00/00/0000 11190290 15/30 BALLOON FIX 48.51 00/00/0000 11200926 15/30 BALLOON FIX 42.35 00/00/0000 11195398 15/30 BALLOON FIX 49.39 00/00/0000 11192714 15/30 BALLOON FIX 36.12 00/00/0000 11191232 15/30 BALLOON FIX 16.19 00/00/0000 11178603 15/30 BALLOON FIX 46.84 00/00/0000 11158319 15/30 BALLOON FIX 46.93 00/00/0000 11186263 15/30 BALLOON FIX 49.78 00/00/0000 11178940 15/30 BALLOON FIX 40.77 00/00/0000 11205428 15/30 BALLOON FIX 40.76 00/00/0000 11179101 15/30 BALLOON FIX 55.43 00/00/0000 11206596 15/30 BALLOON FIX 36.63 00/00/0000 11214350 15/30 BALLOON FIX 41.5 00/00/0000 11221383 15/30 BALLOON FIX 43.24 00/00/0000 11207946 15/30 BALLOON FIX 22.37 00/00/0000 11221992 15/30 BALLOON FIX 47.35 00/00/0000 11215761 15/30 BALLOON FIX 42.2 00/00/0000 11195546 15/30 BALLOON FIX 36.61 00/00/0000 11203292 15/30 BALLOON FIX 43.05 00/00/0000 11217651 15/30 BALLOON FIX 44.98 00/00/0000 11205917 15/30 BALLOON FIX 53.5 00/00/0000 11216058 15/30 BALLOON FIX 41.2 00/00/0000 11217359 15/30 BALLOON FIX 41.77 00/00/0000 11193605 15/30 BALLOON FIX 48.32 00/00/0000 11216840 15/30 BALLOON FIX 45.54 00/00/0000 11214647 15/30 BALLOON FIX 34.11 00/00/0000 11213615 15/30 BALLOON FIX 37.05 00/00/0000 11228799 15/30 BALLOON FIX 43.41 00/00/0000 11206042 15/30 BALLOON FIX 41.07 00/00/0000 11210918 15/30 BALLOON FIX 26.16 00/00/0000 11196554 15/30 BALLOON FIX 39.16 00/00/0000 11232763 15/30 BALLOON FIX 41.66 00/00/0000 11193806 15/30 BALLOON FIX 43.98 00/00/0000 11198735 15/30 BALLOON FIX 44.97 00/00/0000 11187273 15/30 BALLOON FIX 36.96 00/00/0000 11205392 15/30 BALLOON FIX 34.24 00/00/0000 11199670 15/30 BALLOON FIX 53 00/00/0000 11222522 15/30 BALLOON FIX 44.79 00/00/0000 11202499 15/30 BALLOON FIX 51.1 00/00/0000 11218489 15/30 BALLOON FIX 49.74 00/00/0000 11214381 15/30 BALLOON FIX 49.18 00/00/0000 11211284 15/30 BALLOON FIX 47.28 00/00/0000 11219098 15/30 BALLOON FIX 47.07 00/00/0000 11221936 15/30 BALLOON FIX 45.03 00/00/0000 11210461 15/30 BALLOON FIX 46.39 00/00/0000 11212520 15/30 BALLOON FIX 25.18 00/00/0000 11181578 15/30 BALLOON FIX 44.73 00/00/0000 11230397 15/30 BALLOON FIX 46.55 00/00/0000 11224740 15/30 BALLOON FIX 47.82 00/00/0000 11213458 15/30 BALLOON FIX 10.32 00/00/0000 11195754 15/30 BALLOON FIX 45.38 00/00/0000 11161770 15/30 BALLOON FIX 37.73 00/00/0000 11195488 15 YR FIXED FIX 39.08 00/00/0000 11193752 15/30 BALLOON FIX 37.18 00/00/0000 11218196 15/30 BALLOON FIX 36.46 00/00/0000 11187519 15/30 BALLOON FIX 48.36 00/00/0000 11194333 15/30 BALLOON FIX 50.82 00/00/0000 11220235 15/30 BALLOON FIX 46.48 00/00/0000 11201082 15/30 BALLOON FIX 41.47 00/00/0000 11169429 15/30 BALLOON FIX 42.52 00/00/0000 11228339 15/30 BALLOON FIX 40.66 00/00/0000 11213717 15/30 BALLOON FIX 27.24 00/00/0000 11224794 15/30 BALLOON FIX 38.76 00/00/0000 11194216 15/30 BALLOON FIX 34.21 00/00/0000 11219855 15/30 BALLOON FIX 29.36 00/00/0000 11221545 15/30 BALLOON FIX 42.27 00/00/0000 11228299 15/30 BALLOON FIX 46.02 00/00/0000 11225727 15/30 BALLOON FIX 29.34 00/00/0000 11219834 15/30 BALLOON FIX 42.72 00/00/0000 11204211 15/30 BALLOON FIX 43.44 00/00/0000 11197755 15/30 BALLOON FIX 49.8 00/00/0000 11232830 15/30 BALLOON FIX 20.44 00/00/0000 11208450 15/30 BALLOON FIX 40.75 00/00/0000 11211174 15/30 BALLOON FIX 48.44 00/00/0000 11220081 15/30 BALLOON FIX 34.34 00/00/0000 11195991 15/30 BALLOON FIX 32.91 00/00/0000 11200437 15/30 BALLOON FIX 41.57 00/00/0000 11222061 15/30 BALLOON FIX 38.78 00/00/0000 11233602 15/30 BALLOON FIX 44.21 00/00/0000 11203187 15/30 BALLOON FIX 39.86 00/00/0000 11199269 15/30 BALLOON FIX 42.69 00/00/0000 11213916 15/30 BALLOON FIX 49.9 00/00/0000 11214694 15/30 BALLOON FIX 35.29 00/00/0000 11204645 15/30 BALLOON FIX 28.96 00/00/0000 11176856 15/30 BALLOON FIX 44.51 00/00/0000 11219893 15/30 BALLOON FIX 43.27 00/00/0000 11216378 15/30 BALLOON FIX 22.06 00/00/0000 11171643 15/30 BALLOON FIX 40.12 00/00/0000 11197740 15/30 BALLOON FIX 47.8 00/00/0000 11205465 15/30 BALLOON FIX 49.97 00/00/0000 11223865 15/30 BALLOON FIX 32.29 00/00/0000 11224801 15/30 BALLOON FIX 41.68 00/00/0000 11225168 15/30 BALLOON FIX 36.34 00/00/0000 11219667 15/30 BALLOON FIX 32.73 00/00/0000 11205319 15/30 BALLOON FIX 38.73 00/00/0000 11193377 15/30 BALLOON FIX 49.1 00/00/0000 11218208 15/30 BALLOON FIX 35.91 00/00/0000 11180658 15/30 BALLOON FIX 53.61 00/00/0000 11206144 15/30 BALLOON FIX 48.28 00/00/0000 11222417 15/30 BALLOON FIX 38.13 00/00/0000 11212324 15/30 BALLOON FIX 46.15 00/00/0000 11226076 15/30 BALLOON FIX 46.14 00/00/0000 11184657 15/30 BALLOON FIX 30.96 00/00/0000 11221585 15/30 BALLOON FIX 43.34 00/00/0000 11212015 20 YR FIXED FIX 43.56 00/00/0000 11162587 15/30 BALLOON FIX 48.19 00/00/0000 11196883 15/30 BALLOON FIX 40.33 00/00/0000 11175986 15/30 BALLOON FIX 33.1 00/00/0000 11203853 15/30 BALLOON FIX 36.16 00/00/0000 11217410 15/30 BALLOON FIX 33.17 00/00/0000 11213596 15/30 BALLOON FIX 35.89 00/00/0000 11213632 15/30 BALLOON FIX 37.63 00/00/0000 11211872 15/30 BALLOON FIX 43.5 00/00/0000 11221654 15/30 BALLOON FIX 38.72 00/00/0000 11208692 15/30 BALLOON FIX 48.61 00/00/0000 11189656 15/30 BALLOON FIX 48.32 00/00/0000 11194777 15/30 BALLOON FIX 42.87 00/00/0000 11227539 15/30 BALLOON FIX 48.48 00/00/0000 11227250 15/30 BALLOON FIX 47.5 00/00/0000 11195339 15/30 BALLOON FIX 45.6 00/00/0000 11228695 15/30 BALLOON FIX 40.55 00/00/0000 11227408 15/30 BALLOON FIX 48.22 00/00/0000 11202169 15/30 BALLOON FIX 44.19 00/00/0000 11229475 15/30 BALLOON FIX 44.12 00/00/0000 11211204 15/30 BALLOON FIX 50.26 00/00/0000 11210671 15/30 BALLOON FIX 44.62 00/00/0000 11209270 15/30 BALLOON FIX 49.58 00/00/0000 11220227 15/30 BALLOON FIX 46.57 00/00/0000 11221258 15/30 BALLOON FIX 27.43 00/00/0000 11209975 15/30 BALLOON FIX 43.15 00/00/0000 11222862 15/30 BALLOON FIX 40.26 00/00/0000 11211155 15/30 BALLOON FIX 49.89 00/00/0000 11164180 15/30 BALLOON FIX 51.08 00/00/0000 11168105 15/30 BALLOON FIX 45.9 00/00/0000 11221844 15/30 BALLOON FIX 39.68 00/00/0000 11195156 15/30 BALLOON FIX 35.43 00/00/0000 11187339 15/30 BALLOON FIX 39.27 00/00/0000 11212054 15/30 BALLOON FIX 42.02 00/00/0000 11221646 15/30 BALLOON FIX 26.39 00/00/0000 11194317 15/30 BALLOON FIX 41.86 00/00/0000 11210763 15/30 BALLOON FIX 36.09 00/00/0000 11218684 15/30 BALLOON FIX 38.75 00/00/0000 11220426 15/30 BALLOON FIX 41.92 00/00/0000 11216326 15/30 BALLOON FIX 33.14 00/00/0000 11220382 15/30 BALLOON FIX 28.74 00/00/0000 11206430 15/30 BALLOON FIX 44.38 00/00/0000 11209448 15/30 BALLOON FIX 21.95 00/00/0000 11215277 15/30 BALLOON FIX 50.44 00/00/0000 11212099 15/30 BALLOON FIX 36.68 00/00/0000 11212302 15/30 BALLOON FIX 50.12 00/00/0000 11193952 15/30 BALLOON FIX 44.72 00/00/0000 11195677 15/30 BALLOON FIX 29.73 00/00/0000 11218284 15/30 BALLOON FIX 26.76 00/00/0000 11193775 15/30 BALLOON FIX 39.92 00/00/0000 11205836 15/30 BALLOON FIX 27.4 00/00/0000 11203021 15/30 BALLOON FIX 34.02 00/00/0000 11233402 15/30 BALLOON FIX 49.8 00/00/0000 11224120 15/30 BALLOON FIX 45.43 00/00/0000 11214284 15/30 BALLOON FIX 50.38 00/00/0000 11217783 15/30 BALLOON FIX 44.91 00/00/0000 11214196 15/30 BALLOON FIX 44.01 00/00/0000 11205302 15/30 BALLOON FIX 29.26 00/00/0000 11229463 15/30 BALLOON FIX 42.76 00/00/0000 11211518 15/30 BALLOON FIX 36 00/00/0000 11149974 15/30 BALLOON FIX 34.67 00/00/0000 11206081 15/30 BALLOON FIX 35.6 00/00/0000 11165170 15/30 BALLOON FIX 42.72 00/00/0000 11217378 15/30 BALLOON FIX 37.52 00/00/0000 11197990 15/30 BALLOON FIX 48.47 00/00/0000 11221408 15/30 BALLOON FIX 40.56 00/00/0000 11219360 15/30 BALLOON FIX 42.6 00/00/0000 11208520 15/30 BALLOON FIX 44.11 00/00/0000 11212403 15/30 BALLOON FIX 52.27 00/00/0000 11206433 15/30 BALLOON FIX 18.82 00/00/0000 11209863 15/30 BALLOON FIX 20.91 00/00/0000 11213707 15/30 BALLOON FIX 49.69 00/00/0000 11201729 15/30 BALLOON FIX 35.5 00/00/0000 11212344 15/30 BALLOON FIX 21.11 00/00/0000 11236632 15/30 BALLOON FIX 50 00/00/0000 11191919 15/30 BALLOON FIX 36.29 00/00/0000 11211594 15/30 BALLOON FIX 45.45 00/00/0000 11214346 15/30 BALLOON FIX 54.49 00/00/0000 11178502 15/30 BALLOON FIX 34.13 00/00/0000 11203859 15/30 BALLOON FIX 49.57 00/00/0000 11210032 15/30 BALLOON FIX 9.96 00/00/0000 11198705 15/30 BALLOON FIX 49.29 00/00/0000 11211244 15/30 BALLOON FIX 37.08 00/00/0000 11199719 15/30 BALLOON FIX 37.69 00/00/0000 11203454 15/30 BALLOON FIX 44.31 00/00/0000 11206551 15/30 BALLOON FIX 44.73 00/00/0000 11213659 15/30 BALLOON FIX 28.26 00/00/0000 11182321 15/30 BALLOON FIX 54.76 00/00/0000 11205175 15/30 BALLOON FIX 49.93 00/00/0000 11216639 15/30 BALLOON FIX 45.36 00/00/0000 11191654 15/30 BALLOON FIX 25.44 00/00/0000 11215046 15/30 BALLOON FIX 43.47 00/00/0000 11198149 15/30 BALLOON FIX 39.94 00/00/0000 11227312 15/30 BALLOON FIX 50.67 00/00/0000 11221113 15/30 BALLOON FIX 45.62 00/00/0000 11200022 15/30 BALLOON FIX 44.19 00/00/0000 11209928 15/30 BALLOON FIX 52.01 00/00/0000 11212221 15/30 BALLOON FIX 57.65 00/00/0000 11225415 15/30 BALLOON FIX 54.97 00/00/0000 11210121 15/30 BALLOON FIX 49.49 00/00/0000 11202304 15/30 BALLOON FIX 46.85 00/00/0000 11202260 15/30 BALLOON FIX 30.99 00/00/0000 11199375 15/30 BALLOON FIX 42.8 00/00/0000 11188759 15/30 BALLOON FIX 38.68 00/00/0000 11221862 15/30 BALLOON FIX 45.61 00/00/0000 11206351 15/30 BALLOON FIX 48.06 00/00/0000 11205971 15/30 BALLOON FIX 47.12 00/00/0000 11207099 20 YR FIXED FIX 45.63 00/00/0000 11189057 15/30 BALLOON FIX 53.96 00/00/0000 11195695 15/30 BALLOON FIX 49.13 00/00/0000 11213697 15/30 BALLOON FIX 35.41 00/00/0000 11194874 15/30 BALLOON FIX 37.27 00/00/0000 11213360 15/30 BALLOON FIX 49.64 00/00/0000 11199967 15/30 BALLOON FIX 48.05 00/00/0000 11193107 15/30 BALLOON FIX 46.25 00/00/0000 11221376 15/30 BALLOON FIX 44.54 00/00/0000 11166020 15/30 BALLOON FIX 32.85 00/00/0000 11137919 15/30 BALLOON FIX 35.01 00/00/0000 11190157 15/30 BALLOON FIX 41 00/00/0000 11200620 15/30 BALLOON FIX 44.74 00/00/0000 11205655 15/30 BALLOON FIX 45.53 00/00/0000 11213721 15/30 BALLOON FIX 25.31 00/00/0000 11201223 15/30 BALLOON FIX 23.24 00/00/0000 11220462 15/30 BALLOON FIX 45.38 00/00/0000 11216097 15/30 BALLOON FIX 42.03 00/00/0000 11212363 15/30 BALLOON FIX 49.69 00/00/0000 11227678 15/30 BALLOON FIX 49.16 00/00/0000 11193149 15/30 BALLOON FIX 49.9 00/00/0000 11215984 15/30 BALLOON FIX 41.84 00/00/0000 11205598 15/30 BALLOON FIX 24.13 00/00/0000 11223319 15/30 BALLOON FIX 51.88 00/00/0000 11178409 15/30 BALLOON FIX 40.57 00/00/0000 11182088 15/30 BALLOON FIX 46.34 00/00/0000 11222157 15/30 BALLOON FIX 37.5 00/00/0000 11220241 15/30 BALLOON FIX 37.78 00/00/0000 11198593 15/30 BALLOON FIX 48.51 00/00/0000 11210233 15/30 BALLOON FIX 38.03 00/00/0000 11218382 15/30 BALLOON FIX 41.29 00/00/0000 11221750 15/30 BALLOON FIX 27.14 00/00/0000 11220632 15 YR FIXED FIX 26.6 00/00/0000 11205679 15/30 BALLOON FIX 37.16 00/00/0000 11224636 15/30 BALLOON FIX 30.07 00/00/0000 11202318 15/30 BALLOON FIX 38.33 00/00/0000 11207204 15/30 BALLOON FIX 47.28 00/00/0000 11201031 15/30 BALLOON FIX 48.56 00/00/0000 11196103 15/30 BALLOON FIX 48.58 00/00/0000 11208941 15/30 BALLOON FIX 44.9 00/00/0000 11216732 15/30 BALLOON FIX 36.54 00/00/0000 11212199 15/30 BALLOON FIX 39.73 00/00/0000 11223493 15/30 BALLOON FIX 34.79 00/00/0000 11198053 15/30 BALLOON FIX 32.11 00/00/0000 11218363 15/30 BALLOON FIX 28.01 00/00/0000 11202244 15/30 BALLOON FIX 48.1 00/00/0000 11217527 15/30 BALLOON FIX 49.14 00/00/0000 11223517 15/30 BALLOON FIX 42.9 00/00/0000 11203983 15/30 BALLOON FIX 47.57 00/00/0000 11210800 15/30 BALLOON FIX 50.36 00/00/0000 11230561 15/30 BALLOON FIX 52 00/00/0000 11215828 15/30 BALLOON FIX 57.26 00/00/0000 11210421 15/30 BALLOON FIX 39.99 00/00/0000 11218504 15/30 BALLOON FIX 42.05 00/00/0000 11213371 15/30 BALLOON FIX 28.05 00/00/0000 11216142 15/30 BALLOON FIX 34.74 00/00/0000 11211446 15/30 BALLOON FIX 47.21 00/00/0000 11201981 15/30 BALLOON FIX 39.09 00/00/0000 11227747 15/30 BALLOON FIX 46.42 00/00/0000 11221719 15/30 BALLOON FIX 48.88 00/00/0000 11212098 15/30 BALLOON FIX 44.97 00/00/0000 11217698 15/30 BALLOON FIX 41.75 00/00/0000 11207047 15/30 BALLOON FIX 44.17 00/00/0000 11228430 15/30 BALLOON FIX 49.72 00/00/0000 11210355 15/30 BALLOON FIX 34.78 00/00/0000 11224169 15/30 BALLOON FIX 53.04 00/00/0000 11202110 15/30 BALLOON FIX 42.98 00/00/0000 11210645 15/30 BALLOON FIX 30.75 00/00/0000 11212393 15/30 BALLOON FIX 44.42 00/00/0000 11196439 15/30 BALLOON FIX 35.77 00/00/0000 11212134 15/30 BALLOON FIX 45.06 00/00/0000 11195705 15/30 BALLOON FIX 45.27 00/00/0000 11197004 15/30 BALLOON FIX 36.19 00/00/0000 11195425 15/30 BALLOON FIX 43.91 00/00/0000 11214416 15/30 BALLOON FIX 42.35 00/00/0000 11211248 15/30 BALLOON FIX 44.82 00/00/0000 11196780 15/30 BALLOON FIX 47.93 00/00/0000 11222824 15/30 BALLOON FIX 40.43 00/00/0000 11192708 15/30 BALLOON FIX 33.2 00/00/0000 11233320 15/30 BALLOON FIX 42.27 00/00/0000 11198753 15/30 BALLOON FIX 43.26 00/00/0000 11202480 15/30 BALLOON FIX 34.93 00/00/0000 11208960 15/30 BALLOON FIX 53.6 00/00/0000 11199352 15/30 BALLOON FIX 41.08 00/00/0000 11220448 15/30 BALLOON FIX 42.55 00/00/0000 11198057 15/30 BALLOON FIX 40.6 00/00/0000 11216464 15/30 BALLOON FIX 35.24 00/00/0000 11207046 15/30 BALLOON FIX 20.11 00/00/0000 11179412 15/30 BALLOON FIX 44.34 00/00/0000 11205431 15/30 BALLOON FIX 49.16 00/00/0000 11208507 15/30 BALLOON FIX 37.74 00/00/0000 11201474 15/30 BALLOON FIX 33.65 00/00/0000 11225131 15/30 BALLOON FIX 47.97 00/00/0000 11214868 15 YR FIXED FIX 47.48 00/00/0000 11210543 15/30 BALLOON FIX 34.63 00/00/0000 11180162 15/30 BALLOON FIX 47.66 00/00/0000 11203866 15/30 BALLOON FIX 44.86 00/00/0000 11221098 15/30 BALLOON FIX 37.13 00/00/0000 11204045 15/30 BALLOON FIX 42.78 00/00/0000 11192130 15/30 BALLOON FIX 41.72 00/00/0000 11198161 15/30 BALLOON FIX 48.23 00/00/0000 11227242 15/30 BALLOON FIX 32.65 00/00/0000 11203547 15/30 BALLOON FIX 46.6 00/00/0000 11212810 15/30 BALLOON FIX 45.95 00/00/0000 11221567 15/30 BALLOON FIX 48.69 00/00/0000 11220186 15/30 BALLOON FIX 24.29 00/00/0000 11223272 15/30 BALLOON FIX 43.16 00/00/0000 11219382 15/30 BALLOON FIX 49.78 00/00/0000 11144272 15/30 BALLOON FIX 50.39 00/00/0000 11160332 15/30 BALLOON FIX 33.69 00/00/0000 11149374 15/30 BALLOON FIX 28.29 00/00/0000 11163004 15/30 BALLOON FIX 44.78 00/00/0000 11173107 15 YR FIXED FIX 36.64 00/00/0000 11176868 15/30 BALLOON FIX 26.79 00/00/0000 11166197 15/30 BALLOON FIX 52.85 00/00/0000 11172375 15/30 BALLOON FIX 36.6 00/00/0000 11172982 15/30 BALLOON FIX 38.48 00/00/0000 11185710 15/30 BALLOON FIX 49.95 00/00/0000 11186131 15/30 BALLOON FIX 22.53 00/00/0000 11190648 15/30 BALLOON FIX 30.12 00/00/0000 11203051 15/30 BALLOON FIX 46.55 00/00/0000 11167232 15/30 BALLOON FIX 43.53 00/00/0000 11198343 15/30 BALLOON FIX 19.34 00/00/0000 11197778 15/30 BALLOON FIX 51.25 00/00/0000 11177708 15/30 BALLOON FIX 42.33 00/00/0000 11216094 15/30 BALLOON FIX 39.96 00/00/0000 11212855 15/30 BALLOON FIX 38.25 00/00/0000 11191966 15/30 BALLOON FIX 49.94 00/00/0000 11197131 15/30 BALLOON FIX 11.89 00/00/0000 11204040 15/30 BALLOON FIX 37.83 00/00/0000 11216792 15/30 BALLOON FIX 25.55 00/00/0000 11200712 15/30 BALLOON FIX 46.09 00/00/0000 11232850 15/30 BALLOON FIX 29.48 00/00/0000 11218841 15/30 BALLOON FIX 27.68 00/00/0000 11197142 15/30 BALLOON FIX 30.22 00/00/0000 11206835 15/30 BALLOON FIX 39.01 00/00/0000 11216672 15/30 BALLOON FIX 49.42 00/00/0000 11214633 15/30 BALLOON FIX 36.63 00/00/0000 11189382 15/30 BALLOON FIX 48.23 00/00/0000 11177465 15/30 BALLOON FIX 40.59 00/00/0000 11211242 15/30 BALLOON FIX 41.65 00/00/0000 11199607 15/30 BALLOON FIX 47.07 00/00/0000 11211057 15/30 BALLOON FIX 49.88 00/00/0000 11228429 15/30 BALLOON FIX 27.71 00/00/0000 11215766 15/30 BALLOON FIX 45.66 00/00/0000 11206569 15/30 BALLOON FIX 42.81 00/00/0000 11231190 15/30 BALLOON FIX 48.74 00/00/0000 11200998 15/30 BALLOON FIX 41.42 00/00/0000 11224780 15/30 BALLOON FIX 40.04 00/00/0000 11201656 15/30 BALLOON FIX 43.94 00/00/0000 11223414 15/30 BALLOON FIX 28.28 00/00/0000 11209406 15/30 BALLOON FIX 54.99 00/00/0000 11209247 15/30 BALLOON FIX 40.26 00/00/0000 11202206 15/30 BALLOON FIX 31.71 00/00/0000 11221089 15/30 BALLOON FIX 30.01 00/00/0000 11199605 15/30 BALLOON FIX 28.31 00/00/0000 11208562 15/30 BALLOON FIX 26.35 00/00/0000 11198140 15/30 BALLOON FIX 40.56 00/00/0000 11208703 15/30 BALLOON FIX 34.04 00/00/0000 11188905 15/30 BALLOON FIX 45.72 00/00/0000 11215599 15/30 BALLOON FIX 43.52 00/00/0000 11165783 15/30 BALLOON FIX 48.25 00/00/0000 11200751 15/30 BALLOON FIX 37.3 00/00/0000 11207263 15/30 BALLOON FIX 44.14 00/00/0000 11197822 15/30 BALLOON FIX 33.56 00/00/0000 11227995 15/30 BALLOON FIX 28.52 00/00/0000 11200546 15/30 BALLOON FIX 49.49 00/00/0000 11208313 15/30 BALLOON FIX 49.1 00/00/0000 11211633 15/30 BALLOON FIX 29.58 00/00/0000 11224252 15/30 BALLOON FIX 36.38 00/00/0000 11212668 15/30 BALLOON FIX 52.84 00/00/0000 11234979 15/30 BALLOON FIX 43.95 00/00/0000 11193638 15/30 BALLOON FIX 43.25 00/00/0000 11211321 15/30 BALLOON FIX 44.93 00/00/0000 11230796 15/30 BALLOON FIX 38.78 00/00/0000 11222333 15/30 BALLOON FIX 43.27 00/00/0000 11221401 15/30 BALLOON FIX 49.74 00/00/0000 11225338 15/30 BALLOON FIX 31.69 00/00/0000 11214156 15/30 BALLOON FIX 35.72 00/00/0000 11209722 15/30 BALLOON FIX 38.67 00/00/0000 11228937 15/30 BALLOON FIX 49.87 00/00/0000 11210500 15/30 BALLOON FIX 45.2 00/00/0000 11203403 15/30 BALLOON FIX 38.55 00/00/0000 11220879 15/30 BALLOON FIX 39.38 00/00/0000 11222228 15/30 BALLOON FIX 40.8 00/00/0000 11215724 15/30 BALLOON FIX 47.16 00/00/0000 11212622 15/30 BALLOON FIX 46.5 00/00/0000 11226884 15/30 BALLOON FIX 52.79 00/00/0000 11187995 15/30 BALLOON FIX 47.88 00/00/0000 11209900 15/30 BALLOON FIX 47.84 00/00/0000 11194230 15/30 BALLOON FIX 41.84 00/00/0000 11212782 15/30 BALLOON FIX 42.22 00/00/0000 11216603 15/30 BALLOON FIX 49.34 00/00/0000 11206608 15/30 BALLOON FIX 46.83 00/00/0000 11216356 15/30 BALLOON FIX 38.96 00/00/0000 11203237 15/30 BALLOON FIX 37.26 00/00/0000 11213394 15/30 BALLOON FIX 46.45 00/00/0000 11203005 15/30 BALLOON FIX 44.37 00/00/0000 11234508 15/30 BALLOON FIX 48.83 00/00/0000 11203860 15/30 BALLOON FIX 27.15 00/00/0000 11222505 15/30 BALLOON FIX 31 00/00/0000 11208954 15/30 BALLOON FIX 48.41 00/00/0000 11209140 15/30 BALLOON FIX 27.75 00/00/0000 11200697 15/30 BALLOON FIX 49.88 00/00/0000 11204346 15/30 BALLOON FIX 19.44 00/00/0000 11220124 15/30 BALLOON FIX 50 00/00/0000 11216009 15/30 BALLOON FIX 43.94 00/00/0000 11212153 15/30 BALLOON FIX 35.85 00/00/0000 11216024 15/30 BALLOON FIX 43.28 00/00/0000 11215619 15/30 BALLOON FIX 48.23 00/00/0000 11212713 15/30 BALLOON FIX 34.27 00/00/0000 11226789 15/30 BALLOON FIX 46.84 00/00/0000 11211941 15/30 BALLOON FIX 44.02 00/00/0000 11202982 15/30 BALLOON FIX 47.47 00/00/0000 11223312 15/30 BALLOON FIX 38.43 00/00/0000 11182041 15/30 BALLOON FIX 50.16 00/00/0000 11226658 15/30 BALLOON FIX 45.28 00/00/0000 11214125 15/30 BALLOON FIX 44.26 00/00/0000 11211994 15/30 BALLOON FIX 44.66 00/00/0000 11206469 15/30 BALLOON FIX 6.7 00/00/0000 11202437 15/30 BALLOON FIX 26.74 00/00/0000 11205297 15/30 BALLOON FIX 39.44 00/00/0000 11203645 15/30 BALLOON FIX 32.4 00/00/0000 11207624 15/30 BALLOON FIX 45.09 00/00/0000 11199668 15/30 BALLOON FIX 46.42 00/00/0000 11223914 15/30 BALLOON FIX 40.28 00/00/0000 11213574 15/30 BALLOON FIX 40.26 00/00/0000 11200430 15/30 BALLOON FIX 38.23 00/00/0000 11210766 15/30 BALLOON FIX 32.48 00/00/0000 11215070 15/30 BALLOON FIX 19.58 00/00/0000 11228957 15/30 BALLOON FIX 40.39 00/00/0000 11184323 15/30 BALLOON FIX 24.79 00/00/0000 11214967 15/30 BALLOON FIX 30.21 00/00/0000 11199007 15/30 BALLOON FIX 41.1 00/00/0000 11219547 15/30 BALLOON FIX 39.86 00/00/0000 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EXHIBIT E
FORM OF REQUEST FOR RELEASE OF DOCUMENTS
To: | Wells Fargo Bank, N.A. |
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| 24 Executive Park, Suite 100 |
Irvine, CA 926145
Attn: Client Manager – ABFC, Series 2005-WMC1
Re: | Pooling and Servicing Agreement dated as of September 1, 2005 among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as trustee |
All capitalized terms used herein shall have the means ascribed to them in the Pooling and Servicing Agreement (the “Agreement”) referenced above.
In connection with the administration of the Mortgage Loans held by you as Trustee pursuant to the Agreement, we request the release, and hereby acknowledge receipt, of the Trustee’s Mortgage File for the Mortgage Loan described below, for the reason indicated.
Mortgage Loan Number:
Mortgagor Name, Address & Zip Code:
Reason for Requesting Documents (check one):
_____ | 1. | Mortgage Paid in Full |
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_____ | 2. | Foreclosure |
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_____ | 3. | Substitution |
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_____ | 4. | Other Liquidation (Repurchases, etc.) |
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_____ | 5. | Nonliquidation | Reason:_________________________________ | ||||
By:____________________________________
(authorized signer)
Issuer:__________________________________
Address:________________________________
_______________________________________
Date:___________________________________
Custodian
Wells Fargo Bank, N.A.
Please acknowledge the execution of the above request by your signature and date below:
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Signature |
| Date |
Documents returned to Custodian: |
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Custodian |
| Date |
EXHIBIT F-1
FORM OF TRUSTEE’S INITIAL CERTIFICATION
| Date |
Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
HomEq Servicing Corporation
4708 Mercantile Drive
Fort Worth, Texas 76137
Re: | Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”), dated as of September 1, 2005 among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as trustee, with respect to ABFC Asset-Backed Certificates, Series 2005-WMC1 |
Ladies and Gentlemen:
In accordance with Section 2.02 of the Pooling and Servicing Agreement, the undersigned, as Trustee, hereby certifies that it has received the documents listed in Section 2.01 of the Pooling and Servicing Agreement for each Mortgage File pertaining to each Mortgage Loan listed on Exhibits D-1 and D-2 to the Pooling and Servicing Agreement, subject to any exceptions noted on Schedule I hereto and, based on an examination of such documents, the information set forth in the Mortgage Loan Schedules that corresponds to items (1), (2), (6), (7), (8) and (10) of the Mortgage Loan Schedules accurately reflects the information in the Mortgage File.
Capitalized words and phrases used herein and not otherwise defined herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement. This Certificate is subject in all respects to the terms of Section 2.02 of the Pooling and Servicing Agreement and the Pooling and Servicing Agreement sections cross-referenced therein.
WELLS FARGO BANK, N.A. | |
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By: |
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Name: |
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Title: |
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EXHIBIT F-2
FORM OF TRUSTEE’S FINAL CERTIFICATION
| [Date] |
Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
HomEq Servicing Corporation
4708 Mercantile Drive
Fort Worth, Texas 76137
Re: | Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”), dated as of September 1, 2005, among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as trustee, with respect to ABFC Asset-Backed Certificates, Series 2005-WMC1 |
Ladies and Gentlemen:
In accordance with Section 2.02 of the Pooling and Servicing Agreement, the undersigned, as Trustee, hereby certifies that as to each Mortgage Loan listed in the Mortgage Loan Schedules attached as Exhibits D-1 and D-2 to the Pooling and Servicing Agreement (other than any Mortgage Loan paid in full or listed on Schedule I hereto), it has received the applicable documents listed in Section 2.01 of the Pooling and Servicing Agreement.
The undersigned hereby certifies that as to each Mortgage Loan identified on the Mortgage Loan Schedules, other than any Mortgage Loan listed on Schedule I hereto, it has reviewed the applicable documents listed in Section 2.01 of the Pooling and Servicing Agreement and has determined that each such document appears to be complete and, based on an examination of such documents, the information set forth in the Mortgage Loan Schedules is correct.
Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling and Servicing Agreement. This Certificate is qualified in all respects by the terms of said Pooling and Servicing Agreement.
WELLS FARGO BANK, N.A. | |
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By: |
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Name: |
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Title: |
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EXHIBIT F-3
FORM OF RECEIPT OF MORTGAGE NOTE
Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
| Re: | ABFC Asset-Backed Certificates, Series 2005-WMC1 |
Ladies and Gentlemen:
Pursuant to Section 2.01 of the Pooling and Servicing Agreement, dated as of September 1, 2005, among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as trustee, we hereby acknowledge the receipt of the original Mortgage Note, or, with respect to any lost Mortgage Note, an original Lost Note Affidavit, together with a copy of the related Mortgage Note (a copy of which is attached hereto as Exhibit 1) with any exceptions thereto listed on Exhibit 2.
WELLS FARGO BANK, N.A. | |
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By: |
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Name: |
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Title: |
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EXHIBIT G
MORTGAGE LOAN PURCHASE AGREEMENT
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ASSET BACKED FUNDING CORPORATION
as Purchaser
and
BANK OF AMERICA, N.A.
as Seller
MORTGAGE LOAN PURCHASE AGREEMENT
Fixed Rate and Adjustable Rate Mortgage Loans
ABFC Asset-Backed Certificates, Series 2005-WMC1
Dated as of September 1, 2005
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TABLE OF CONTENTS
ARTICLE I
DEFINITIONS
Section 1.01 | Definitions |
ARTICLE II
SALE OF MORTGAGE LOANS; PAYMENT OF PURCHASE PRICE
Section 2.01 | Sale of Mortgage Loans |
Section 2.02 | Obligations of Seller Upon Sale |
Section 2.03 | Payment of Purchase Price for the Mortgage Loans |
ARTICLE III
REPRESENTATIONS AND WARRANTIES; REMEDIES FOR BREACH
Section 3.01 | Seller Representations and Warranties Relating to the Mortgage Loans |
Section 3.02 | Seller Representations and Warranties |
ARTICLE IV
SELLER’S COVENANTS
Section 4.01 | Covenants of the Seller |
ARTICLE V
TERMINATION
Section 5.01 | Termination |
ARTICLE VI
RECHARACTERIZATION
Section 6.01 | Recharacterization |
ARTICLE VII
MISCELLANEOUS PROVISIONS
Section 7.01 | Amendment |
Section 7.02 | Governing Law |
Section 7.03 | Notices |
Section 7.04 | Severability of Provisions |
Section 7.05 | Counterparts |
Section 7.06 | Further Agreements |
Section 7.07 | Intention of the Parties |
Section 7.08 | Successors and Assigns; Assignment of this Agreement |
Section 7.09 | Survival |
Schedule I | Mortgage Loan Schedule |
MORTGAGE LOAN PURCHASE AGREEMENT, dated as of September 1, 2005 (the “Agreement”), between BANK OF AMERICA, N.A. (“Bank of America” or the “Seller”) and ASSET BACKED FUNDING CORPORATION (the “Purchaser”).
W I T N E S S E T H:
WHEREAS, pursuant to the Flow Sale and Interim Servicing Agreement (the “Underlying Sale Agreement”), dated as of June 1, 2005, by and between Bank of America, as purchaser, and WMC Mortgage Corp. (the “Originator” or “WMC”), as seller and the related Memorandum of Sale, dated as of June 27, 2005 and July 6, 2005, as amended by the Assignment, Assumption and Recognition Agreement (the “WMC AAR”), dated September 30, 2005, among the Purchaser, Bank of America, Wells Fargo Bank, HomEq Servicing Corporation and WMC, the Seller is the owner of either the notes or other evidence of indebtedness (the “Mortgage Notes”) or other evidence of ownership so indicated on Schedule I hereto, and the other documents or instruments constituting the Mortgage File (collectively, the “Mortgage Loans”);
WHEREAS, the Seller, as of the date hereof, owns the mortgages (the “Mortgages”) on the properties (the “Mortgaged Properties”) securing such Mortgage Loans, including rights (a) to any property acquired by foreclosure or deed in lieu of foreclosure or otherwise, and (b) to the proceeds of any insurance policies covering the Mortgage Loans or the Mortgaged Properties or the obligors on the Mortgage Loans;
WHEREAS, the parties hereto desire that the Seller sell the Mortgage Loans to the Purchaser and the Purchaser purchase the Mortgage Loans from the Seller pursuant to the terms of this Agreement; and
WHEREAS, pursuant to the terms of a Pooling and Servicing Agreement, dated as of September 1, 2005 (the “Pooling and Servicing Agreement”), among the Purchaser, as depositor, HomEq Servicing Corporation, as servicer (the “Servicer”), and Wells Fargo Bank, as trustee (the “Trustee”), the Purchaser will convey the Mortgage Loans to the Trustee, on behalf of the ABFC 2005-WMC1 Trust (the “Trust”), the trust created pursuant to the Pooling and Servicing Agreement.
NOW, THEREFORE, in consideration of the mutual covenants herein contained, the parties hereto agree as follows:
ARTICLE I
DEFINITIONS
Section 1.01 Definitions. All capitalized terms used but not defined herein shall have the meanings assigned thereto in the Pooling and Servicing Agreement.
ARTICLE II
SALE OF MORTGAGE LOANS; PAYMENT OF PURCHASE PRICE
Section 2.01 Sale of Mortgage Loans. The Seller does hereby agree to and does hereby sell, assign, set over, and otherwise convey to the Purchaser, without recourse, on the Closing Date (i) all of its right, title and interest in and to each Mortgage Loan originated by WMC and the related Cut-off Date Principal Balance thereof, including any Related Documents; (ii) all payments on or collections in respect of the Mortgage Loans due after the Cut-off Date; (iii) property which secured such Mortgage Loan and which has been acquired by foreclosure or deed in lieu of foreclosure; (iv) its interest in any insurance policies in respect of the Mortgage Loans; (v) the rights of the Seller under the Consulting Agreement and (vi) all proceeds of any of the foregoing.
Section 2.02 Obligations of Seller Upon Sale. (a) In connection with any transfer pursuant to Section 2.01 hereof, the Seller further agrees, at its own expense, on or prior to the Closing Date, (x) to indicate in its books and records that the Mortgage Loans have been sold to the Purchaser pursuant to this Agreement and (y) to deliver to the Purchaser and the Trustee a computer file containing a true and complete list of all the Mortgage Loans, specifying, among other things, for each Mortgage Loan, as of the Cut-off Date, its account number and Cut-off Date Principal Balance. Such file (the “Mortgage Loan Schedule”) which is set forth as Exhibits D-1 to the Pooling and Servicing Agreement, shall also be marked as Schedule I to this Agreement and is hereby incorporated into and made a part of this Agreement.
In connection with such transfer and assignment of the Mortgage Loans, the Seller shall, on behalf of the Purchaser, deliver to and deposit with the Trustee the following documents or instruments (with respect to each Mortgage Loan, a “Mortgage File”) with respect to each Mortgage Loan so transferred and assigned:
(i) the original Mortgage Note, endorsed in blank or with respect to any lost Mortgage Note, a Lost Note Affidavit, together with a copy of the related mortgage note;
(ii) the original Mortgage with evidence of recording thereon, and the original recorded power of attorney, if the Mortgage was executed pursuant to a power of attorney, with evidence of recording thereon or, if such Mortgage or power of attorney has been submitted for recording but has not been returned from the applicable public recording office, has been lost or is not otherwise available, a copy of such Mortgage or power of attorney, as the case may be, certified to be a true and complete copy of the original submitted for recording;
(iii) an original Assignment of Mortgage, in form and substance acceptable for recording. The Mortgage shall be assigned in blank;
(iv) an original copy of any intervening assignment of Mortgage showing a complete chain of assignments;
(v) | the original or a certified copy of the lender’s title insurance policy; and |
(vi) the original or copies of each assumption, modification, written assurance or substitution agreement, if any.
If any of the documents referred to in Section 2.02(ii), (iii) or (iv) above has as of the Closing Date been submitted for recording but either (x) has not been returned from the applicable public recording office or (y) has been lost or such public recording office has retained the original of such document, the obligations of the Seller to deliver such documents shall be deemed to be satisfied upon (1) delivery to the Trustee no later than the Closing Date, of a copy of each such document certified by the Seller in the case of (x) above or the applicable public recording office in the case of (y) above to be a true and complete copy of the original that was submitted for recording and (2) if such copy is certified by the Seller, delivery to the Trustee, promptly upon receipt thereof of either the original or a copy of such document certified by the applicable public recording office to be a true and complete copy of the original. If the original lender’s title insurance policy was not delivered pursuant to Section 2.02(v) above, the Seller shall deliver or cause to be delivered to the Trustee, a written commitment or interim binder or preliminary report of title issued by the title insurance or escrow company, with the original to be delivered to the Trustee, promptly upon receipt thereof. The Seller shall deliver or cause to be delivered to the Trustee promptly upon receipt thereof any other original documents constituting a part of a Mortgage File received with respect to any Mortgage Loan, including, but not limited to, any original documents evidencing an assumption or modification of any Mortgage Loan.
Upon discovery or receipt of notice of any materially defective document in, or that a document is missing from, a Mortgage File, the Seller shall have 120 days to cure such defect or deliver such missing document to the Trustee (or within 90 days of the earlier of Seller’s discovery or receipt of notification if such defect would cause the related Mortgage Loan not to be a “qualified mortgage” for REMIC purposes or that the Mortgage Loan is defective in a manner that would cause it to be a “defective obligation” within the meaning of Treasury regulations relating to REMICs). If the Seller does not cure such defect or deliver such missing document within such time period, the Seller shall either repurchase or substitute for such Mortgage Loan in accordance with Section 2.03 of the Pooling and Servicing Agreement.
It is understood and agreed that the obligations of the Seller set forth in this Section 2.02 and Section 3.04 to cure, repurchase or substitute for a defective Mortgage Loan constitute the sole remedies of the Purchaser respecting a missing or defective document.
The Purchaser hereby acknowledges its acceptance of all right, title and interest to the Mortgage Loans and other property, now existing and hereafter created, conveyed to it pursuant to Section 2.01.
The parties hereto intend that the transaction set forth herein be a sale by the Seller to the Purchaser of all the Seller’s right, title and interest in and to the Mortgage Loans and other property described above. In the event the transaction set forth herein is deemed not to be a sale, the Seller hereby grants to the Purchaser a security interest in all of the Seller’s right, title and interest in, to and under the Mortgage Loans and other property described above, whether now existing or hereafter created, to secure all of the Seller’s obligations hereunder; and this Agreement shall constitute a security agreement under applicable law. The Seller and the
Purchaser shall, to the extent consistent with this Agreement, take such actions as may be necessary to ensure that, if this Agreement were deemed to create a security interest in the Mortgage Loans, such security interest would be deemed to be a perfected security interest of first priority under applicable law and will be maintained as such throughout the term of the Pooling and Servicing Agreement.
Section 2.03 Payment of Purchase Price for the Mortgage Loans. In consideration of the sale of the Mortgage Loans from the Seller to the Purchaser on the Closing Date, the Purchaser agrees (i) to pay to the Seller on the Closing Date by transfer of immediately available funds, as directed by the Seller, an amount equal to $994,499,853.71 and (ii) deliver to or at the direction of the Seller on the Closing Date, the Class CE, Class P, Class R and Class R-X Certificates, in respect of the Mortgage Loans (collectively, the “Purchase Price”). The Seller shall pay, and be billed directly for, all reasonable expenses incurred by the Purchaser in connection with the issuance of the Certificates, including, without limitation, printing fees incurred in connection with the prospectus relating to the Certificates, blue sky registration fees and expenses, fees and reasonable expenses of Purchaser’s counsel, fees of the rating agencies requested to rate the Certificates, accountant’s fees and expenses and the fees and expenses of the Trustee and other out-of-pocket costs, if any.
ARTICLE III
REPRESENTATIONS AND WARRANTIES; REMEDIES FOR BREACH
Section 3.01 Seller Representations and Warranties Relating to the Mortgage Loans. Subject to the Section 3.04, the Seller represents and warrants upon delivery of the Mortgage Loans to the Purchaser hereunder, as to each, that:
(a) The information set forth with respect to the Mortgage Loans on the Mortgage Loan Schedule attached hereto as Schedule I provides an accurate listing of the Mortgage Loans, and the information with respect to each Mortgage Loan on the Mortgage Loan Schedule is true and correct in all material respects at the date or dates respecting which such information is given;
(b) No Mortgage Loan was 30 days or more contractually delinquent as of the Cut-off Date. The Seller has not waived any default, breach, violation or event of acceleration, and the Seller has not taken any action to waive any default, breach, violation or event of acceleration, with respect to any Mortgage Loan;
(c) With respect to each Mortgage Loan, there are no delinquent taxes, assessments that could become a lien prior to the related Mortgage or insurance premiums affecting the related Mortgaged Property;
(d) With respect to each Mortgage Loan, each Mortgage has not been satisfied, canceled, subordinated or rescinded, in whole or in part, and the related Mortgaged Property has not been released from the lien of the Mortgage, in whole or in part, nor has any instrument been executed that would effect any such satisfaction, cancellation, subordination, recission or release;
(e) Other than any Mortgage Loan that is less than 30 days contractually delinquent as of the Cut-off Date, there is no material default, breach, violation or event of acceleration existing under any Mortgage or the related Mortgage Note and no event which, with the passage of time or with notice and the expiration of any grace or cure period, would constitute a material default, breach, violation or event of acceleration, and neither the Seller nor its predecessors have waived any material default, breach, violation or event of acceleration;
(f) With respect to each Mortgage Loan, each Mortgaged Property is free of material damage that would affect adversely the value of the Mortgaged Property as security for the Mortgage Loan or the use for which the premises were intended;
(g) With respect to each Mortgage Loan, to the best of the Seller’s knowledge, there is no proceeding pending for the total or partial condemnation of the Mortgaged Property;
(h) With respect to each Mortgage Loan, each Mortgaged Property is lawfully occupied under applicable law; all inspections, licenses and certificates required to be made or
issued with respect to all occupied portions of each Mortgaged Property and, with respect to the use and occupancy of the same, including but not limited to certificates of occupancy, have been made or obtained from the appropriate authorities, except where the failure would not have a material adverse effect upon the related Mortgage Loan;
(i) | No Mortgage Loan is in foreclosure; |
(j) Each Mortgage Loan is a “qualified mortgage” within the meaning of Section 860G of the Code and Treas. Reg § 1.860G-2;
(k) Any and all requirements of any federal, state or local law including, without limitation, usury, truth in lending, real estate settlement procedures, consumer credit protections, all applicable predatory and abusive lending laws, equal credit opportunity or disclosure laws applicable to the origination of each Mortgage Loan have been complied with;
(l) No Mortgage Loan is a “high cost” loan as defined under any federal, state or local law applicable to such Mortgage Loan at the time of its origination;
(m) The Seller is the sole owner of record and holder of each Mortgage Loan and the related Mortgage Note and Mortgage and each Mortgage Loan has not been assigned or pledged, and the Seller has good and marketable title thereto and has full right and authority to transfer and sell the Mortgage Loan to the Purchaser. The Seller is transferring each Mortgage Loan free and clear of any and all encumbrances, liens, pledges, equities, participation interests, claims, agreements with other parties to sell or otherwise transfer each Mortgage Loan, mechanics’ or similar liens or claims which have been filed for work, labor or material (and no rights are outstanding that under the law could give rise to such liens), charges or security interests of any nature encumbering such Mortgage Loan;
(n) With respect to each Mortgage Loan, the terms of the related Mortgage Note and Mortgage have not been impaired, waived, altered or modified in any respect, except by a written instrument which has been recorded, if necessary, to protect the interests of the Purchaser and maintain the lien priority of the Mortgage and which has been delivered to the Purchaser or its designee. The substance of any such waiver, alteration or modification has been approved by the title insurer, to the extent required by the policy, and its terms are reflected on the Mortgage Loan Schedule. With respect to each Mortgage Loan, no instrument of waiver, alteration or modification has been executed, and no Mortgagor has been released, in whole or in part, except in connection with an assumption agreement approved by the title insurer, to the extent required by the policy, and which assumption agreement is part of the Mortgage File delivered to the Purchaser or its designee and the terms of which are reflected on the related Mortgage Loan Schedule;
(o) With respect to each Mortgage Loan, the Seller has not dealt with any broker, investment banker, agent or other Person (other than WMC and the Underwriters) who may be entitled to any commission or compensation in connection with the sale of the Mortgage Loans;
(p) With respect to each Mortgage Loan, the Mortgage is a valid, subsisting enforceable and perfected first or second lien and first priority security interest on the Mortgaged Property, including all buildings on the Mortgaged Property and all installations and mechanical,
electrical, plumbing, heating and air conditioning systems located in or annexed to such buildings, and all additions, alterations and replacements made at any time with respect to the foregoing. With respect to each Mortgage Loan, the lien of the Mortgage is subject only to:
(i) the lien of current real property taxes and assessments not yet due and payable;
(ii) covenants, conditions and restrictions, rights of way, easements and other matters of the public record as of the date of recording acceptable to mortgage lending institutions generally and specifically referred to in the lender’s title insurance policy delivered to WMC and (i) referred to or to otherwise considered in the appraisal made for WMC or (ii) which do not adversely affect the appraised value of the Mortgaged Property set forth in such appraisal;
(iii) other matters to which like properties are commonly subject which do not materially interfere with the benefits of the security intended to be provided by the Mortgage or the use, enjoyment, value or marketability of the related Mortgaged Property; and
(iv) with respect to each second lien Mortgage a prior mortgage lien on the Mortgaged Property;
(q) Each Mortgage Loan is covered by (a) an attorney’s opinion of title and abstract of title the form and substance of which is acceptable to Fannie Mae, (b) an ALTA lender’s title insurance policy or (c) a CLTA lender’s title insurance policy or (d) another generally acceptable form of policy of insurance issued by a title insurer qualified to do business in the jurisdiction where the Mortgaged Property is located insuring WMC, its successors and assigns, as to the first or second priority lien of the Mortgage in the original principal amount of the Mortgage Loan subject only to the exceptions contained in clauses (i), (ii) and (iii), and with respect to each second lien Mortgage Loan clause (iv), of paragraph (p) of this Section 3.01, and against any loss by reason of the invalidity of unenforceability of the lien resulting from the provisions of the Mortgage providing for adjustment in the Mortgage Interest Rate and Monthly Payment. Additionally, such lender’s title insurance policy affirmatively insures ingress and egress, and against encroachments by or upon the Mortgaged Property or any interest therein. Where required by state law or regulation, the Mortgagor has been given the opportunity to choose the carrier of such lender’s title insurance policy. WMC, its successors and assigns, are the sole insureds of such lender’s title insurance policy, and such lender’s title insurance policy is valid and remains in full force and effect and will be in full force and effect upon the sale of the Mortgage Loans to the Purchaser. With respect to each Mortgage Loan no claims have been made under such lender’s title insurance policy, and no prior holder of the Mortgage, including WMC or the Seller, has done anything which would impair the coverage of such lender’s title insurance policy. In connection with the issuance of such lender’s title insurance policy, no unlawful fee, commission, kickback or other unlawful compensation or value of any kind has been or will be received, retained or realized by any attorney, firm or other person or entity, and no such unlawful items have been received, retained or realized by WMC or the Seller;
(r) Any security agreement, chattel mortgage or equivalent document related to and delivered in connection with each Mortgage Loan establishes and creates a valid, subsisting and enforceable (A) first lien and first priority security interest with respect to each first lien Mortgage Loan, or (B) second lien and second priority security interest with respect to each second lien Mortgage Loan, in either case, on the property described therein and the Originator has full right to sell and assign the same to the Purchaser. The Mortgaged Property was not, as of the date of origination of such Mortgage Loan, subject to a mortgage, deed of trust, deed to secure debt or other security instrument creating a lien subordinate to the lien of the Mortgage; and
(s) No Mortgage Loan (other than a Mortgage Loan that is a New Jersey covered purchase loan originated on or after November 27, 2003 through July 6, 2004) is a High Cost Loan or Covered Loan, as applicable (as such terms are defined in the then-current S&P’s LEVELS® Glossary which is now Version 5.6(c), Appendix E) and no Mortgage Loan originated on or after October 1, 2002 through March 6, 2003 is governed by the Georgia Fair Lending Act.
(t) The original principal balance of each Group 1 Mortgage Loan is within Freddie Mac’s dollar amount limits for conforming one-to-four family mortgage loans.
Section 3.02 | [RESERVED]. |
Section 3.03 Seller Representations and Warranties. The Seller hereby represents and warrants to the Purchaser that as of the Closing Date or as of such date specifically provided herein:
(a) The Seller is duly organized, validly existing and in good standing as a national banking association and has the power and authority to own its assets and to transact the business in which it is currently engaged. The Seller is duly qualified to do business and is in good standing in each jurisdiction in which the character of the business transacted by it or properties owned or leased by it requires such qualification and in which the failure to so qualify would have a material adverse effect on (i) its business, properties, assets or condition (financial or other), (ii) the performance of its obligations under this Agreement, (iii) the value or marketability of the Mortgage Loans, or (iv) its ability to foreclose on the related Mortgaged Properties.
(b) The Seller has the power and authority to make, execute, deliver and perform this Agreement and to consummate all of the transactions contemplated hereunder and has taken all necessary action to authorize the execution, delivery and performance of this Agreement. When executed and delivered, this Agreement will constitute the Seller’s legal, valid and binding obligation enforceable in accordance with its terms, except as enforcement of such terms may be limited by (i) bankruptcy, insolvency, reorganization, receivership, moratorium or similar laws affecting the enforcement of creditors’ rights generally or creditors of national banks and by the availability of equitable remedies, (ii) general equity principles (regardless of whether such enforcement is considered in a proceeding in equity or at law) or (iii) public policy considerations underlying the securities laws, to the extent that such policy considerations limit
the enforceability of the provisions of this Agreement which purport to provide indemnification from securities laws liabilities.
(c) The Seller holds all necessary licenses, certificates and permits from all governmental authorities necessary for conducting its business as it is presently conducted, except for such licenses, certificates and permits the absence of which, individually or in the aggregate, would not have a material adverse effect on the ability of the Seller to conduct its business as it is presently conducted. It is not required to obtain the consent of any other party or any consent, license, approval or authorization from, or registration or declaration with, any governmental authority, bureau or agency in connection with the execution, delivery, performance, validity or enforceability of this Agreement, except for such consents, licenses, approvals or authorizations, or registrations or declarations as shall have been obtained or filed, as the case may be, prior to the Closing Date.
(d) The execution and delivery of this Agreement and the consummation of the transactions contemplated herein (i) will not conflict with or constitute a breach of, or default under, or result in the creation or imposition of any lien, charge or encumbrance upon any property or assets of the Seller pursuant to any material contract, indenture, mortgage, loan agreement, note, lease or other instrument, agreement or document to which the Seller is a party or by which it may be bound or to which any of the property or assets of the Seller is subject, (ii) will not result in any violation of the provisions of the charter or by-laws of the Seller, or any law, administrative regulation or administrative or court decree applicable to the Seller and (iii) will not require any filing or registration with or notice to or consent, approval, authorization or order of any court or governmental authority or agency.
(e) The transactions contemplated by this Agreement are in the ordinary course of the Seller’s business.
(f) The Seller is not insolvent, nor will the Seller be made insolvent by the transfer of the Mortgage Loans, nor is the Seller aware of any pending insolvency.
(g) The Seller is not in violation of, and the execution and delivery of this Agreement by it and its performance and compliance with the terms of this Agreement will not constitute a violation with respect to any order or decree of any court, or any order or regulation of any federal, state, municipal or governmental agency having jurisdiction, which violation would materially and adversely affect the Seller’s condition (financial or otherwise) or operations or any of the Seller’s properties, or materially and adversely affect the performance of any of its duties hereunder.
(h) There are no actions or proceedings against, or investigations of, the Seller pending or, to its knowledge, threatened, before any court, administrative agency or other tribunal (i) that, if determined adversely, would prohibit the Seller from entering into this Agreement, (ii) seeking to prevent the consummation of any of the transactions contemplated by this Agreement or (iii) that, if determined adversely, would prohibit or materially and adversely affect the Seller’s performance of any of its respective obligations under, or the validity or enforceability of, this Agreement.
(i) The Seller is not transferring the Mortgage Loans to the Purchaser hereunder with any intent to hinder, delay or defraud any of its creditors.
(j) The Seller acquired title to the Mortgage Loans in good faith, without notice of any adverse claims.
(k) The transfer, assignment and conveyance of the Mortgage Notes and the Mortgages by the Seller pursuant to this Agreement are not subject to the bulk transfer laws or any similar statutory provisions in effect in any applicable jurisdiction.
Section 3.04 Repurchase or Substitution. The representations and warranties with respect to the Mortgage Loans in the Underlying Sale Agreement were made by WMC as of September 30, 2005.
The Seller’s right, title and interest in such representations and warranties and the remedies in connection therewith have been assigned to the Purchaser pursuant to the WMC AAR; provided, however, the Seller has retained it remedies under the Underlying Sale Agreement with respect to the Mortgage Loans solely to the extent WMC fails to perform its obligations thereunder and the Seller is contractually obligated to perform such obligations.
To the extent that any fact, condition or event with respect to a Mortgage Loan constitutes a breach of both (i) a representation or warranty of WMC under the Underlying Sale Agreement and (ii) a representation or warranty of the Seller under this Agreement (other than Sections 3.01(k) and 3.01(s) above), the only right or remedy of the Purchaser shall be the right to enforce the obligations of WMC under any applicable representation or warranty made by it. The Purchaser acknowledges and agrees that the representations and warranties of the Seller in Section 3.01 are applicable only to facts, conditions or events that do not constitute a breach of any representation or warranty made by WMC in the Underlying Sale Agreement. The Seller shall have no obligation or liability with respect to any breach of a representation or warranty made by it with respect to the Mortgage Loans (other than the representations made in Sections 3.01(k) and 3.01(s) above) if the fact, condition or event constituting such breach also constitutes a breach of a representation or warranty made by WMC in the Underlying Sale Agreement, without regard to whether WMC fulfills its contractual obligations in respect of such representation or warranty.
It is understood by the parties hereto that a breach of the representations and warranties made by the Seller in Section 3.01 (l) and (t) of this Agreement will be deemed to materially and adversely affect the value of the related Mortgage Loan or the interest of the Purchaser.
If, however, the Originator fails to reimburse the Trustee for any costs or damages incurred by the Trust in connection with a breach of such Originator’s representations and warranties relating to predatory and abusive lending laws set forth in the Underlying Sale Agreement, or if the Trust incurs any costs or damages as a result of a breach of the Seller’s representation set forth in Section 3.01(s) or Section 3.02(m) above (any such costs or damages, the “Reimbursement Amount”), the Seller shall pay the Reimbursement Amount to the Trust. The Reimbursement Amount shall be delivered to the Servicer for deposit into the Collection
Account within 10 days from the date the Seller was notified by the Trustee of the amount of such costs and damages.
With respect to the representations and warranties set forth in this Section 3.01 or Section 3.02 that are made to the best of the Seller’s knowledge or as to which the Seller has no knowledge, if it is discovered by the Purchaser, the Servicer or the Trustee that the substance of such representation and warranty is inaccurate and such inaccuracy materially and adversely affects the value of the related Mortgage Loan, Prepayment Charge or the interest therein of the Purchaser or the Purchaser’s assignee, transferee or designee then, notwithstanding the Seller’s lack of knowledge with respect to the substance of such representation and warranty being inaccurate at the time the representation or warranty was made, such inaccuracy shall be deemed a breach of the applicable representation or warranty.
Upon discovery by the Seller, the Servicer, the Purchaser or any assignee, transferee or designee of the Purchaser of a breach of any of the representations and warranties contained in this Article III that materially and adversely affects the value of any Mortgage Loan or the interest therein of the Purchaser or the Purchaser’s assignee, transferee or designee, the party discovering the breach shall give prompt written notice to the others. Subject to the first paragraph of this Section 3.04, within 90 days of the earlier of its discovery or its receipt of notice of any such breach of a representation or warranty, the Seller shall promptly cure such breach in all material respects, or in the event such breach cannot be cured, the Seller shall repurchase the affected Mortgage Loan or cause the removal of such Mortgage Loan from the Trust Fund and substitute for it one or more Eligible Substitute Mortgage Loans, in either case, in accordance with Section 2.03 of the Pooling and Servicing Agreement.
It is understood and agreed that the representations and warranties set forth in Section 3.01 and Section 3.02 shall survive delivery of the respective Mortgage Files to the Trustee on behalf of the Purchaser and the Closing Date and shall inure to the benefit of the Certificateholders notwithstanding any restrictive or qualified endorsement or assignment.
It is understood and agreed that the obligations of the Seller set forth in this Section 3.04 to cure, repurchase or substitute for a Mortgage Loan as a result of a breach of a representation or warranty, subject to the limitations set forth above, and to pay the Reimbursement Amount constitute the sole remedies of the Purchaser respecting a breach of the representations or warranties contained in Section 3.01 and Section 3.02.
ARTICLE IV
SELLER’S COVENANTS
Section 4.01 Covenants of the Seller .The Seller hereby covenants that except for the transfer hereunder, the Seller will not sell, pledge, assign or transfer to any other Person, or grant, create, incur, assume or suffer to exist any lien on any Mortgage Loan, or any interest therein; the Seller will notify the Trustee, as assignee of the Purchaser, of the existence of any lien on any Mortgage Loan immediately upon discovery thereof, and the Seller will defend the right, title and interest of the Trust, as assignee of the Purchaser, in, to and under the Mortgage Loans, against all claims of third parties claiming through or under the Seller; provided, however, that nothing in this Section 4.01 shall prevent or be deemed to prohibit the Seller from suffering to exist upon any of the Mortgage Loans any liens for municipal or other local taxes and other governmental charges if such taxes or governmental charges shall not at the time be due and payable or if the Seller shall currently be contesting the validity thereof in good faith by appropriate proceedings and shall have set aside on its books adequate reserves with respect thereto.
ARTICLE V
TERMINATION
Section 5.01 Termination. The respective obligations and responsibilities of the Seller and the Purchaser created hereby shall terminate upon the termination of the Trust as provided in Article X of the Pooling and Servicing Agreement.
ARTICLE VI
RECHARACTERIZATION
Section 6.01 Recharacterization. The parties to this Agreement intend the conveyance by the Seller to the Purchaser of all of its right, title and interest in and to the Mortgage Loans pursuant to this Agreement to constitute a purchase and sale and not a loan. Notwithstanding the foregoing, to the extent that such conveyance is held not to constitute a sale under applicable law, it is intended that this Agreement shall constitute a security agreement under applicable law and that the Seller shall be deemed to have granted to the Purchaser a first priority security interest in all of the Seller’s right, title and interest in and to the Mortgage Loans.
ARTICLE VII
MISCELLANEOUS PROVISIONS
Section 7.01 Amendment. This Agreement may be amended from time to time by the Seller and the Purchaser by written agreement signed by the Seller and the Purchaser.
Section 7.02 Governing Law. This Agreement shall be governed by and construed in accordance with the laws of the State of New York and the obligations, rights and remedies of the parties hereunder shall be determined in accordance with such laws.
Section 7.03 Notices. All demands, notices and communications hereunder shall be in writing and shall be deemed to have been duly given if personally delivered at or mailed by registered mail, postage prepaid, addressed as follows:
if to the Seller:
Bank of America, N.A.
100 North Tryon Street
Charlotte, North Carolina 28255
Attention: General Counsel
or such other address as may hereafter be furnished to the Purchaser in writing by the Seller.
if to the Purchaser:
Asset Backed Funding Corporation
214 North Tyron Street
21st Floor
Charlotte, North Carolina 28255
Attention: Daniel B. Goodwin
or such other address as may hereafter be furnished to the Seller in writing by the Purchaser.
Section 7.04 Severability of Provisions. If any one or more of the covenants, agreements, provisions or terms of this Agreement shall be held invalid for any reason whatsoever, then such covenants, agreements, provisions or terms shall be deemed severable from the remaining covenants, agreements, provisions or terms of this Agreement and shall in no way affect the validity or enforceability of the other provisions of this Agreement.
Section 7.05 Counterparts. This Agreement may be executed in one or more counterparts by the different parties hereto on separate counterparts, each of which, when so executed, shall be deemed to be an original and such counterparts, together, shall constitute one and the same agreement.
Section 7.06 Further Agreements. The Purchaser and the Seller each agree to execute and deliver to the other such additional documents, instruments or agreements as may be necessary or reasonable and appropriate to effectuate the purposes of this Agreement or in connection with the issuance of any Series of Certificates representing interests in the Mortgage Loans.
Without limiting the generality of the foregoing, as a further inducement for the Purchaser to purchase the Mortgage Loans from the Seller, the Seller will cooperate with the Purchaser in connection with the sale of any of the securities representing interests in the Mortgage Loans. In that connection, the Seller will provide to the Purchaser any and all information and appropriate verification of information, whether through letters of its auditors and counsel or otherwise, as the Purchaser shall reasonably request and will provide to the Purchaser such additional representations and warranties, covenants, opinions of counsel, letters from auditors, and certificates of public officials or officers of the Seller as are reasonably required in connection with such transactions and the offering of investment grade securities rated by the Rating Agencies.
Section 7.07 Intention of the Parties. It is the intention of the parties that the Purchaser is purchasing, and the Seller is selling, the Mortgage Loans rather than the pledging of the Mortgage Loans by the Seller to secure a loan by the Purchaser to the Seller. Accordingly, the parties hereto each intend to treat the transaction for Federal income tax purposes and all other purposes as a sale by the Seller and a purchase by the Purchaser of the Mortgage Loans. The Purchaser will have the right to review the Mortgage Loans and the related Mortgage Files to determine the characteristics of the Mortgage Loans which will affect the Federal income tax consequences of owning the Mortgage Loans and the Seller will cooperate with all reasonable requests made by the Purchaser in the course of such review.
Section 7.08 Successors and Assigns; Assignment of this Agreement. This Agreement shall bind and inure to the benefit of and be enforceable by the Seller, the Purchaser and the Trustee. The obligations of the Seller under this Agreement cannot be assigned or delegated to a third party without the consent of the Purchaser and which consent shall be at the Purchaser’s sole discretion, except that the Purchaser acknowledges and agrees that the Seller may assign its obligations hereunder to any Person into which the Seller is merged or any corporation resulting from any merger, conversion or consolidation to which the Seller is a party or any Person succeeding to the business of the Seller. The parties hereto acknowledge that the Purchaser is acquiring the Mortgage Loans for the purpose of contributing them to a trust that will issue a series of certificates representing undivided interests in such Mortgage Loans. As an inducement to the Purchaser to purchase the Mortgage Loans, the Seller acknowledges and consents to the assignment by the Purchaser to the Trustee of all of the Purchaser’s rights against the Seller pursuant to this Agreement insofar as such rights relate to Mortgage Loans transferred to the Trustee and to the enforcement or exercise of any right or remedy against the Seller pursuant to this Agreement by the Trustee. Such enforcement of a right or remedy by the Trustee shall have the same force and effect as if the right or remedy had been enforced or exercised by the Purchaser directly.
Section 7.09 Survival. The representations and warranties set forth in Sections 3.01 and 3.02 hereof shall survive the purchase of the Mortgage Loans hereunder.
IN WITNESS WHEREOF, the Seller and the Purchaser have caused their names to be signed to this Mortgage Loan Purchase Agreement by their respective officers thereunto duly authorized as of the day and year first above written.
ASSET BACKED FUNDING CORPORATION, | |
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STATE OF NORTH CAROLINA | ) |
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On the 30th day of September, 2005 before me, a Notary Public in and for said State, personally appeared __________________, known to me to be a Vice President of Asset Backed Funding Corporation, the corporation that executed the within instrument, and also known to me to be the person who executed it on behalf of said corporation, and acknowledged to me that such corporation executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.
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STATE OF NORTH CAROLINA | ) |
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On the 30th day of September, 2005 before me, a Notary Public in and for said State, personally appeared _________________, known to me to be a Vice President of Bank of America, N.A., the company that executed the within instrument, and also known to me to be the person who executed it on behalf of said association, and acknowledged to me that such association executed the within instrument.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed my official seal the day and year in this certificate first above written.
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SCHEDULE I
MORTGAGE LOAN SCHEDULE
See Exhibit D of the Pooling and Servicing Agreement
EXHIBIT H
FORM OF LOST NOTE AFFIDAVIT
Personally appeared before me the undersigned authority to administer oaths, ______________________ who first being duly sworn deposes and says: Deponent is ______________________ of ______________________________, successor by merger to _________________________________________ (“Seller”) and who has personal knowledge of the facts set out in this affidavit.
On ___________________, _________________________ did execute and deliver a promissory note in the principal amount of $__________.
That said note has been misplaced or lost through causes unknown and is presently lost and unavailable after diligent search has been made. Seller’s records show that an amount of principal and interest on said note is still presently outstanding, due, and unpaid, and Seller is still owner and holder in due course of said lost note.
Seller executes this Affidavit for the purpose of inducing Wells Fargo Bank, N.A., as trustee on behalf of ABFC Asset-Backed Certificates, Series 2005-WMC1, to accept the transfer of the above described loan from Seller.
Seller agrees to indemnify and hold harmless Wells Fargo Bank, N.A. and Asset Backed Funding Corporation for any losses incurred by such parties resulting from the above described promissory note has been lost or misplaced.
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On this ____ day of _______ 20__, before me, a Notary Public, in and for said County and State, appeared ________________________, who acknowledged the extension of the foregoing and who, having been duly sworn, states that any representations therein contained are true.
Witness my hand and Notarial Seal this ____ day of _______ 20__.
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EXHIBIT I
FORM OF ERISA REPRESENTATION
Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota, 55479-0113
Attn: Client Manager – ABFC, Series 2005-WMC1
Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
| Re: | ABFC Asset-Backed Certificates, Series 2005-WMC1 |
Ladies and Gentlemen:
1. [The undersigned is the ______________________ of (the “Transferee”) a [corporation duly organized] and existing under the laws of __________, on behalf of which he makes this affidavit.] [The undersigned, ___________________, is the transferee (the “Transferee”).]
2. The Transferee hereby acknowledges that under the terms of the Pooling and Servicing Agreement (the “Agreement”) among Asset Backed Funding Corporation, as depositor (the “Depositor”), HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as trustee (the “Trustee”), no transfer of the ERISA-Restricted Certificates shall be permitted to be made to any person unless the Depositor and the Certificate Registrar (as defined in the Agreement) have received a certificate from such transferee in the form hereof.
3. The Transferee either (x) (i) is not an employee benefit plan subject to Section 406 or Section 407 of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), or Section 4975 of the Internal Revenue Code of 1986, as amended (the “Code”) or any materially similar provisions of applicable federal, state or local law (“Similar Law”), the Trustee of any such plan or a person acting on behalf of any such plan nor a person using the assets of any such plan or (ii) (except in the case of the Class R, Class CE and Class P Certificates) is an insurance company which is purchasing such Certificates with funds contained in an “insurance company general account” (as such term is defined in Section V(e) of Prohibited Transaction Class Exemption 95-60 (“PTCE 95-60”) and that the purchase and holding of such Certificates are covered under Sections I and III of PTCE 95-60 or (y) (except in the case of the Class R Certificate) shall deliver to the Certificate Registrar and the Depositor an opinion of counsel (a “Benefit Plan Opinion”) satisfactory to the Certificate Registrar, and upon which the Certificate Registrar and the Depositor shall be entitled to rely, to the effect that the purchase or holding of such Certificate by the Transferee will not constitute or result in a non-exempt prohibited transaction within the meaning of ERISA or Section 4975 of the Code (or similar provisions of Similar Law) and will not subject the Trustee or the Depositor to any obligation in addition to those undertaken by such entities in the Pooling and Servicing Agreement, which opinion of counsel shall not be an expense of the Trustee or the Depositor.
Capitalized terms used but not defined herein shall have the meanings ascribed to such terms in the Agreement.
IN WITNESS WHEREOF, the Transferee has executed this certificate.
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EXHIBIT J-1
FORM OF INVESTMENT LETTER [NON-RULE 144A]
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Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota, 55479-0113
Attn: Client Manager – ABFC, Series 2005-WMC1
Ladies and Gentlemen:
In connection with our acquisition of the ABFC Asset-Backed Certificates, Series 2005-WMC1 (the “Certificates”), we certify that (a) we understand that the Certificates are not being registered under the Securities Act of 1933, as amended (the “Act”), or any state securities laws and are being transferred to us in a transaction that is exempt from the registration requirements of the Act and any such laws, (b) we are an “accredited investor,” as defined in Regulation D under the Act, and have such knowledge and experience in financial and business matters that we are capable of evaluating the merits and risks of investments in the Certificates, (c) we have had the opportunity to ask questions of and receive answers from the Depositor concerning the purchase of the Certificates and all matters relating thereto or any additional information deemed necessary to our decision to purchase the Certificates, (d) we are acquiring the Certificates for investment for our own account and not with a view to any distribution of such Certificates (but without prejudice to our right at all times to sell or otherwise dispose of the Certificates in accordance with clause (g) below), (e) we agree that the Certificates must be held indefinitely by us and we acknowledge that we are able to bear the economic risk of investment in the Certificates, (f) we have not offered or sold any Certificates to, or solicited offers to buy any Certificates from, any person, or otherwise approached or negotiated with any person with respect thereto, or taken any other action which would result in a violation of Section 5 of the Act, (g) we will not sell, transfer or otherwise dispose of any Certificates unless (1) such sale, transfer or other disposition is made pursuant to an effective registration statement under the Act or is exempt from such registration requirements, and if requested, we will at our expense provide an opinion of counsel satisfactory to the addressees of this Certificate that such sale, transfer or other disposition may be made pursuant to an exemption from the Act, (2) the purchaser or transferee of such Certificate has executed and delivered to you a certificate to substantially the same effect as this certificate, and (3) the purchaser or transferee has otherwise complied with any conditions for transfer set forth in the Pooling and Servicing Agreement and (h) we acknowledge that the Certificates will bear a legend setting forth the applicable restrictions on transfer.
Very truly yours,
[NAME OF TRANSFEREE] | ||||||
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EXHIBIT J-2
FORM OF RULE 144A INVESTMENT LETTER
[DATE]
Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota, 55479-0113
Attn: Client Manager – ABFC, Series 2005-WMC1
| Re: | ABFC Asset-Backed Certificates, Series 2005-WMC1 |
Ladies and Gentlemen:
In connection with our acquisition of the ABFC Asset-Backed Certificates, Series 2005-WMC1 (the “Certificates”), we certify that (a) we understand that the Certificates are not being registered under the Securities Act of 1933, as amended (the “Act”), or any state securities laws and are being transferred to us in a transaction that is exempt from the registration requirements of the Act and any such laws, (b) we have had the opportunity to ask questions of and receive answers from the Depositor concerning the purchase of the Certificates and all matters relating thereto or any additional information deemed necessary to our decision to purchase the Certificates, (c) we have not, nor has anyone acting on our behalf offered, transferred, pledged, sold or otherwise disposed of the Certificates, any interest in the Certificates or any other similar security to, or solicited any offer to buy or accept a transfer, pledge or other disposition of the Certificates, any interest in the Certificates or any other similar security from, or otherwise approached or negotiated with respect to the Certificates, any interest in the Certificates or any other similar security with, any person in any manner, or made any general solicitation by means of general advertising or in any other manner, or taken any other action, that would constitute a distribution of the Certificates under the Securities Act or that would render the disposition of the Certificates a violation of Section 5 of the Securities Act or require registration pursuant thereto, nor will act, nor has authorized or will authorize any person to act, in such manner with respect to the Certificates, (d) we are a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act and have completed either of the forms of certification to that effect attached hereto as Annex 1 or Annex 2. We are aware that the sale to us is being made in reliance on Rule 144A. We are acquiring the Certificates for our own account or for resale pursuant to Rule 144A and further, understand that such Certificates may be resold, pledged or transferred only (i) to a person reasonably believed to be a qualified institutional buyer that purchases for its own account or for the account of a qualified institutional buyer to whom notice is given that the resale, pledge or transfer is being made in reliance on Rule 144A, or (ii) pursuant to another exemption from registration under the Securities Act.
Very truly yours,
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ANNEX 1 TO EXHIBIT J
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Transferees Other Than Registered Investment Companies]
The undersigned (the “Buyer”) hereby certifies as follows to the parties listed in the Rule 144A Transferee Certificate to which this certification relates with respect to the Certificates described therein:
i. As indicated below, the undersigned is the President, Chief Financial Officer, Senior Vice President or other executive officer of the Buyer.
ii. In connection with purchases by the Buyer, the Buyer is a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act of 1933, as amended (“Rule 144A”) because (i) the Buyer owned and/or invested on a discretionary basis $ in securities (except for the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year (such amount being calculated in accordance with Rule 144A and (ii) the Buyer satisfies the criteria in the category marked below.
___ Corporation, etc. The Buyer is a corporation (other than a bank, savings and loan association or similar institution), Massachusetts or similar business trust, partnership, or charitable organization described in Section 501(c)(3) of the Internal Revenue Code of 1986, as amended.
___ Bank. The Buyer (a) is a national bank or banking institution organized under the laws of any State, territory or the District of Columbia, the business of which is substantially confined to banking and is supervised by the State or territorial banking commission or similar official or is a foreign bank or equivalent institution, and (b) has an audited net worth of at least $25,000,000 as demonstrated in its latest annual financial statements, a copy of which is attached hereto.
___ Savings and Loan. The Buyer (a) is a savings and loan association, building and loan association, cooperative bank, homestead association or similar institution, which is supervised and examined by a State or Federal authority having supervision over any such institutions or is a foreign savings and loan association or equivalent institution and (b) has an audited net worth of at least $25,000,000 as demonstrated in its latest annual financial statements, a copy of which is attached hereto.
___ Broker-dealer. The Buyer is a dealer registered pursuant to Section 15 of the Securities Exchange Act of 1934.
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Buyer must own and/or invest on a discretionary basis at least $__________ in securities unless Buyer is a dealer, and, in that case, Buyer must own and/or invest on a discretionary basis at least $__________ in securities.
___ Insurance Company. The Buyer is an insurance company whose primary and predominant business activity is the writing of insurance or the reinsuring of risks underwritten by insurance companies and which is subject to supervision by the insurance commissioner or a similar official or agency of a State, territory or the District of Columbia.
___ State or Local Plan. The Buyer is a plan established and maintained by a State, its political subdivisions, or any agency or instrumentality of the State or its political subdivisions, for the benefit of its employees.
___ ERISA Plan. The Buyer is an employee benefit plan within the meaning of Title I of the Employee Retirement Income Security Act of 1974.
___ Investment Advisor. The Buyer is an investment advisor registered under the Investment Advisors Act of 1940.
___ Small Business Investment Company. Buyer is a small business investment company licensed by the U.S. Small Business Administration under Section 301(c) or (d) of the Small Business Investment Act of 1958.
___ Business Development Company. Buyer is a business development company as defined in Section 202(a)(22) of the Investment Advisors Act of 1940.
iii. The term “securities” as used herein does not include (i) securities of issuers that are affiliated with the Buyer, (ii) securities that are part of an unsold allotment to or subscription by the Buyer, if the Buyer is a dealer, (iii) securities issued or guaranteed by the U.S. or any instrumentality thereof, (iv) bank deposit notes and certificates of deposit, (v) loan participations, (vi) repurchase agreements, (vii) securities owned but subject to a repurchase agreement and (viii) currency, interest rate and commodity swaps.
iv. For purposes of determining the aggregate amount of securities owned and/or invested on a discretionary basis by the Buyer, the Buyer used the cost of such securities to the Buyer and did not include any of the securities referred to in the preceding paragraph, except (i) where the Buyer reports its securities holdings in its financial statements on the basis of their market value, and (ii) no current information with respect to the cost of those securities has been published. If clause (ii) in the preceding sentence applies, the securities may be valued at market. Further, in determining such aggregate amount, the Buyer may have included securities owned by subsidiaries of the Buyer, but only if such subsidiaries are consolidated with the Buyer in its financial statements prepared in accordance with generally accepted accounting principles and if the investments of such subsidiaries are managed under the Buyer’s direction. However, such securities were not included if the Buyer is a majority-owned, consolidated subsidiary of another enterprise and the Buyer is not itself a reporting company under the Securities Exchange Act of 1934, as amended.
v. The Buyer acknowledges that it is familiar with Rule 144A and understands that the seller to it and other parties related to the Certificates are relying and will
continue to rely on the statements made herein because one or more sales to the Buyer may be in reliance on Rule 144A.
vi. Until the date of purchase of the Rule 144A Securities, the Buyer will notify each of the parties to which this certification is made of any changes in the information and conclusions herein. Until such notice is given, the Buyer’s purchase of the Certificates will constitute a reaffirmation of this certification as of the date of such purchase. In addition, if the Buyer is a bank or savings and loan is provided above, the Buyer agrees that it will furnish to such parties updated annual financial statements promptly after they become available.
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ANNEX 2 TO EXHIBIT J
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Transferees That are Registered Investment Companies]
The undersigned (the “Buyer”) hereby certifies as follows to the parties listed in the Rule 144A Transferee Certificate to which this certification relates with respect to the Certificates described therein:
1. As indicated below, the undersigned is the President, Chief Financial Officer or Senior Vice President of the Buyer or, if the Buyer is a “qualified institutional buyer” as that term is defined in Rule 144A under the Securities Act of 1933, as amended (“Rule 144A”) because Buyer is part of a Family of Investment Companies (as defined below), is such an officer of the Adviser.
2. In connection with purchases by Buyer, the Buyer is a “qualified institutional buyer” as defined in SEC Rule 144A because (i) the Buyer is an investment company registered under the Investment Company Act of 1940, as amended and (ii) as marked below, the Buyer alone, or the Buyer’s Family of Investment Companies, owned at least $100,000,000 in securities (other than the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year. For purposes of determining the amount of securities owned by the Buyer or the Buyer’s Family of Investment Companies, the cost of such securities was used, except (i) where the Buyer or the Buyer’s Family of Investment Companies reports its securities holdings in its financial statements on the basis of their market value, and (ii) no current information with respect to the cost of those securities has been published. If clause (ii) in the preceding sentence applies, the securities may be valued at market.
___ The Buyer owned $ in securities (other than the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year (such amount being calculated in accordance with Rule 144A).
___ The Buyer is part of a Family of Investment Companies which owned in the aggregate $ in securities (other than the excluded securities referred to below) as of the end of the Buyer’s most recent fiscal year (such amount being calculated in accordance with Rule 144A).
3. The term “Family of Investment Companies” as used herein means two or more registered investment companies (or series thereof) that have the same investment adviser or investment advisers that are affiliated (by virtue of being majority owned subsidiaries of the same parent or because one investment adviser is a majority owned subsidiary of the other).
4. The term “securities” as used herein does not include (i) securities of issuers that are affiliated with the Buyer or are part of the Buyer’s Family of Investment Companies, (ii) securities issued or guaranteed by the U.S. or any instrumentality thereof, (iii) bank deposit notes and certificates of deposit, (iv) loan participations, (v) repurchase agreements, (vi) securities owned but subject to a repurchase agreement and (vii) currency, interest rate and commodity swaps.
5. The Buyer is familiar with Rule 144A and understands that the parties listed in the Rule 144A Transferee Certificate to which this certification relates are relying and will continue to rely on the statements made herein because one or more sales to the Buyer will be in reliance on Rule 144A. In addition, the Buyer will only purchase for the Buyer’s own account.
6. Until the date of purchase of the Certificates, the undersigned will notify the parties listed in the Rule 144A Transferee Certificate to which this certification relates of any changes in the information and conclusions herein. Until such notice is given, the Buyer’s purchase of the Certificates will constitute a reaffirmation of this certification by the undersigned as of the date of such purchase.
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EXHIBIT K
FORM OF RESIDUAL CERTIFICATE TRANSFER AFFIDAVIT
ABFC ASSET-BACKED CERTIFICATES, SERIES 2005-WMC1
STATE OF | ) |
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COUNTY OF___________ | ) |
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The undersigned, being first duly sworn, deposes and says as follows:
1. The undersigned is [an officer of] , the proposed Transferee of an Ownership Interest in the Class R and Class R-X Certificates (the “Residual Certificates”) issued pursuant to the Pooling and Servicing Agreement, (the “Agreement”), relating to the above-referenced Certificates, among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as Servicer, and Wells Fargo Bank, N.A., as trustee (the “Trustee”). Capitalized terms used, but not defined herein shall have the meanings ascribed to such terms in the Agreement. The Transferee has authorized the undersigned to make this affidavit on behalf of the Transferee.
2. The Transferee is, as of the date hereof, and will be, as of the date of the Transfer, a Permitted Transferee. The Transferee is acquiring its Ownership Interest in the Certificates either (i) for its own account or (ii) as nominee, trustee or agent for another Person and has attached hereto an affidavit from such Person in substantially the same form as this affidavit. The Transferee has no knowledge that any such affidavit is false.
3. The Transferee has been advised of, and understands that (i) a tax will be imposed on Transfers of the Certificates to Persons that are Disqualified Organization; (ii) such tax will be imposed on the transferor, or, if such Transfer is through an agent (which includes a broker, nominee or middleman) for a Person that is a Disqualified Organization, on the agent; and (iii) the Person otherwise liable for the tax shall be relieved of liability for the tax if the subsequent Transferee furnished to such Person an affidavit that such subsequent Transferee is not a Disqualified Organization and, at the time of Transfer, such Person does not have actual knowledge that the affidavit is false.
4. The Transferee has been advised of, and understands that a tax will be imposed on a “pass-through entity” holding the Certificates if at any time during the taxable year of the pass-through entity a Person that is a Disqualified Organization is the record holder of an interest in such entity. The Transferee understands that such tax will not be imposed for any period with respect to which the record holder furnishes to the pass-through entity an affidavit that such record holder is not a Disqualified Organization and the pass-through entity does not have actual knowledge that such affidavit is false. (For this purpose, a “pass-through entity” includes a regulated investment company, a real estate investment trust or common trust fund, a partnership, trust or estate, and certain cooperatives and, except as may be provided in Treasury Regulations, persons holding interests in pass-through entities as a nominee for another Person.)
5. The Transferee has reviewed the provisions of Section 5.02(d) of the Agreement and understands the legal consequences of the acquisition of an Ownership Interest in the Certificates including, without limitation, the restrictions on subsequent Transfers and the provisions regarding voiding the Transfer and mandatory sales. The Transferee expressly agrees to be bound by and to abide by the provisions of Section 5.02(d) of the Agreement and the restrictions noted on the face of the Certificates. The Transferee understands and agrees that any breach of any of the representations included herein shall render the Transfer to the Transferee contemplated hereby null and void.
6. The Transferee agrees to require a Transfer Affidavit from any Person to whom the Transferee attempts to Transfer its Ownership Interest in the Certificates, and in connection with any Transfer by a Person for whom the Transferee is acting as nominee, trustee or agent, and the Transferee will not Transfer its Ownership Interest or cause any Ownership Interest to be Transferred to any Person that the Transferee knows is not a Permitted Transferee. In connection with any such Transfer by the Transferee, the Transferee agrees to deliver to the Trustee a certificate substantially in the form set forth in this Exhibit L to the Agreement (a “Transferor Certificate”) to the effect that such Transferee has no actual knowledge that the Person to which the Transfer is to be made is not a Permitted Transferee.
7. The Transferee does not have the intention to impede the assessment or collection of any tax legally required to be paid with respect to the Certificates.
| 8. | The Transferee’s taxpayer identification number is | . |
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| 9. | The Transferee is a U.S. Person as defined in Code Section 7701(a)(30). |
10. The Transferee is aware that the Certificates may be a “noneconomic residual interest” within the meaning of Treasury regulations promulgated pursuant to the Code and that the transferor of a noneconomic residual interest will remain liable for any taxes due with respect to the income on such residual interest, unless no significant purpose of the transfer was to impede the assessment or collection of tax.
11. That the Transferee will not cause income from the Residual Certificates to be attributable to a foreign permanent establishment or fixed base, within the meaning of an applicable income tax treaty, of the Transferee or any other person.
12. That, if the Transferee is purchasing the Residual Certificates in a transfer intended to meet the safe harbor provisions of Treasury Regulations Sections 1.860E-1(c), the Transferee has executed and attached Attachment A hereto.
13. The Transferee is not an employee benefit plan that is subject to ERISA or a plan that is subject to Section 4975 of the Code or a plan or arrangement subject to any materially similar provisions of applicable federal, state or local law, nor are we acting on behalf of such a plan.
IN WITNESS WHEREOF, the Transferee has caused this instrument to be executed on its behalf, pursuant to authority of its Board of Directors, by its duly authorized officer, duly attested, this day of , 20 .
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ATTEST:
[Assistant] Secretary
Personally appeared before me the above-named , known or proved to me to be the same person who executed the foregoing instrument and to be the of the Transferee, and acknowledged that he executed the same as his free act and deed and the free act and deed of the Transferee.
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ATTACHMENT A
to
AFFIDAVIT PURSUANT TO SECTION 860E(e)(4) OF
THE INTERNAL REVENUE CODE OF 1986, AS AMENDED
Check the appropriate box:
o The consideration paid to the Transferee to acquire the Residual Certificates equals or exceeds the excess of (a) the present value of the anticipated tax liabilities over (b) the present value of the anticipated savings associated with holding such Certificate, in each case calculated in accordance with U.S. Treasury Regulations Sections 1.860E-1(c)(7) and (8), computing present values using a discount rate equal to the short-term Federal rate prescribed by Section 1274(d) of the Code and the compounding period used by the Transferee.
OR
o The transfer of the Residual Certificates complies with U.S. Treasury Regulations Sections 1.860E-1(c)(5) and (6) and, accordingly:
(i) the Transferee is an “eligible corporation,” as defined in U.S. Treasury Regulations Section 1.860E-1(c)(6)(i), as to which income from the Residual Certificates will only be taxed in the United States;
(ii) at the time of the transfer, and at the close of the Transferee’s two fiscal years preceding the year of the transfer, the Transferee had gross assets for financial reporting purposes (excluding any obligation of a person related to the Transferee within the meaning of U.S. Treasury Regulations Section 1.860E-1(c)(6)(ii)) in excess of $100 million and net assets in excess of $10 million;
(iii) the Transferee will transfer the Residual Certificates only to another “eligible corporation,” as defined in U.S. Treasury Regulations Section 1.860E-1(c)(6)(i), in a transaction that satisfies the requirements of Sections 1.860E-1(c)(4)(i), (ii) and (iii) and Section 1.860E-1(c)(5) of the U.S. Treasury Regulations;
(iv) the Transferee has determined the consideration paid to it to acquire the Residual Certificates based on reasonable market assumptions (including, but not limited to, borrowing and investment rates, prepayment and loss assumptions, expense and reinvestment assumptions, tax rates and other factors specific to the Transferee) that it has determined in good faith; and
(v) in the event of any transfer of the Residual Certificates by the Transferee, the Transferee will require its transferee to complete a representation in the form of this Attachment A as a condition of the transferee’s purchase of the Residual Certificates.
EXHIBIT L
FORM OF TRANSFEROR CERTIFICATE
| [DATE] |
Wells Fargo Bank, N.A.
Sixth Street and Marquette Avenue
Minneapolis, Minnesota, 55479-0113
Attn: Client Manager – ABFC, Series 2005-WMC1
Asset Backed Funding Corporation
214 North Tryon Street
21st Floor
Charlotte, North Carolina 28255
| Re: | ABFC Asset-Backed Certificates, Series 2005-WMC1 |
Ladies and Gentlemen:
In connection with our disposition of the ABFC Asset-Backed Certificates, Series 2005-WMC1 (the “Certificates”), we certify that (a) we understand that the Certificates have not been registered under the Securities Act of 1933, as amended (the “Act”), and are being disposed by us in a transaction that is exempt from the registration requirements of the Act, (b) we have not offered or sold any Certificates to, or solicited offers to buy any Certificates from, any person, or otherwise approached or negotiated with any person with respect thereto, in a manner that would be deemed, or taken any other action which would result in, a violation of Section 5 of the Act, (c) to the extent we are disposing of the Class R and Class R-X Certificates (the “Residual Certificates”), we have no knowledge the Transferee is not a Permitted Transferee and (d) no purpose of the proposed disposition of the Residual Certificates is to impede the assessment or collection of tax.
Very truly yours,
[_____________________]
By: ______________________________
EXHIBIT M
MONTHLY INFORMATION DELIVERED BY SERVICER
1. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the number and Principal Balances of all Mortgage Loans which were the subject of Principal Prepayments during the related Prepayment Period. |
2. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the amount of all curtailments which were received during the related Prepayment Period. |
3. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the aggregate amount of the principal portion of all Monthly Payments received during the related Collection Period. |
4. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the amount of interest received on the Mortgage Loans during the related Collection Period. |
5. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the aggregate amount of the Advances made and recovered with respect to such Distribution Date. |
6. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the aggregate amount of the Servicing Advances made and recovered with respect to such Distribution Date. |
7. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the delinquency and foreclosure information and the amount of Mortgage Loan Losses during the related Collection Period. |
8. | The information contained in the Liquidation Report for the related Collection Period. |
9. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the weighted average maturity, the weighted average Mortgage Interest Rate and the weighted average Net Mortgage Interest Rate as of the last day of the Collection Period preceding of the related Interest Accrual Period. |
10. | The Servicing Fees paid and Servicing Fees accrued during the related Collection Period. |
11. | The Credit Risk Manager Fees paid and Credit Risk Manager Fees accrued during the related Collection Period. |
12. | The amount of all payments or reimbursements to the Servicer paid or to be paid since the prior Distribution Date (or in the case of the first Distribution Date, since the Closing Date). |
13. | The Pool Balance, the aggregate Principal Balance of the Group 1 Mortgage Loan and the aggregate Principal Balance of the Group 2 Mortgage Loans. |
14. | With respect to the Mortgage Pool, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, the number of Mortgage Loans outstanding at the beginning and at the end of the related Collection Period. |
15. | The aggregate interest accrued on the Mortgage Loans, the Group 1 Mortgage Loans and the Group 2 Mortgage Loans, at their respective Mortgage Interest Rates for the related Collection Period. |
16. | The amount deposited in the Collection Account which may not be withdrawn therefrom pursuant to an Order of a United States Bankruptcy Court of competent jurisdiction imposing a stay pursuant to Section 362 of U.S. Bankruptcy Code. |
17. | The aggregate Realized Losses in the Mortgage Pool, in the Group 1 Mortgage Loans and in the Group 2 Mortgage Loans since the Cut-off Date as of the end of the related Collection Period. |
18. | The amount of Prepayment Charges received, the amount of Originator Prepayment Charge Payment Amounts paid, the amount of Servicer Prepayment Charge Payment Amounts paid, and the reason for any Prepayment Charges waived without a corresponding Servicer Prepayment Charge Payment Amount, all for the related Collection Period. |
19. | The amount of any Net Swap Payment received or distributed with respect to such Distribution Date. |
EXHIBIT N
Form of Interest Rate Swap Agreement
(Multicurrency—Cross Border)
ISDA®
International Swap and Derivatives Association, Inc.
MASTER AGREEMENT
dated as of September 30, 2005
BARCLAYS BANK PLC | and | WELLS FARGO BANK, N.A., NOT IN ITS INDIVIDUAL CAPACITY, BUT SOLELY AS TRUSTEE FOR THE SUPPLEMENTAL INTEREST TRUST CREATED UNDER THE POOLING AND SERVICING AGREEMENT
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("Party A") |
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have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those Transactions. |
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Accordingly, the parties agree as follows:— |
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1. Interpretation |
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(a) Definitions. The terms defined in Section 14 and in the Schedule will have the meanings therein specified for the purpose of this Master Agreement. |
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(b) Inconsistency. In the event of any inconsistency between the provisions of the Schedule and the other provisions of this Master Agreement, the Schedule will prevail. In the event of any inconsistency between the provisions of any Confirmation and this Master Agreement (including the Schedule), such Confirmation will prevail for the purpose of the relevant Transaction. |
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(c) Single Agreement. All Transactions are entered into in reliance on the fact that this Master Agreement and all Confirmations form a single agreement between the parties (collectively referred to as this “Agreement”), and the parties would not otherwise enter into any Transactions. |
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2. Obligations |
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(a) General Conditions. |
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(i) Each party will make each payment or delivery specified in each Confirmation to be made by it, subject to the other provisions of this Agreement. |
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(ii) Payments under this Agreement will be made on the due date for value on that date in the place of the account specified in the relevant Confirmation or otherwise pursuant to this Agreement, in freely transferable funds and in the manner customary for payments in the required currency. Where settlement is by delivery (that is, other than by payment), such delivery will be made for receipt on the due date in the manner customary for the relevant obligation unless otherwise specified in the relevant Confirmation or elsewhere in this Agreement. |
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(iii) Each obligation of each party under Section 2(a)(i) is subject to (1) the condition precedent that no Event of Default or Potential Event of Default with respect to the other party has occurred and is continuing, (2) the condition precedent that no Early Termination Date in respect of the relevant Transaction has occurred or been effectively designated and (3) each other applicable condition precedent specified in this Agreement. |
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Copyright © 1992 by International Swap and Derivatives Association, Inc.
(b) Change of Account. Either party may change its account for receiving a payment or delivery by giving notice to the other party at least five Local Business Days prior to the scheduled date for the payment or delivery to which such change applies unless such other party gives timely notice of a reasonable objection to such change. |
(c) Netting. If on any date amounts would otherwise be payable:— |
(i) in the same currency; and |
(ii) in respect of the same Transaction, |
by each party to the other, then, on such date, each party's obligation to make payment of any such amount will be automatically satisfied and discharged and, if the aggregate amount that would otherwise have been payable by one party exceeds the aggregate amount that would otherwise have been payable by the other party, replaced by an obligation upon the party by whom the larger aggregate amount would have been payable to pay to the other party the excess of the larger aggregate amount over the smaller aggregate amount. |
The parties may elect in respect of two or more Transactions that a net amount will be determined in respect of all amounts payable on the same date in the same currency in respect of such Transactions, regardless of whether such amounts are payable in respect of the same Transaction. The election may be made in the Schedule or a Confirmation by specifying that subparagraph (ii) above will not apply to the Transactions identified as being subject to the election, together with the starting date (in which case subparagraph (ii) above will not, or will cease to, apply to such Transactions from such date). This election may be made separately for different groups of Transactions and will apply separately to each pairing of Offices through which the parties make and receive payments or deliveries. |
(d) Deduction or Withholding for Tax. |
(i) Gross-Up. All payments under this Agreement will be made without any deduction or withholding for or on account of any Tax unless such deduction or withholding is required by any applicable law, as modified by the practice of any relevant governmental revenue authority, then in effect. If a party is so required to deduct or withhold, then that party (“X”) will:— |
(1) promptly notify the other party (“Y”) of such requirement; |
(2) pay to the relevant authorities the full amount required to be deducted or withheld (including the full amount required to be deducted or withheld from any additional amount paid by X to Y under this Section 2(d)) promptly upon the earlier of determining that such deduction or withholding is required or receiving notice that such amount has been assessed against Y; |
(3) promptly forward to Y an official receipt (or a certified copy), or other documentation reasonably acceptable to Y, evidencing such payment to such authorities; and |
(4) if such Tax is an Indemnifiable Tax, pay to Y, in addition to the payment to which Y is otherwise entitled under this Agreement, such additional amount as is necessary to ensure that the net amount actually received by Y (free and clear of Indemnifiable Taxes, whether assessed against X or Y) will equal the full amount Y would have received had no such deduction or withholding been required. However, X will not be required to pay any additional amount to Y to the extent that it would not be required to be paid but for:— |
(A) the failure by Y to comply with or perform any agreement contained in Section 4(a)(i), 4(a)(iii) or 4(d); or |
(B) the failure of a representation made by Y pursuant to Section 3(f) to be accurate and true unless such failure would not have occurred but for (I) any action taken by a taxing authority, or brought in a court of competent jurisdiction, on or after the date on which a Transaction is entered into (regardless of whether such action is taken or brought with respect to a party to this Agreement) or (II) a Change in Tax Law. |
(ii) Liability. If:— | |
(1) X is required by any applicable law, as modified by the practice of any relevant governmental revenue authority, to make any deduction or withholding in respect of which X would not be required to pay an additional amount to Y under Section 2(d)(i)(4); | |
(2) X does not so deduct or withhold; and | |
(3) a liability resulting from such Tax is assessed directly against X, | |
| then, except to the extent Y has satisfied or then satisfies the liability resulting from such Tax, Y will promptly pay to X the amount of such liability (including any related liability for interest, but including any related liability for penalties only if Y has failed to comply with or perform any agreement contained in Section 4(a)(i), 4(a)(iii) or 4(d)). |
(e) Default Interest; Other Amounts. Prior to the occurrence or effective designation of an Early Termination Date in respect of the relevant Transaction, a party that defaults in the performance of any payment obligation will, to the extent permitted by law and subject to Section 6(c), be required to pay interest (before as well as after judgment) on the overdue amount to the other party on demand in the same currency as such overdue amount, for the period from (and including) the original due date for payment to (but excluding) the date of actual payment, at the Default Rate. Such interest will be calculated on the basis of daily compounding and the actual number of days elapsed. If, prior to the occurrence or effective designation of an Early Termination Date in respect of the relevant Transaction, a party defaults in the performance of any obligation required to be settled by delivery, it will compensate the other party on demand if and to the extent provided for in the relevant Confirmation or elsewhere in this Agreement. | |
3. Representations | |
Each party represents to the other party (which representations will be deemed to be repeated by each party on each date on which a Transaction is entered into and, in the case of the representations in Section 3(f), at all times until the termination of this Agreement) that:— | |
(a) Basic Representations. | |
(i) Status. It is duly organised and validly existing under the laws of the jurisdiction of its organisation or incorporation and, if relevant under such laws, in good standing; | |
(ii) Powers. It has the power to execute this Agreement and any other documentation relating to this Agreement to which it is a party, to deliver this Agreement and any other documentation relating to this Agreement that it is required by this Agreement to deliver and to perform its obligations under this Agreement and any obligations it has under any Credit Support Document to which it is a party and has taken all necessary action to authorise such execution, delivery and performance; | |
(iii) No Violation or Conflict. Such execution, delivery and performance do not violate or conflict with any law applicable to it, any provision of its constitutional documents, any order or judgment of any court or other agency of government applicable to it or any of its assets or any contractual restriction binding on or affecting it or any of its assets; | |
(iv) Consents. All governmental and other consents that are required to have been obtained by it with respect to this Agreement or any Credit Support Document to which it is a party have been obtained and are in full force and effect and all conditions of any such consents have been complied with; and | |
(v) Obligations Binding. Its obligations under this Agreement and any Credit Support Document to which it is a party constitute its legal, valid and binding obligations, enforceable in accordance with their respective terms (subject to applicable bankruptcy, reorganisation, insolvency, moratorium or similar laws affecting creditors' rights generally and subject, as to enforceability, to equitable principles of general application (regardless of whether enforcement is sought in a proceeding in equity or at law)). | |
(b) Absence of Certain Events. No Event of Default or Potential Event of Default or, to its knowledge, Termination Event with respect to it has occurred and is continuing and no such event or circumstance would occur as a result of its entering into or performing its obligations under this Agreement or any Credit Support Document to which it is a party. |
(c) Absence of Litigation. There is not pending or, to its knowledge, threatened against it or any of its Affiliates any action, suit or proceeding at law or in equity or before any court, tribunal, governmental body, agency or official or any arbitrator that is likely to affect the legality, validity or enforceability against it of this Agreement or any Credit Support Document to which it is a party or its ability to perform its obligations under this Agreement or such Credit Support Document. |
(d) Accuracy of Specified Information. All applicable information that is furnished in writing by or on behalf of it to the other party and is identified for the purpose of this Section 3(d) in the Schedule is, as of the date of the information, true, accurate and complete in every material respect. |
(e) Payer Tax Representation. Each representation specified in the Schedule as being made by it for the purpose of this Section 3(e) is accurate and true. |
(f) Payee Tax Representations. Each representation specified in the Schedule as being made by it for the purpose of this Section 3(f) is accurate and true. |
4. Agreements |
Each party agrees with the other that, so long as either party has or may have any obligation under this Agreement or under any Credit Support Document to which it is a party:— |
(a) Furnish Specified Information. It will deliver to the other party or, in certain cases under subparagraph (iii) below, to such government or taxing authority as the other party reasonably directs:— |
(i) any forms, documents or certificates relating to taxation specified in the Schedule or any Confirmation; |
(ii) any other documents specified in the Schedule or any Confirmation; and |
(iii) upon reasonable demand by such other party, any form or document that may be required or reasonably requested in writing in order to allow such other party or its Credit Support Provider to make a payment under this Agreement or any applicable Credit Support Document without any deduction or withholding for or on account of any Tax or with such deduction or withholding at a reduced rate (so long as the completion, execution or submission of such form or document would not materially prejudice the legal or commercial position of the party in receipt of such demand), with any such form or document to be accurate and completed in a manner reasonably satisfactory to such other party and to be executed and to be delivered with any reasonably required certification, |
in each case by the date specified in the Schedule or such Confirmation or, if none is specified, as soon as reasonably practicable. |
(b) Maintain Authorisations. It will use all reasonable efforts to maintain in full force and effect all consents of any governmental or other authority that are required to be obtained by it with respect to this Agreement or any Credit Support Document to which it is a party and will use all reasonable efforts to obtain any that may become necessary in the future. |
(c) Comply with Laws. It will comply in all material respects with all applicable laws and orders to which it may be subject if failure so to comply would materially impair its ability to perform its obligations under this Agreement or any Credit Support Document to which it is a party. |
(d) Tax Agreement. It will give notice of any failure of a representation made by it under Section 3(f) to be accurate and true promptly upon learning of such failure. |
(e) Payment of Stamp Tax. Subject to Section 11, it will pay any Stamp Tax levied or imposed upon it or in respect of its execution or performance of this Agreement by a jurisdiction in which it is incorporated, |
organised, managed and controlled, or considered to have its seat, or in which a branch or office through which it is acting for the purpose of this Agreement is located (“Stamp Tax Jurisdiction”) and will indemnify the other party against any Stamp Tax levied or imposed upon the other party or in respect of the other party's execution or performance of this Agreement by any such Stamp Tax Jurisdiction which is not also a Stamp Tax Jurisdiction with respect to the other party. |
5. Events of Default and Termination Events |
(a) Events of Default. The occurrence at any time with respect to a party or, if applicable, any Credit Support Provider of such party or any Specified Entity of such party of any of the following events constitutes an event of default (an “Event of Default”) with respect to such party:— |
(i) Failure to Pay or Deliver. Failure by the party to make, when due, any payment under this Agreement or delivery under Section 2(a)(i) or 2(e) required to be made by it if such failure is not remedied on or before the third Local Business Day after notice of such failure is given to the party; |
(ii) Breach of Agreement. Failure by the party to comply with or perform any agreement or obligation (other than an obligation to make any payment under this Agreement or delivery under Section 2(a)(i) or 2(e) or to give notice of a Termination Event or any agreement or obligation under Section 4(a)(i), 4(a)(iii) or 4(d)) to be complied with or performed by the party in accordance with this Agreement if such failure is not remedied on or before the thirtieth day after notice of such failure is given to the party; |
(iii) Credit Support Default. |
(1) Failure by the party or any Credit Support Provider of such party to comply with or perform any agreement or obligation to be complied with or performed by it in accordance with any Credit Support Document if such failure is continuing after any applicable grace period has elapsed; |
(2) the expiration or termination of such Credit Support Document or the failing or ceasing of such Credit Support Document to be in full force and effect for the purpose of this Agreement (in either case other than in accordance with its terms) prior to the satisfaction of all obligations of such party under each Transaction to which such Credit Support Document relates without the written consent of the other party; or |
(3) the party or such Credit Support Provider disaffirms, disclaims, repudiates or rejects, in whole or in part, or challenges the validity of, such Credit Support Document; |
(iv) Misrepresentation. A representation (other than a representation under Section 3(e) or (f)) made or repeated or deemed to have been made or repeated by the party or any Credit Support Provider of such party in this Agreement or any Credit Support Document proves to have been incorrect or misleading in any material respect when made or repeated or deemed to have been made or repeated; |
(v) Default under Specified Transaction. The party, any Credit Support Provider of such party or any applicable Specified Entity of such party (1) defaults under a Specified Transaction and, after giving effect to any applicable notice requirement or grace period, there occurs a liquidation of, an acceleration of obligations under, or an early termination of, that Specified Transaction, (2) defaults, after giving effect to any applicable notice requirement or grace period, in making any payment or delivery due on the last payment, delivery or exchange date of, or any payment on early termination of, a Specified Transaction (or such default continues for at least three Local Business Days if there is no applicable notice requirement or grace period) or (3) disaffirms, disclaims, repudiates or rejects, in whole or in part, a Specified Transaction (or such action is taken by any person or entity appointed or empowered to operate it or act on its behalf); |
(vi) Cross Default. If “Cross Default” is specified in the Schedule as applying to the party, the occurrence or existence of (1) a default, event of default or other similar condition or event (however |
described) in respect of such party, any Credit Support Provider of such party or any applicable Specified Entity of such party under one or more agreements or instruments relating to Specified Indebtedness of any of them (individually or collectively) in an aggregate amount of not less than the applicable Threshold Amount (as specified in the Schedule) which has resulted in such Specified Indebtedness becoming, or becoming capable at such time of being declared, due and payable under such agreements or instruments, before it would otherwise have been due and payable or (2) a default by such party, such Credit Support Provider or such Specified Entity (individually or collectively) in making one or more payments on the due date thereof in an aggregate amount of not less than the applicable Threshold Amount under such agreements or instruments (after giving effect to any applicable notice requirement or grace period); |
(vii) Bankruptcy. The party, any Credit Support Provider of such party or any applicable Specified Entity of such party:— |
(1) is dissolved (other than pursuant to a consolidation, amalgamation or merger); (2) becomes insolvent or is unable to pay its debts or fails or admits in writing its inability generally to pay its debts as they become due; (3) makes a general assignment, arrangement or composition with or for the benefit of its creditors; (4) institutes or has instituted against it a proceeding seeking a judgment of insolvency or bankruptcy or any other relief under any bankruptcy or insolvency law or other similar law affecting creditors' rights, or a petition is presented for its winding-up or liquidation, and, in the case of any such proceeding or petition instituted or presented against it, such proceeding or petition (A) results in a judgment of insolvency or bankruptcy or the entry of an order for relief or the making of an order for its winding-up or liquidation or (B) is not dismissed, discharged, stayed or restrained in each case within 30 days of the institution or presentation thereof; (5) has a resolution passed for its winding-up, official management or liquidation (other than pursuant to a consolidation, amalgamation or merger); (6) seeks or becomes subject to the appointment of an administrator, provisional liquidator, conservator, receiver, trustee, custodian or other similar official for it or for all or substantially all its assets; (7) has a secured party take possession of all or substantially all its assets or has a distress, execution, attachment, sequestration or other legal process levied, enforced or sued on or against all or substantially all its assets and such secured party maintains possession, or any such process is not dismissed, discharged, stayed or restrained, in each case within 30 days thereafter; (8) causes or is subject to any event with respect to it which, under the applicable laws of any jurisdiction, has an analogous effect to any of the events specified in clauses (1) to (7) (inclusive); or (9) takes any action in furtherance of, or indicating its consent to, approval of, or acquiescence in, any of the foregoing acts; or |
(viii) Merger Without Assumption. The party or any Credit Support Provider of such party consolidates or amalgamates with, or merges with or into, or transfers all or substantially all its assets to, another entity and, at the time of such consolidation, amalgamation, merger or transfer:— |
(1) the resulting, surviving or transferee entity fails to assume all the obligations of such party or such Credit Support Provider under this Agreement or any Credit Support Document to which it or its predecessor was a party by operation of law or pursuant to an agreement reasonably satisfactory to the other party to this Agreement; or |
(2) the benefits of any Credit Support Document fail to extend (without the consent of the other party) to the performance by such resulting, surviving or transferee entity of its obligations under this Agreement. |
(b) Termination Events. The occurrence at any time with respect to a party or, if applicable, any Credit Support Provider of such party or any Specified Entity of such party of any event specified below constitutes an Illegality if the event is specified in (i) below, a Tax Event if the event is specified in (ii) below or a Tax Event Upon Merger if the event is specified in (iii) below, and, if specified to be applicable, a Credit Event |
Upon Merger if the event is specified pursuant to (iv) below or an Additional Termination Event if the event is specified pursuant to (v) below:— |
(i) Illegality. Due to the adoption of, or any change in, any applicable law after the date on which a Transaction is entered into, or due to the promulgation of, or any change in, the interpretation by any court, tribunal or regulatory authority with competent jurisdiction of any applicable law after such date, it becomes unlawful (other than as a result of a breach by the party of Section 4(b)) for such party (which will be the Affected Party):— |
(1) to perform any absolute or contingent obligation to make a payment or delivery or to receive a payment or delivery in respect of such Transaction or to comply with any other material provision of this Agreement relating to such Transaction; or |
(2) to perform, or for any Credit Support Provider of such party to perform, any contingent or other obligation which the party (or such Credit Support Provider) has under any Credit Support Document relating to such Transaction; |
(ii) Tax Event. Due to (x) any action taken by a taxing authority, or brought in a court of competent jurisdiction, on or after the date on which a Transaction is entered into (regardless of whether such action is taken or brought with respect to a party to this Agreement) or (y) a Change in Tax Law, the party (which will be the Affected Party) will, or there is a substantial likelihood that it will, on the next succeeding Scheduled Payment Date (1) be required to pay to the other party an additional amount in respect of an Indemnifiable Tax under Section 2(d)(i)(4) (except in respect of interest under Section 2(e), 6(d)(ii) or 6(e)) or (2) receive a payment from which an amount is required to be deducted or withheld for or on account of a Tax (except in respect of interest under Section 2(e), 6(d)(ii) or 6(e)) and no additional amount is required to be paid in respect of such Tax under Section 2(d)(i)(4) (other than by reason of Section 2(d)(i)(4)(A) or (B)); |
(iii) Tax Event Upon Merger. The party (the “Burdened Party”) on the next succeeding Scheduled Payment Date will either (1) be required to pay an additional amount in respect of an Indemnifiable Tax under Section 2(d)(i)(4) (except in respect of interest under Section 2(e), 6(d)(ii) or 6(e)) or (2) receive a payment from which an amount has been deducted or withheld for or on account of any Indemnifiable Tax in respect of which the other party is not required to pay an additional amount (other than by reason of Section 2(d)(i)(4)(A) or (B)), in either case as a result of a party consolidating or amalgamating with, or merging with or into, or transferring all or substantially all its assets to, another entity (which will be the Affected Party) where such action does not constitute an event described in Section 5(a)(viii); |
(iv) Credit Event Upon Merger. If “Credit Event Upon Merger” is specified in the Schedule as applying to the party, such party (“X”), any Credit Support Provider of X or any applicable Specified Entity of X consolidates or amalgamates with, or merges with or into, or transfers all or substantially all its assets to, another entity and such action does not constitute an event described in Section 5(a)(viii) but the creditworthiness of the resulting, surviving or transferee entity is materially weaker than that of X, such Credit Support Provider or such Specified Entity, as the case may be, immediately prior to such action (and, in such event, X or its successor or transferee, as appropriate, will be the Affected Party); or |
(v) Additional Termination Event. If any “Additional Termination Event” is specified in the Schedule or any Confirmation as applying, the occurrence of such event (and, in such event, the Affected Party or Affected Parties shall be as specified for such Additional Termination Event in the Schedule or such Confirmation). |
(c) Event of Default and Illegality. If an event or circumstance which would otherwise constitute or give rise to an Event of Default also constitutes an Illegality, it will be treated as an Illegality and will not constitute an Event of Default. |
6. Early Termination |
(a) Right to Terminate Following Event of Default. If at any time an Event of Default with respect to a party (the “Defaulting Party”) has occurred and is then continuing, the other party (the “Non-defaulting Party”) may, by not more than 20 days notice to the Defaulting Party specifying the relevant Event of Default, designate a day not earlier than the day such notice is effective as an Early Termination Date in respect of all outstanding Transactions. If, however, “Automatic Early Termination” is specified in the Schedule as applying to a party, then an Early Termination Date in respect of all outstanding Transactions will occur immediately upon the occurrence with respect to such party of an Event of Default specified in Section 5(a)(vii)(l), (3), (5), (6) or, to the extent analogous thereto, (8), and as of the time immediately preceding the institution of the relevant proceeding or the presentation of the relevant petition upon the occurrence with respect to such party of an Event of Default specified in Section 5(a)(vii)(4) or, to the extent analogous thereto, (8). |
(b) Right to Terminate Following Termination Event. |
(i) Notice. If a Termination Event occurs, an Affected Party will, promptly upon becoming aware of it, notify the other party, specifying the nature of that Termination Event and each Affected Transaction and will also give such other information about that Termination Event as the other party may reasonably require. |
(ii) Transfer to Avoid Termination Event. If either an Illegality under Section 5(b)(i)(l) or a Tax Event occurs and there is only one Affected Party, or if a Tax Event Upon Merger occurs and the Burdened Party is the Affected Party, the Affected Party will, as a condition to its right to designate an Early Termination Date under Section 6(b)(iv), use all reasonable efforts (which will not require such party to incur a loss, excluding immaterial, incidental expenses) to transfer within 20 days after it gives notice under Section 6(b)(i) all its rights and obligations under this Agreement in respect of the Affected Transactions to another of its Offices or Affiliates so that such Termination Event ceases to exist. |
If the Affected Party is not able to make such a transfer it will give notice to the other party to that effect within such 20 day period, whereupon the other party may effect such a transfer within 30 days after the notice is given under Section 6(b)(i). |
Any such transfer by a party under this Section 6(b)(ii) will be subject to and conditional upon the prior written consent of the other party, which consent will not be withheld if such other party's policies in effect at such time would permit it to enter into transactions with the transferee on the terms proposed. |
(iii) Two Affected Parties. If an Illegality under Section 5(b)(i)( 1) or a Tax Event occurs and there are two Affected Parties, each party will use all reasonable efforts to reach agreement within 30 days after notice thereof is given under Section 6(b)(i) on action to avoid that Termination Event. |
(iv) Right to Terminate. If:— |
(1) a transfer under Section 6(b)(ii) or an agreement under Section 6(b)(iii), as the case may be, has not been effected with respect to all Affected Transactions within 30 days after an Affected Party gives notice under Section 6(b)(i); or |
(2) an Illegality under Section 5(b)(i)(2), a Credit Event Upon Merger or an Additional Termination Event occurs, or a Tax Event Upon Merger occurs and the Burdened Party is not the Affected Party, |
either party in the case of an Illegality, the Burdened Party in the case of a Tax Event Upon Merger, any Affected Party in the case of a Tax Event or an Additional Termination Event if there is more than one Affected Party, or the party which is not the Affected Party in the case of a Credit Event Upon Merger or an Additional Termination Event if there is only one Affected Party may, by not more than 20 days notice to the other party and provided that the relevant Termination Event is then |
continuing, designate a day not earlier than the day such notice is effective as an Early Termination Date in respect of all Affected Transactions. |
(c) Effect of Designation. |
(i) If notice designating an Early Termination Date is given under Section 6(a) or (b), the Early Termination Date will occur on the date so designated, whether or not the relevant Event of Default or Termination Event is then continuing. |
(ii) Upon the occurrence or effective designation of an Early Termination Date, no further payments or deliveries under Section 2(a)(i) or 2(e) in respect of the Terminated Transactions will be required to be made, but without prejudice to the other provisions of this Agreement. The amount, if any, payable in respect of an Early Termination Date shall be determined pursuant to Section 6(e). |
(d) Calculations. |
(i) Statement. On or as soon as reasonably practicable following the occurrence of an Early Termination Date, each party will make the calculations on its part, if any, contemplated by Section 6(e) and will provide to the other party a statement (1) showing, in reasonable detail, such calculations (including all relevant quotations and specifying any amount payable under Section 6(e)) and (2) giving details of the relevant account to which any amount payable to it is to be paid. In the absence of written confirmation from the source of a quotation obtained in determining a Market Quotation, the records of the party obtaining such quotation will be conclusive evidence of the existence and accuracy of such quotation. |
(ii) Payment Date. An amount calculated as being due in respect of any Early Termination Date under Section 6(e) will be payable on the day that notice of the amount payable is effective (in the case of an Early Termination Date which is designated or occurs as a result of an Event of Default) and on the day which is two Local Business Days after the day on which notice of the amount payable is effective (in the case of an Early Termination Date which is designated as a result of a Termination Event). Such amount will be paid together with (to the extent permitted under applicable law) interest thereon (before as well as after judgment) in the Termination Currency, from (and including) the relevant Early Termination Date to (but excluding) the date such amount is paid, at the Applicable Rate. Such interest will be calculated on the basis of daily compounding and the actual number of days elapsed. |
(e) Payments on Early Termination. If an Early Termination Date occurs, the following provisions shall apply based on the parties' election in the Schedule of a payment measure, either “Market Quotation” or “Loss”, and a payment method, either the “First Method” or the “Second Method”. If the parties fail to designate a payment measure or payment method in the Schedule, it will be deemed that “Market Quotation” or the “Second Method”, as the case may be, shall apply. The amount, if any, payable in respect of an Early Termination Date and determined pursuant to this Section will be subject to any Set-off. |
(i) Events of Default. If the Early Termination Date results from an Event of Default:— |
(1) First Method and Market Quotation. If the First Method and Market Quotation apply, the Defaulting Party will pay to the Non-defaulting Party the excess, if a positive number, of (A) the sum of the Settlement Amount (determined by the Non-defaulting Party) in respect of the Terminated Transactions and the Termination Currency Equivalent of the Unpaid Amounts owing to the Non-defaulting Party over (B) the Termination Currency Equivalent of the Unpaid Amounts owing to the Defaulting Party. |
(2) First Method and Loss. If the First Method and Loss apply, the Defaulting Party will pay to the Non-defaulting Party, if a positive number, the Non-defaulting Party's Loss in respect of this Agreement. |
(3) Second Method and Market Quotation. If the Second Method and Market Quotation apply, an amount will be payable equal to (A) the sum of the Settlement Amount (determined by the |
Non-defaulting Party) in respect of the Terminated Transactions and the Termination Currency Equivalent of the Unpaid Amounts owing to the Non-defaulting Party less (B) the Termination Currency Equivalent of the Unpaid Amounts owing to the Defaulting Party. If that amount is a positive number, the Defaulting Party will pay it to the Non-defaulting Party; if it is a negative number, the Non-defaulting Party will pay the absolute value of that amount to the Defaulting Party. |
(4) Second Method and Loss. If the Second Method and Loss apply, an amount will be payable equal to the Non-defaulting Party's Loss in respect of this Agreement. If that amount is a positive number, the Defaulting Party will pay it to the Non-defaulting Party; if it is a negative number, the Non-defaulting Party will pay the absolute value of that amount to the Defaulting Party. |
(ii) Termination Events. If the Early Termination Date results from a Termination Event:— |
(1) One Affected Party. If there is one Affected Party, the amount payable will be determined in accordance with Section 6(e)(i)(3), if Market Quotation applies, or Section 6(e)(i)(4), if Loss applies, except that, in either case, references to the Defaulting Party and to the Non-defaulting Party will be deemed to be references to the Affected Party and the party which is not the Affected Party, respectively, and, if Loss applies and fewer than all the Transactions are being terminated, Loss shall be calculated in respect of all Terminated Transactions. |
(2) Two Affected Parties. If there are two Affected Parties:— |
(A) if Market Quotation applies, each party will determine a Settlement Amount in respect of the Terminated Transactions, and an amount will be payable equal to (I) the sum of (a) one-half of the difference between the Settlement Amount of the party with the higher Settlement Amount (“X”) and the Settlement Amount of the party with the lower Settlement Amount (“Y”) and (b) the Termination Currency Equivalent of the Unpaid Amounts owing to X less (II) the Termination Currency Equivalent of the Unpaid Amounts owing to Y; and |
(B) if Loss applies, each party will determine its Loss in respect of this Agreement (or, if fewer than all the Transactions are being terminated, in respect of all Terminated Transactions) and an amount will be payable equal to one-half of the difference between the Loss of the party with the higher Loss (“X”) and the Loss of the party with the lower Loss (“Y”). |
If the amount payable is a positive number, Y will pay it to X; if it is a negative number, X will pay the absolute value of that amount to Y. |
(iii) Adjustment for Bankruptcy. In circumstances where an Early Termination Date occurs because “Automatic Early Termination” applies in respect of a party, the amount determined under this Section 6(e) will be subject to such adjustments as are appropriate and permitted by law to reflect any payments or deliveries made by one party to the other under this Agreement (and retained by such other party) during the period from the relevant Early Termination Date to the date for payment determined under Section 6(d)(ii). |
(iv) Pre-Estimate. The parties agree that if Market Quotation applies an amount recoverable under this Section 6(e) is a reasonable pre-estimate of loss and not a penalty. Such amount is payable for the loss of bargain and the loss of protection against future risks and except as otherwise provided in this Agreement neither party will be entitled to recover any additional damages as a consequence of such losses. |
7. Transfer |
Subject to Section 6(b)(ii), neither this Agreement nor any interest or obligation in or under this Agreement may be transferred (whether by way of security or otherwise) by either party without the prior written consent of the other party, except that: — |
(a) a party may make such a transfer of this Agreement pursuant to a consolidation or amalgamation with, or merger with or into, or transfer of all or substantially all its assets to, another entity (but without prejudice to any other right or remedy under this Agreement); and |
(b) a party may make such a transfer of all or any part of its interest in any amount payable to it from a Defaulting Party under Section 6(e). |
Any purported transfer that is not in compliance with this Section will be void. |
8. Contractual Currency |
(a) Payment in the Contractual Currency. Each payment under this Agreement will be made in the relevant currency specified in this Agreement for that payment (the “Contractual Currency”). To the extent permitted by applicable law, any obligation to make payments under this Agreement in the Contractual Currency will not be discharged or satisfied by any tender in any currency other than the Contractual Currency, except to the extent such tender results in the actual receipt by the party to which payment is owed, acting in a reasonable manner and in good faith in converting the currency so tendered into the Contractual Currency, of the full amount in the Contractual Currency of all amounts payable in respect of this Agreement. If for any reason the amount in the Contractual Currency so received falls short of the amount in the Contractual Currency payable in respect of this Agreement, the party required to make the payment will, to the extent permitted by applicable law, immediately pay such additional amount in the Contractual Currency as may be necessary to compensate for the shortfall. If for any reason the amount in the Contractual Currency so received exceeds the amount in the Contractual Currency payable in respect of this Agreement, the party receiving the payment will refund promptly the amount of such excess. |
(b) Judgments. To the extent permitted by applicable law, if any judgment or order expressed in a currency other than the Contractual Currency is rendered (i) for the payment of any amount owing in respect of this Agreement, (ii) for the payment of any amount relating to any early termination in respect of this Agreement or (iii) in respect of a judgment or order of another court for the payment of any amount described in (i) or (ii) above, the party seeking recovery, after recovery in full of the aggregate amount to which such party is entitled pursuant to the judgment or order, will be entitled to receive immediately from the other party the amount of any shortfall of the Contractual Currency received by such party as a consequence of sums paid in such other currency and will refund promptly to the other party any excess of the Contractual Currency received by such party as a consequence of sums paid in such other currency if such shortfall or such excess arises or results from any variation between the rate of exchange at which the Contractual Currency is converted into the currency of the judgment or order for the purposes of such judgment or order and the rate of exchange at which such party is able, acting in a reasonable manner and in good faith in converting the currency received into the Contractual Currency, to purchase the Contractual Currency with the amount of the currency of the judgment or order actually received by such party. The term “rate of exchange” includes, without limitation, any premiums and costs of exchange payable in connection with the purchase of or conversion into the Contractual Currency. |
(c) Separate Indemnities. To the extent permitted by applicable law, these indemnities constitute separate and independent obligations from the other obligations in this Agreement, will be enforceable as separate and independent causes of action, will apply notwithstanding any indulgence granted by the party to which any payment is owed and will not be affected by judgment being obtained or claim or proof being made for any other sums payable in respect of this Agreement. |
(d) Evidence of Loss. For the purpose of this Section 8, it will be sufficient for a party to demonstrate that it would have suffered a loss had an actual exchange or purchase been made. |
9. Miscellaneous |
(a) Entire Agreement. This Agreement constitutes the entire agreement and understanding of the parties with respect to its subject matter and supersedes all oral communication and prior writings with respect thereto. |
(b) Amendments. No amendment, modification or waiver in respect of this Agreement will be effective unless in writing (including a writing evidenced by a facsimile transmission) and executed by each of the parties or confirmed by an exchange of telexes or electronic messages on an electronic messaging system. |
(c) Survival of Obligations. Without prejudice to Sections 2(a)(iii) and 6(c)(ii), the obligations of the parties under this Agreement will survive the termination of any Transaction. |
(d) Remedies Cumulative. Except as provided in this Agreement, the rights, powers, remedies and privileges provided in this Agreement are cumulative and not exclusive of any rights, powers, remedies and privileges provided by law. |
(e) Counterparts and Confirmations. |
(i) This Agreement (and each amendment, modification and waiver in respect of it) may be executed and delivered in counterparts (including by facsimile transmission), each of which will be deemed an original. |
(ii) The parties intend that they are legally bound by the terms of each Transaction from the moment they agree to those terms (whether orally or otherwise). A Confirmation shall be entered into as soon as practicable and may be executed and delivered in counterparts (including by facsimile transmission) or be created by an exchange of telexes or by an exchange of electronic messages on an electronic messaging system, which in each case will be sufficient for all purposes to evidence a binding supplement to this Agreement. The parties will specify therein or through another effective means that any such counterpart, telex or electronic message constitutes a Confirmation. |
(f) No Waiver of Rights. A failure or delay in exercising any right, power or privilege in respect of this Agreement will not be presumed to operate as a waiver, and a single or partial exercise of any right, power or privilege will not be presumed to preclude any subsequent or further exercise, of that right, power or privilege or the exercise of any other right, power or privilege. |
(g) Headings. The headings used in this Agreement are for convenience of reference only and are not to affect the construction of or to be taken into consideration in interpreting this Agreement. |
10. Offices; Multibranch Parties |
(a) If Section 10(a) is specified in the Schedule as applying, each party that enters into a Transaction through an Office other than its head or home office represents to the other party that, notwithstanding the place of booking office or jurisdiction of incorporation or organisation of such party, the obligations of such party are the same as if it had entered into the Transaction through its head or home office. This representation will be deemed to be repeated by such party on each date on which a Transaction is entered into. |
(b) Neither party may change the Office through which it makes and receives payments or deliveries for the purpose of a Transaction without the prior written consent of the other party. |
(c) If a party is specified as a Multibranch Party in the Schedule, such Multibranch Party may make and receive payments or deliveries under any Transaction through any Office listed in the Schedule, and the Office through which it makes and receives payments or deliveries with respect to a Transaction will be specified in the relevant Confirmation. |
11. Expenses |
A Defaulting Party will, on demand, indemnify and hold harmless the other party for and against all reasonable out-of-pocket expenses, including legal fees and Stamp Tax, incurred by such other party by reason of the enforcement and protection of its rights under this Agreement or any Credit Support Document |
to which the Defaulting Party is a party or by reason of the early termination of any Transaction, including, but not limited to, costs of collection. |
12. Notices |
(a) Effectiveness. Any notice or other communication in respect of this Agreement may be given in any manner set forth below (except that a notice or other communication under Section 5 or 6 may not be given by facsimile transmission or electronic messaging system) to the address or number or in accordance with the electronic messaging system details provided (see the Schedule) and will be deemed effective as indicated:— |
(i) if in writing and delivered in person or by courier, on the date it is delivered; |
(ii) if sent by telex, on the date the recipient's answerback is received; |
(iii) if sent by facsimile transmission, on the date that transmission is received by a responsible employee of the recipient in legible form (it being agreed that the burden of proving receipt will be on the sender and will not be met by a transmission report generated by the sender's facsimile machine); |
(iv) if sent by certified or registered mail (airmail, if overseas) or the equivalent (return receipt requested), on the date that mail is delivered or its delivery is attempted; or |
(v) if sent by electronic messaging system, on the date that electronic message is received, |
unless the date of that delivery (or attempted delivery) or that receipt, as applicable, is not a Local Business Day or that communication is delivered (or attempted) or received, as applicable, after the close of business on a Local Business Day, in which case that communication shall be deemed given and effective on the first following day that is a Local Business Day. |
(b) Change of Addresses. Either party may by notice to the other change the address, telex or facsimile number or electronic messaging system details at which notices or other communications are to be given to |
it. |
13. Governing Law and Jurisdiction |
(a) Governing Law. This Agreement will be governed by and construed in accordance with the law specified in the Schedule. |
(b) Jurisdiction. With respect to any suit, action or proceedings relating to this Agreement (“Proceedings”), each party irrevocably:— |
(i) submits to the jurisdiction of the English courts, if this Agreement is expressed to be governed by English law, or to the non-exclusive jurisdiction of the courts of the State of New York and the United States District Court located in the Borough of Manhattan in New York City, if this Agreement is expressed to be governed by the laws of the State of New York; and |
(ii) waives any objection which it may have at any time to the laying of venue of any Proceedings brought in any such court, waives any claim that such Proceedings have been brought in an inconvenient forum and further waives the right to object, with respect to such Proceedings, that such court does not have any jurisdiction over such party. |
Nothing in this Agreement precludes either party from bringing Proceedings in any other jurisdiction (outside, if this Agreement is expressed to be governed by English law, the Contracting States, as defined in Section 1(3) of the Civil Jurisdiction and Judgments Act 1982 or any modification, extension or reenactment thereof for the time being in force) nor will the bringing of Proceedings in any one or more jurisdictions preclude the bringing of Proceedings in any other jurisdiction. |
(c) Service of Process. Each party irrevocably appoints the Process Agent (if any) specified opposite its name in the Schedule to receive, for it and on its behalf, service of process in any Proceedings. If for any |
reason any party's Process Agent is unable to act as such, such party will promptly notify the other party and within 30 days appoint a substitute process agent acceptable to the other party. The parties irrevocably consent to service of process given in the manner provided for notices in Section 12. Nothing in this Agreement will affect the right of either party to serve process in any other manner permitted by law. |
(d) Waiver of Immunities. Each party irrevocably waives, to the fullest extent permitted by applicable law, with respect to itself and its revenues and assets (irrespective of their use or intended use), all immunity on the grounds of sovereignty or other similar grounds from (i) suit, (ii) jurisdiction of any court, (iii) relief by way of injunction, order for specific performance or for recovery of property, (iv) attachment of its assets (whether before or after judgment) and (v) execution or enforcement of any judgment to which it or its revenues or assets might otherwise be entitled in any Proceedings in the courts of any jurisdiction and irrevocably agrees, to the extent permitted by applicable law, that it will not claim any such immunity in any Proceedings. |
14. Definitions |
As used in this Agreement:— |
“Additional Termination Event” has the meaning specified in Section 5(b). |
“Affected Party” has the meaning specified in Section 5(b). |
“Affected Transactions” means (a) with respect to any Termination Event consisting of an Illegality, Tax Event or Tax Event Upon Merger, all Transactions affected by the occurrence of such Termination Event and (b) with respect to any other Termination Event, all Transactions. |
“Affiliate” means, subject to the Schedule, in relation to any person, any entity controlled, directly or indirectly, by the person, any entity that controls, directly or indirectly, the person or any entity directly or indirectly under common control with the person. For this purpose, “control” of any entity or person means ownership of a majority of the voting power of the entity or person. |
“Applicable Rate” means:— |
(a) in respect of obligations payable or deliverable (or which would have been but for Section 2(a)(iii)) by a Defaulting Party, the Default Rate; |
(b) in respect of an obligation to pay an amount under Section 6(e) of either party from and after the date (determined in accordance with Section 6(d)(ii)) on which that amount is payable, the Default Rate; |
(c) in respect of all other obligations payable or deliverable (or which would have been but for Section 2(a)(iii)) by a Non-defaulting Party, the Non-default Rate; and |
(d) in all other cases, the Termination Rate. |
“Burdened Party” has the meaning specified in Section 5(b). |
“Change in Tax Law” means the enactment, promulgation, execution or ratification of, or any change in or amendment to, any law (or in the application or official interpretation of any law) that occurs on or after the date on which the relevant Transaction is entered into. |
“consent” includes a consent, approval, action, authorisation, exemption, notice, filing, registration or exchange control consent. |
“Credit Event Upon Merger” has the meaning specified in Section 5(b). |
“Credit Support Document” means any agreement or instrument that is specified as such in this Agreement. |
“Credit Support Provider” has the meaning specified in the Schedule. |
“Default Rate” means a rate per annum equal to the cost (without proof or evidence of any actual cost) to the relevant payee (as certified by it) if it were to fund or of funding the relevant amount plus 1% per annum. |
“Defaulting Party” has the meaning specified in Section 6(a). |
“Early Termination Date” means the date determined in accordance with Section 6(a) or 6(b)(iv). |
“Event of Default” has the meaning specified in Section 5(a) and, if applicable, in the Schedule. |
“Illegality” has the meaning specified in Section 5(b). |
“Indemnifiable Tax” means any Tax other than a Tax that would not be imposed in respect of a payment under this Agreement but for a present or former connection between the jurisdiction of the government or taxation authority imposing such Tax and the recipient of such payment or a person related to such recipient (including, without limitation, a connection arising from such recipient or related person being or having been a citizen or resident of such jurisdiction, or being or having been organised, present or engaged in a trade or business in such jurisdiction, or having or having had a permanent establishment or fixed place of business in such jurisdiction, but excluding a connection arising solely from such recipient or related person having executed, delivered, performed its obligations or received a payment under, or enforced, this Agreement or a Credit Support Document). |
“law” includes any treaty, law, rule or regulation (as modified, in the case of tax matters, by the practice of any relevant governmental revenue authority) and “lawful” and “unlawful” will be construed accordingly. |
“Local Business Day” means, subject to the Schedule, a day on which commercial banks are open for business (including dealings in foreign exchange and foreign currency deposits) (a) in relation to any obligation under Section 2(a)(i), in the place(s) specified in the relevant Confirmation or, if not so specified, as otherwise agreed by the parties in writing or determined pursuant to provisions contained, or incorporated by reference, in this Agreement, (b) in relation to any other payment, in the place where the relevant account is located and, if different, in the principal financial centre, if any, of the currency of such payment, (c) in relation to any notice or other communication, including notice contemplated under Section 5(a)(i), in the city specified in the address for notice provided by the recipient and, in the case of a notice contemplated by Section 2(b), in the place where the relevant new account is to be located and (d) in relation to Section 5(a)(v)(2), in the relevant locations for performance with respect to such Specified Transaction. |
“Loss” means, with respect to this Agreement or one or more Terminated Transactions, as the case may be, and a party, the Termination Currency Equivalent of an amount that party reasonably determines in good faith to be its total losses and costs (or gain, in which case expressed as a negative number) in connection with this Agreement or that Terminated Transaction or group of Terminated Transactions, as the case may be, including any loss of bargain, cost of funding or, at the election of such party but without duplication, loss or cost incurred as a result of its terminating, liquidating, obtaining or reestablishing any hedge or related trading position (or any gain resulting from any of them). Loss includes losses and costs (or gains) in respect of any payment or delivery required to have been made (assuming satisfaction of each applicable condition precedent) on or before the relevant Early Termination Date and not made, except, so as to avoid duplication, if Section 6(e)(i)(1) or (3) or 6(e)(ii)(2)(A) applies. Loss does not include a party's legal fees and out-of-pocket expenses referred to under Section 11. A party will determine its Loss as of the relevant Early Termination Date, or, if that is not reasonably practicable, as of the earliest date thereafter as is reasonably practicable. A party may (but need not) determine its Loss by reference to quotations of relevant rates or prices from one or more leading dealers in the relevant markets. |
“Market Quotation” means, with respect to one or more Terminated Transactions and a party making the determination, an amount determined on the basis of quotations from Reference Market-makers. Each quotation will be for an amount, if any, that would be paid to such party (expressed as a negative number) or by such party (expressed as a positive number) in consideration of an agreement between such party (taking into account any existing Credit Support Document with respect to the obligations of such party) and the quoting Reference Market-maker to enter into a transaction (the “Replacement Transaction”) that would have the effect of preserving for such party the economic equivalent of any payment or delivery (whether the underlying obligation was absolute or contingent and assuming the satisfaction of each applicable condition precedent) by the parties under Section 2(a)(i) in respect of such Terminated Transaction or group of Terminated Transactions that would, but for the occurrence of the relevant Early Termination Date, have |
been required after that date. For this purpose, Unpaid Amounts in respect of the Terminated Transaction or group of Terminated Transactions are to be excluded but, without limitation, any payment or delivery that would, but for the relevant Early Termination Date, have been required (assuming satisfaction of each applicable condition precedent) after that Early Termination Date is to be included. The Replacement Transaction would be subject to such documentation as such party and the Reference Market-maker may, in good faith, agree. The party making the determination (or its agent) will request each Reference Market maker to provide its quotation to the extent reasonably practicable as of the same day and time (without regard to different time zones) on or as soon as reasonably practicable after the relevant Early Termination Date. The day and time as of which those quotations are to be obtained will be selected in good faith by the party obliged to make a determination under Section 6(e), and, if each party is so obliged, after consultation with the other. If more than three quotations are provided, the Market Quotation will be the arithmetic mean of the quotations, without regard to the quotations having the highest and lowest values. If exactly three such quotations are provided, the Market Quotation will be the quotation remaining after disregarding the highest and lowest quotations. For this purpose, if more than one quotation has the same highest value or lowest value, then one of such quotations shall be disregarded. If fewer than three quotations are provided, it will be deemed that the Market Quotation in respect of such Terminated Transaction or group of Terminated Transactions cannot be determined. |
“Non-default Rate” means a rate per annum equal to the cost (without proof or evidence of any actual cost) to the Non-defaulting Party (as certified by it) if it were to fund the relevant amount. |
“Non-defaulting Party” has the meaning specified in Section 6(a). |
“Office” means a branch or office of a party, which may be such party's head or home office. |
“Potential Event of Default” means any event which, with the giving of notice or the lapse of time or both, would constitute an Event of Default. |
“Reference Market-makers” means four leading dealers in the relevant market selected by the party determining a Market Quotation in good faith (a) from among dealers of the highest credit standing which satisfy all the criteria that such party applies generally at the time in deciding whether to offer or to make an extension of credit and (b) to the extent practicable, from among such dealers having an office in the same city. |
“Relevant Jurisdiction” means, with respect to a party, the jurisdictions (a) in which the party is incorporated, organised, managed and controlled or considered to have its seat, (b) where an Office through which the party is acting for purposes of this Agreement is located, (c) in which the party executes this Agreement and (d) in relation to any payment, from or through which such payment is made. |
“Scheduled Payment Date” means a date on which a payment or delivery is to be made under Section 2(a)(i) with respect to a Transaction. |
“Set-off” means set-off, offset, combination of accounts, right of retention or withholding or similar right or requirement to which the payer of an amount under Section 6 is entitled or subject (whether arising under this Agreement, another contract, applicable law or otherwise) that is exercised by, or imposed on, such payer. |
“Settlement Amount” means, with respect to a party and any Early Termination Date, the sum of:— |
(a) the Termination Currency Equivalent of the Market Quotations (whether positive or negative) for each Terminated Transaction or group of Terminated Transactions for which a Market Quotation is determined; |
and |
(b) such party's Loss (whether positive or negative and without reference to any Unpaid Amounts) for each Terminated Transaction or group of Terminated Transactions for which a Market Quotation cannot be determined or would not (in the reasonable belief of the party making the determination) produce a commercially reasonable result. |
“Specified Entity” has the meaning specified in the Schedule. |
“Specified Indebtedness” means, subject to the Schedule, any obligation (whether present or future, contingent or otherwise, as principal or surety or otherwise) in respect of borrowed money. |
“Specified Transaction” means, subject to the Schedule, (a) any transaction (including an agreement with respect thereto) now existing or hereafter entered into between one party to this Agreement (or any Credit Support Provider of such party or any applicable Specified Entity of such party) and the other party to this Agreement (or any Credit Support Provider of such other party or any applicable Specified Entity of such other party) which is a rate swap transaction, basis swap, forward rate transaction, commodity swap, commodity option, equity or equity index swap, equity or equity index option, bond option, interest rate option, foreign exchange transaction, cap transaction, floor transaction, collar transaction, currency swap transaction, cross-currency rate swap transaction, currency option or any other similar transaction (including any option with respect to any of these transactions), (b) any combination of these transactions and (c) any other transaction identified as a Specified Transaction in this Agreement or the relevant confirmation. |
“Stamp Tax” means any stamp, registration, documentation or similar tax. |
“Tax” means any present or future tax, levy, impost, duty, charge, assessment or fee of any nature (including interest, penalties and additions thereto) that is imposed by any government or other taxing authority in respect of any payment under this Agreement other than a stamp, registration, documentation or similar tax. |
“Tax Event” has the meaning specified in Section 5(b). |
“Tax Event Upon Merger” has the meaning specified in Section 5(b). |
“Terminated Transactions” means with respect to any Early Termination Date (a) if resulting from a Termination Event, all Affected Transactions and (b) if resulting from an Event of Default, all Transactions (in either case) in effect immediately before the effectiveness of the notice designating that Early Termination Date (or, if “Automatic Early Termination” applies, immediately before that Early Termination Date). |
“Termination Currency” has the meaning specified in the Schedule. |
“Termination Currency Equivalent” means, in respect of any amount denominated in the Termination Currency, such Termination Currency amount and, in respect of any amount denominated in a currency other than the Termination Currency (the “Other Currency”), the amount in the Termination Currency determined by the party making the relevant determination as being required to purchase such amount of such Other Currency as at the relevant Early Termination Date, or, if the relevant Market Quotation or Loss (as the case may be), is determined as of a later date, that later date, with the Termination Currency at the rate equal to the spot exchange rate of the foreign exchange agent (selected as provided below) for the purchase of such Other Currency with the Termination Currency at or about 11:00 a.m. (in the city in which such foreign exchange agent is located) on such date as would be customary for the determination of such a rate for the purchase of such Other Currency for value on the relevant Early Termination Date or that later date. The foreign exchange agent will, if only one party is obliged to make a determination under Section 6(e), be selected in good faith by that party and otherwise will be agreed by the parties. |
“Termination Event” means an Illegality, a Tax Event or a Tax Event Upon Merger or, if specified to be applicable, a Credit Event Upon Merger or an Additional Termination Event. |
“Termination Rate” means a rate per annum equal to the arithmetic mean of the cost (without proof or evidence of any actual cost) to each party (as certified by such party) if it were to fund or of funding such amounts. |
“Unpaid Amounts” owing to any party means, with respect to an Early Termination Date, the aggregate of (a) in respect of all Terminated Transactions, the amounts that became payable (or that would have become payable but for Section 2(a)(iii)) to such party under Section 2(a)(i) on or prior to such Early Termination Date and which remain unpaid as at such Early Termination Date and (b) in respect of each Terminated Transaction, for each obligation under Section 2(a)(i) which was (or would have been but for Section 2(a) (iii)) required to be settled by delivery to such party on or prior to such Early Termination Date and which has not been so settled as at such Early Termination Date, an amount equal to the fair market |
value of that which was (or would have been) required to be delivered as of the originally scheduled date for delivery, in each case together with (to the extent permitted under applicable law) interest, in the currency of such amounts, from (and including) the date such amounts or obligations were or would have been required to have been paid or performed to (but excluding) such Early Termination Date, at the Applicable Rate. Such amounts of interest will be calculated on the basis of daily compounding and the actual number of days elapsed. The fair market value of any obligation referred to in clause (b) above shall be reasonably determined by the party obliged to make the determination under Section 6(e) or, if each party is so obliged, it shall be the average of the Termination Currency Equivalents of the fair market values reasonably determined by both parties. |
IN WITNESS WHEREOF the parties have executed this document on the respective dates specified below with effect from the date specified on the first page of this document. |
BARCLAYS BANK PLC | WELLS FARGO BANK, N.A., NOT IN ITS INDIVIDUAL CAPACITY, BUT SOLELY AS TRUSTEE FOR THE SUPPLEMENTAL INTEREST TRUST CREATED UNDER THE POOLING AND SERVICING AGREEMENT
|
By: Name: Title: Date: | By: Name: Title: Date: |
(Multicurrency - Cross Border)
ISDA®
International Swaps and Derivatives Association, Inc.
SCHEDULE
to the
Master Agreement
dated as of September 30, 2005
between
BARCLAYS BANK PLC |
and | WELLS FARGO BANK, N.A., NOT IN ITS INDIVIDUAL CAPACITY, BUT SOLELY AS TRUSTEE FOR THE SUPPLEMENTAL INTEREST TRUST CREATED UNDER THE POOLING AND SERVICING AGREEMENT |
_______________________________________ ("Party A") |
| _________________________________________ ("Party B") |
Part 1
Termination Provisions.
(a) | "Specified Entity" means in relation to Party A for the purpose of: |
Section 5(a)(v), | Not Applicable |
Section 5(a)(vi), | Not Applicable |
Section 5(a)(vii), | Not Applicable |
Section 5(b)(iv), | Not Applicable |
and in relation to Party B for the purpose of:
Section 5(a)(v), | Not Applicable |
Section 5(a)(vi), | Not Applicable |
Section 5(a)(vii), | Not Applicable |
Section 5(b)(iv), | Not Applicable |
(b) | "Specified Transaction" will have the meaning specified in Section 14 of this Agreement. |
(c) | Certain Events of Default. The following Events of Default will apply to the parties as specified below, and the definition of "Event of Default" in Section 14 is deemed to be modified accordingly: |
Section 5(a)(i) (Failure to Pay or Deliver) will apply to Party A and Party B; provided, however, that the reference to “third Local Business Day” shall be amended to be “first Local Business Day”.
Section 5(a)(ii) (Breach of Agreement) will not apply to Party A or Party B.
Section 5(a)(iii) (Credit Support Default) will apply to Party A and will not apply to Party B.
Section 5(a)(iv) (Misrepresentation) will not apply to Party A or Party B.
Section 5(a)(v) (Default under Specified Transaction) will not apply to Party A or Party B.
Section 5(a)(vi) (Cross Default) will not apply to Party A or Party B.
Section 5(a)(vii) (Bankruptcy) will apply to Party A and Party B; provided that clause (2) thereof shall not apply to Party B.
Section 5(a)(viii) (Merger without Assumption) will apply to Party A and will not apply to Party B.
(d) | Termination Events. The following Termination Events will apply to the parties as specified below: |
Section 5(b)(i) (Illegality) will apply to Party A and Party B.
Section 5(b)(ii) (Tax Event) will apply to Party A and Party B.
Section 5(b)(iii) (Tax Event upon Merger) will apply to Party A and will not apply to Party B; provided for clarification that Party B may be a Burdened Party for purpose of this provision.
Section 5(b)(iv) (Credit Event upon Merger) will not apply to Party A or Party B.
(e) | The "Automatic Early Termination" provision of Section 6(a) of this Agreement will not apply to Party A and will not apply to Party B. |
(f) | Payments on Early Termination. For the purpose of Section 6(e) of this Agreement: |
| (i) | Market Quotation will apply. |
| (ii) | The Second Method will apply. |
(g) | "Termination Currency" means United States Dollars. |
(h) | Additional Termination Events. The following Additional Termination Events will apply, in each case with respect to Party B as the sole Affected Party (unless otherwise provided below): |
| (i) | Party A fails to comply with the Downgrade Provisions as set forth in Part 5(b). For all purposes of this Agreement, Party A shall be the sole Affected Party with respect to the occurrence of a Termination Event described in this Part 1(h)(i). |
| (ii) | The Trust Fund (as defined in the Pooling and Servicing Agreement, dated as of September 1, 2005, among Asset Backed Funding Corporation, as depositor, HomeEq Servicing Corporation , as servicer, and Wells Fargo Bank, N.A., as trustee (the “Pooling and Servicing Agreement”)) is terminated pursuant to the Pooling and Servicing Agreement. |
| (iii) | The Pooling and Servicing Agreement is amended or modified without the prior written consent of Party A, where such consent is required under the terms of the Pooling and Servicing Agreement. |
| (iv) | Notice of the requisite amount of the Terminator’s intention to exercise its option to purchase the Mortgage Loans pursuant to Section 10.01 of the Pooling and Servicing Agreement is given by the Trustee to Certificateholders pursuant to Section 10.02 of the Pooling and Servicing Agreement. |
Part 2
Tax Representations.
(a) | Payer Representations. For the purpose of Section 3(e) of this Agreement, Party A will make the following representation and Party B will make the following representation: |
It is not required by any applicable law, as modified by the practice of any relevant governmental revenue authority, of any Relevant Jurisdiction to make any deduction or withholding for or on account of any Tax from any payment (other than interest under Section 2(e), 6(d)(ii) or 6(e) of this Agreement) to be made by it to the other party under this Agreement. In making this representation, it may rely on (i) the accuracy of any representations made by the other party pursuant to Section 3(f) of this Agreement, (ii) the satisfaction of the agreement contained in Section 4(a)(i) or 4(a)(iii) of this Agreement and the accuracy and effectiveness of any document provided by the other party pursuant to Section 4(a)(i) or 4(a)(iii) of this Agreement and (iii) the satisfaction of the agreement of the other party contained in Section 4(d) of this Agreement, provided that it shall not be a breach of this representation where reliance is placed on clause (ii) and the other party does not deliver a form or document under Section 4(a)(iii) of this Agreement by reason of material prejudice to its legal or commercial position.
(b) | Payee Representations. For the purpose of Section 3(f) of this Agreement, Party A and Party B make the representations specified below, if any: |
| (i) | With respect to payments made to Barclays which are not effectively connected to the U.S.: It is a non-U.S. branch of a foreign person for U.S. federal income tax purposes |
With respect to payments made to Barclays which are effectively connected to the U.S.: Each payment received or to be received by it in connection with this Agreement will be effectively connected with its conduct of a trade or business in the U.S.
| (ii) | Party B represents that it is the trustee (the “Trustee”), not in its individual capacity, but solely as trustee for the supplemental interest trust created under the Pooling and Servicing Agreement (the “Supplemental Interest Trust”). |
Part 3
Agreement to Deliver Documents.
For the purpose of Sections 4(a)(i) and (ii) of this Agreement, each party agrees to deliver the following documents, as applicable:
(a) | Tax forms, documents or certificates to be delivered are: |
Party required | Form/Document/Certificate | Date by which to be delivered |
Party A and Party B | Any form or document required or reasonably requested to allow the other party to make payments under the Agreement without any deduction or withholding for or on account of any Tax, or with such deduction or withholding at a reduced rate. | Promptly upon reasonable demand by the other party. |
(b) Other documents to be delivered are:
Party required to deliver document | Form/Document/Certificate | Date by which to be delivered | Covered by Section 3(d) Representation |
Party B | Certified copy of the Board of Directors resolution (or equivalent authorizing documentation) which sets forth the authority of each signatory to this Agreement and each Credit Support Document (if any) signing on its behalf and the authority of such party to enter into Transactions contemplated and performance of its obligations hereunder. | Concurrently with the execution and delivery of this Agreement. | Yes |
Party A and Party B | Incumbency Certificate (or, if available the current authorized signature book or equivalent authorizing documentation) specifying the names, titles, authority and specimen signatures of the persons authorized to execute this Agreement which sets forth the specimen signatures of each signatory to this Agreement, each Confirmation and each Credit Support Document (if any) signing on its behalf. | Concurrently with the execution and delivery of this Agreement unless previously delivered and still in full force and effect. | Yes |
Party A | Opinions of counsel of Party A reasonably satisfactory to Party B. | Concurrently with the execution and delivery of the Confirmation. | No |
Party B | Opinions of counsel of Party B reasonably satisfactory to Party A. | Concurrently with the execution and delivery of the Confirmation. | No |
Party B | An executed copy of the Pooling and Servicing Agreement. | Within 30 days after the date of this Agreement. | No |
Part 4.
Miscellaneous.
(a) | Addresses for Notices. For the purposes of Section 12(a) of this Agreement: |
Party A:
Addresses for notices to Party A under Sections 5 or 6 (other than notices under Section 5(a)(i)) shall be sent to:
Address: | 5 The North Colonnade |
| Canary Wharf |
| E14 4BB |
Facsimile: | 44(20) 777 36461 |
Phone: | 44(20) 777 36810 |
All other notices to Party A shall be sent directly to the Office through which Party A is acting for the relevant Transaction, using the address and contact particulars specified in the Confirmation of that Transaction or otherwise notified.
Wells Fargo Bank, N.A.
9062 Old Annapolis Rd.
Columbia, Maryland 21045
Attn: Client Manager – ABFC 2005-WMC1
Fax #: (410) 715-2380
(b) | Process Agent. For the purposes of Section 13(c) of this Agreement: |
Party A appoints as its Process Agent: Not Applicable.
Party B appoints as its Process Agent: Not Applicable.
(c) | Offices. With respect to Party A, the provisions of Section 10(a) will apply to this Agreement. |
(d) | Multibranch Party. For the purpose of Section 10(c) of this Agreement: |
Party A is a Multibranch Party and may act through its London and New York Offices.
Party B is not a Multibranch Party.
(e) | Calculation Agent. The Calculation Agent is Party A. |
(f) Credit Support Document. Details of any Credit Support Document: the ISDA Credit Support Annex and supplementary “Paragraph 13 - Elections & Variables” in the form appended hereto shall constitute a “Credit Support Document” in relation to Party A with respect to all of the obligations of Party A and for all purposes of this Agreement dated as of a date even herewith.
(g) | Credit Support Provider. |
Credit Support Provider means in relation to Party A: Not Applicable, unless Party A has a person guarantee its payment obligations under this Agreement in order to remedy a Rating Event, in which event such person shall be a Credit Support Provider.
Credit Support Provider means in relation to Party B: Not Applicable.
(h) | Governing Law. This Agreement will be governed by and construed in accordance with the laws of the State of New York (without reference to choice of law doctrine other than New York General Obligations Law Sections 5-1401 and 5-1402). |
(i) | Netting of Payments. Subparagraph (ii) of Section 2(c) of this Agreement will apply to all Transactions (in each case starting from the date of this Agreement). |
(j) | "Affiliate." Each of Party A and Party B shall be deemed to have no Affiliates, including for purposes of Section 6(b)(ii). |
(k) | Jurisdiction. Section 13(b) is hereby amended by: (i) deleting in the second line of subparagraph (i) thereof the word "non-", (ii) deleting “ and” from the end of subparagraph 1 and inserting “.” at the end of such provision, and (iii) deleting the final paragraph thereof. |
(l) | Waiver of Jury Trial. Each party waives, to the fullest extent permitted by applicable law, any right it may have to a trial by jury in respect of any suit, action or proceeding relating to this Agreement or any Credit Support Document. Each party certifies (i) that no representative, agent or attorney of the other party or any Credit Support Provider has represented, expressly or otherwise, that such other party would not, in the event of such a suit, action or proceeding, seek to enforce the foregoing waiver and (ii) acknowledges that it and the other party have been induced to enter into this Agreement and provide for any Credit Support Document, as applicable, by, among other things, the mutual waivers and certifications in this Section. |
(m) | Consent to Recording. Each party (i) consents to the recording of the telephone conversations of trading and marketing personnel of the parties and their Affiliates in connection with this Agreement or any potential transaction and (ii) if applicable, agrees to obtain any necessary consent of, and give notice of such recording to, such personnel of it and its Affiliates. |
(n) | Severability. If any term, provision, covenant, or condition of this Agreement, or the application thereof to any party or circumstance, shall be held to be illegal, invalid or unenforceable (in whole or in part) for any reason, the remaining terms, provisions, covenants and conditions hereof shall continue in full force and effect as if this Agreement had been executed with the illegal, invalid or unenforceable portion eliminated, so long as this Agreement as so modified continues to express, without material change, the original intentions of the parties as to the subject matter of this Agreement and the deletion of such portion of this Agreement will not substantially impair the respective benefits or expectations of the parties to this Agreement. |
The parties shall endeavor to engage in good faith negotiations to replace any illegal, invalid or unenforceable term, provision, covenant or condition with a valid or enforceable term, provision, covenant or condition, the economic effect of which comes as close as possible to that of the illegal, invalid or unenforceable term, provision, covenant or condition.
Part 5.
Other Provisions.
(a) | Definitions. |
This Agreement, including each Confirmation and each Swap Transaction, is subject to the 2000 ISDA Definitions, as amended, supplemented, updated, and superseded from time to time (the "Definitions"), as published by the International Swaps and Derivatives Association, Inc. ("ISDA") and will be governed in all respects by the Definitions (except that references to "Swap Transactions" shall be deemed to be references to "Transactions"). The Definitions are incorporated by reference in, and made part of, this Agreement and each Confirmation as if set forth in full in this Agreement and such Confirmations. In the event of any inconsistency between the provisions of this Agreement and the Definitions, this Agreement will prevail (and, in the event of any inconsistency between any Confirmation and the Definitions, the Confirmation will control). Any reference in a Confirmation to any Definitions which are amended or supplemented in this Schedule shall be deemed to be a reference to such Definitions as so amended or supplemented, unless the Confirmation states, by specific reference to any such amendment or supplement, that such amendment or supplement will not apply in respect of the Transaction to which such Confirmation relates. Any capitalized terms used but not otherwise defined in this Agreement shall have the meanings assigned to them (or incorporated by reference) in the Pooling and Servicing Agreement.
(b) | Downgrade Provisions. |
If a Ratings Event (as defined below) occurs with respect to Party A (or any applicable credit support provider), then Party A shall, subject to the Rating Agency Condition (as hereinafter defined) at its own expense (unless, within 30 days of such Ratings Event, each of Standard and Poor’s, a Division of McGraw-Hill Companies, Inc. (“S&P”), Moody’s Investors Service, Inc. (“Moody’s”) and Fitch Ratings (“Fitch”) (each a “Rating Agency”) has reconfirmed the rating of the Certificates which was in effect immediately prior to such Ratings Event), (i) assign this Transaction hereunder to a third party within (30) days of such Ratings Event that meets or exceeds, or as to which any applicable credit support provider of such third party meets or exceeds, the Approved Ratings Thresholds (as defined below) on terms substantially similar to this Confirmation, (ii) deliver collateral within (30) days of such Ratings Event, in an amount equal to the Exposure (as defined below), pursuant to an ISDA Credit Support Annex (subject to New York Law) with a form of Paragraph 13 in the form annexed hereto (the “CSA”) and concurrently with such delivery of Eligible Collateral, Barclays shall cause its counsel to deliver an opinion as to the enforceability, perfection and priority of Counterparty’s security interest in such Eligible Collateral if necessary to satisfy the Ratings Agency Condition, (iii)
obtain a guaranty of Party A’s obligations under this Transaction from a third party that meets or exceeds the Approved Ratings Threshold, in form and substance or (iv) establish any other arrangement satisfactory to the applicable Rating Agency which will be sufficient to restore the immediately prior ratings of the Certificates.
For purposes of this Transaction, a “Ratings Event” shall occur with respect to Party A (or any applicable credit support provider), if
| (a) | its long-term unsecured and unsubordinated debt ceases to be rated at least “A+” by S&P or its short-term unsecured and unsubordinated debt ceases to be rated at least “A-1” by S&P; and |
| (b) | its long-term unsecured and unsubordinated debt ceases to be rated at least “A1” and its short-term unsecured and unsubordinated debt ceases to be rated at least “P-1” by Moody’s, such rating not on watch for downgrade (or, if Party A does not have a short-term rating, its long-term unsecured and unsubordinated debt ceases to be rated at least “Aa3,” such rating not on watch for downgrade) |
.
in each case including in connection with a merger, consolidation or other similar transaction by Party A or any applicable credit support provider, such ratings being referred to herein as the “Approved Ratings Thresholds.”
“Rating Agency Condition" means, with respect to any particular proposed act or omission to act hereunder that the party acting or failing to act must consult with any of the Rating Agencies then providing a rating of the Certificates and receive from the Rating Agencies a prior written confirmation that the proposed action or inaction would not cause a downgrade or withdrawal of the then-current rating of the Certificates.
For the avoidance of doubt, both parties agree that Party A shall only be required to post collateral pursuant to the terms of the CSA for the period (the “Collateral Requirement Period”) during which Party A’s Rating Event is continuing or until a replacement or guarantor, meeting the requirements set forth above, is in place. Once the Collateral Requirement Period has ended, Counterparty’s Custodian shall return any such Eligible Collateral to Party A as soon as reasonably practicable and to the extent such Collateral has not already been applied in accordance with this Agreement, including the Credit Support Annex.
(c) | Section 3(a) of this Agreement is hereby amended to include the following additional representations after paragraph 3(a)(v): |
(vi) Eligible Contract Participant. It is an "eligible contract participant" as defined in section 1a(12) of the U.S. Commodity Exchange Act.
(vii) Individual Negotiation. This Agreement and each Transaction hereunder is subject to individual negotiation by the parties.
(viii) Relationship between Party A and Party B. Subject as provided in Part 5(g), each of Party A and Party B will be deemed to represent to the other on the date on which it enters into a Transaction or an amendment thereof that (absent a written agreement between Party A and Party B that expressly imposes affirmative obligations to the contrary for that Transaction):
(1) Principal. It is acting as principal and not as agent when entering into this Agreement and each Transaction.
(2) Non-Reliance. It is acting for its own account and it has made its own independent decisions to enter into that Transaction and as to whether that Transaction is appropriate or proper for it based upon its own judgment and upon advice from such advisors as it has deemed necessary. It is not relying on any communication (written or oral) of the other party as investment advice or as a recommendation to enter into that Transaction; it being understood that information and explanations related to the terms and conditions of a Transaction shall not be considered investment advice or a recommendation to enter into that Transaction. No communication (written or oral) received from the other party shall be deemed to be an assurance or guarantee as to the expected results of that Transaction.
(3) Evaluation and Understanding. It is capable of evaluating and understanding (on its own behalf or through independent professional advice), and understands and accepts, the terms, conditions and risks of this Agreement and each Transaction hereunder. It is also capable of assuming, and assumes, all financial and other risks of this Agreement and each Transaction hereunder.
(4) Status of Parties. The other party is not acting as a fiduciary or an advisor for it in respect of that Transaction.
(d) | Section 4 is hereby amended by adding the following new agreement: |
(f) Actions Affecting Representations. Party B agrees not to take any action during the term of this Agreement or any Transaction hereunder that renders or could render any of the representations and warranties in this Agreement untrue, incorrect, or incomplete, and if any event or condition occurs that renders or could render any such representation untrue, incorrect, or incomplete, Party B will immediately give written notice thereof to Party A.
(e) | Section 1(c). For purposes of Section 1(c) of the Agreement, this Transaction shall be the sole Transaction under the Agreement. |
(f) | Transfer. |
Neither Party A nor Party B is permitted to assign, novate or transfer (whether by way of security or otherwise) as a whole or in part any of its rights, obligations or interests under this Agreement or any Transaction without the prior written consent of the other party; provided, however, that (i) Party A may make such a transfer or assignment of this Agreement pursuant to a consolidation or amalgamation with, or merger with or into, or transfer of substantially all of its assets to, another entity, or an incorporation, reincorporation or reconstitution, and (ii) Party A may transfer or assign this Agreement to any Person, including, without limitation, another of Party A’s offices, branches or affiliates (any such Person, office, branch or affiliate, a "Transferee") on at least five Business Days’ prior written notice to Party B and the Trustee; provided that, with respect to clause (ii), (A) as of the date of such transfer the Transferee will not be required to withhold or deduct on account of a Tax from any payments under this Agreement unless the Transferee will be required to make payments of additional amounts pursuant to Section 2(d)(i)(4) of this Agreement in respect of such Tax (B) a Termination Event or Event of Default does not occur under this Agreement as a result of such transfer; (C) such notice is accompanied by a written instrument pursuant to which the Transferee acquires and assumes the rights and obligations of Party A so transferred; and (D) Party A will be responsible for any costs or expenses incurred in connection with such transfer. Party B will execute such documentation as is reasonably deemed necessary by Party A for the effectuation of any such transfer. Notwithstanding the foregoing, no such transfer shall be made unless the transferring party obtains a written acknowledgment from each of the Rating Agencies that, notwithstanding such transfer, the then-current ratings of the Certificates will not be reduced or withdrawn.
Except as specified otherwise in the documentation evidencing a transfer or assignment, a transfer or assignment of all the obligations of Party A made in compliance with this Section 7 will constitute an acceptance and assumption of such obligations (and any related interests so transferred) by the Transferee, a novation of the transferee in place of Party A with respect to such obligations (and any related interests so transferred), and a release and discharge by Party B of Party A from, and an agreement by Party B not to make any claim for payment, liability, or otherwise against Party A with respect to, such obligations from and after the effective date of the transfer.
(g) | Trustee Capacity. It is expressly understood and agreed by the parties hereto that (i) this Agreement is executed and delivered by Wells Fargo Bank, N.A., not individually or personally but solely as trustee of the Supplemental Interest Trust, in |
the exercise of the powers and authority conferred and vested in it under the Pooling and Servicing Agreement, (ii) each of the representations, undertakings and agreements herein made on the part of the Supplemental Interest Trust is made and intended not as personal representations, undertakings and agreements by Wells Fargo Bank, N.A. but is made and intended for the purpose of binding only the Supplemental Interest Trust, (iii) nothing herein contained shall be construed as creating any liability on the part of Wells Fargo Bank, N.A., individually or personally, to perform any covenant either expressed or implied contained herein, all such liability, if any, being expressly waived by the parties hereto and by any Person claiming by, through or under the parties hereto and (iv) under no circumstances shall Wells Fargo Bank, N.A. be personally liable for the payment of any indebtedness or expenses of the Trust or be liable for the breach or failure of any obligation, representation, warranty or covenant made or undertaken by Party B under this Agreement or any other related documents.
Party B represents that:
(i) Status. Wells Fargo Bank, N.A. (the "Trustee") is trustee of the Supplemental Interest Trust whose appointment is valid and effective both under the laws of the State of New York and under the Pooling and Servicing Agreement, and the Trustee has the power to own assets in its capacity as trustee of the Supplemental Interest Trust.
(ii) Powers. In its capacity as trustee of the Supplemental Interest Trust, the Trustee has power under the Pooling and Servicing Agreement to execute this Agreement and any other documentation relating to this Agreement to which the Trustee is party, to deliver this Agreement and any other documentation relating to this Agreement that it is required by this Agreement to deliver and to perform its obligations (on behalf of the Supplemental Interest Trust) under this Agreement and any obligations (on behalf of the Supplemental Interest Trust) it has under any Credit Support Document to which the Trustee is party and has taken all necessary action to authorize such execution, delivery and performance;
(iii) No Violation or Conflict. Such execution, delivery and performance do not violate or conflict with any law applicable to the Trustee or the Supplemental Interest Trust, any provision of the Pooling and Servicing Agreement, any order or judgment of any court or other agency of government applicable to the Trustee, the Supplemental Interest Trust or any assets of the Supplemental Interest Trust, or any contractual restriction binding on or affecting the Trustee, the Supplemental Interest Trust or any assets of the Supplemental Interest Trust;
(iv) Consents. All governmental and other consents that are required have been obtained by the Trustee with respect to this Agreement or any Credit Support Document to which the Trustee is party have been obtained and are in full force and effect and all conditions of such consents have been complied with; and
(v) Obligations Binding. The obligation of the Trustee under this Agreement and any Credit Support Document to which the Trustee is party constitute legal, valid and binding obligations of the Trustee in its capacity as trustee of the Supplemental Interest Trust, enforceable against the Supplemental Interest Trust in accordance with their respective terms (subject to applicable bankruptcy, reorganization, insolvency, moratorium or similar laws affecting creditors' rights generally and subject, as to enforceability, to equitable principles of general application (regardless of whether enforcement is sought in a proceeding in equity or law)) and no circumstances are known to the Trustee which would or might prevent the Trustee from having recourse to the assets of the Supplemental Interest Trust for the purposes of meeting such obligations.
(h) | Proceedings. Party A shall not institute against or cause any other person to institute against, or join any other person in instituting against the Depositor or Party B, any bankruptcy, reorganization, arrangement, insolvency or liquidation proceedings, or other proceedings under any federal or state bankruptcy, dissolution or similar law, for a period of one year and one day, or if longer the applicable preference period then in effect, following indefeasible payment in full of the Certificates. Nothing shall preclude, or be deemed to stop, Party A (i) from taking any action prior to the expiration of the aforementioned one year and one day period, or if longer the applicable preference period then in effect, in (A) any case or proceeding voluntarily filed or commenced by Party B or (B) any involuntary insolvency proceeding filed or commenced by a Person other than Party A, or (ii) from commencing against Party B or any of the Collateral any legal action which is not a bankruptcy, reorganization, arrangement, insolvency, moratorium, liquidation or similar proceeding. |
(i) | Change of Account. Section 2(b) of this Agreement is hereby amended by the addition of the following after the word "delivery" in the first line thereof:- |
"to another account in the same legal and tax jurisdiction as the original account"
(j) | Pooling and Servicing Agreement. |
(1) Capitalized terms used in this Agreement that are not defined herein and are defined in the Pooling and Servicing Agreement shall have the respective meanings assigned to them in the Pooling and Servicing Agreement.
(2) Notwithstanding any of the other provisions of Section [11.01] of the Pooling and Servicing Agreement, Party B shall not enter into any amendment to Section [3.05(c)(i), 4.01, 4.09 or Section 11.10] of the Pooling and Servicing Agreement without the prior written consent of the Party A.
(k) | Set-off. Notwithstanding any provision of this Agreement or any other existing or future agreements, each of Party A and Party B irrevocably waives as to itself any and |
all contractual rights it may have to set off, net, recoup or otherwise withhold or suspend or condition its payment or performance of any obligation to the other party under this Agreement against any obligation of one party hereto to the other party hereto arising outside of this Agreement (which Agreement includes without limitation, the Master Agreement to which this Schedule is attached, this Schedule and the Confirmation). The provisions for set-off set forth in Section 6(e) of this Agreement shall not apply for purposes of this Transaction.
(l) | Notice of Certain Events or Circumstances. Each party agrees, upon learning of the occurrence or existence of any event or condition that constitutes (or that with the giving of notice or passage of time or both would constitute) an Event of Default or Termination Event with respect to such party, promptly to give the other party notice of such event or condition (or, in lieu of giving notice of such event or condition in the case of an event or condition that with the giving of notice or passage of time or both would constitute an Event of Default or Termination Event with respect to the party, to cause such event or condition to cease to exist before becoming an Event of Default or Termination Event); provided that failure to provide notice of such event or condition pursuant to this Part 5(l) shall not constitute an Event of Default or a Termination Event. |
(m) | Regarding Party A. Party B acknowledges and agrees that Party A has had and will have no involvement in and, accordingly Party A accepts no responsibility for: (i) the establishment, structure, or choice of assets of Party B; (ii) the selection of any person performing services for or acting on behalf of Party B; (iii) the selection of Party A as the Counterparty; (iv) the terms of the Certificates; (v) the preparation of or passing on the disclosure and other information contained in any offering circular for the Certificates, the Pooling and Servicing Agreement, or any other agreements or documents used by Party B or any other party in connection with the marketing and sale of the Certificates; (vi) the ongoing operations and administration of Party B, including the furnishing of any information to Party B which is not specifically required under this Agreement; or (vii) any other aspect of Party B’s existence. |
(n) | Amendments. This Agreement will not be amended unless Party B shall have received prior written confirmation from each of the Rating Agencies that such amendment will not cause S&P, Moody's or Fitch to downgrade or withdraw its then-current ratings of any outstanding Certificates. |
(o) | Gross-up. Section 2(d)(i)(4) shall only apply in the event Party A is “X” and Party B is “Y” thereunder. |
(p) | Payment Dates. Notwithstanding anything to the contrary in the Agreement, (i) Party B will not be required to make any payment specified in a Confirmation until the next scheduled Distribution Date (as defined in the Pooling & Servicing Agreement) and (ii) if an amount is calculated as being due in respect of any Early Termination Date under 6(e) from Party B to Party A, the payment will be due on the next subsequent |
Distribution Date or if such Early Termination Date is the final Distribution Date, on such final Distribution Date
(q) | Notwithstanding any other provisions of this Agreement, the obligations of Party B under this Agreement are limited-recourse obligations of Party B. Such obligations are non-recourse to Party B, its assets and its property other than the assets of the Swap Account, and following realization of such assets, any claims of Party A shall be extinguished and shall not thereafter be reinstated. No recourse shall be had against any principal, director, officer, employee, beneficiary, shareholder, partner, member, trustee, agent or affiliate of Party B or any person owning, directly or indirectly, any legal or beneficial interest in Party B, or any successors or assigns of any of the foregoing (the “Exculpated Parties”) for the payment of any amount payable under this Agreement. Party A shall not enforce the liability and obligations of Party B to perform and observe the obligations contained in this Agreement by any action or proceeding wherein a money judgment establishing any personal liability shall be sought against Party B, subject to the following sentence, or the Exculpated Parties. The agreements in this paragraph shall survive termination of this Agreement and the performance of all obligations hereunder. |
IN WITNESS WHEREOF, the parties have executed this document by their duly authorized officers with effect from the date so specified on the first page hereof.
BARCLAYS BANK PLC | WELLS FARGO BANK, N.A., NOT IN ITS INDIVIDUAL CAPACITY, BUT SOLELY AS TRUSTEE FOR THE SUPPLEMENTAL INTEREST TRUST CREATED UNDER THE POOLING AND SERVICING AGREEMENT |
("Party A")
| ("Party B")
|
By: ______________ Name: Title: Date: | By: _______________ Name: Title: Date: |
Elections and Variables
to the ISDA Credit Support Annex
dated as of September 30, 2005
between
BARCLAYS BANK PLC | and | WELLS FARGO BANK, N.A., NOT IN ITS INDIVIDUAL CAPACITY, BUT SOLELY AS TRUSTEE FOR THE SUPPLEMENTAL INTEREST TRUST CREATED UNDER THE POOLING AND SERVICING AGREEMENT
|
("Party A") |
|
("Party B") |
Paragraph 13.
(a) | Security Interest for "Obligations". The term "Obligations" as used in this Annex includes the following additional obligations: |
With respect to Party A: None.
With respect to Party B: None.
(b) | Credit Support Obligations. |
| (i) | Delivery Amount, Return Amount and Credit Support Amount. |
| (A) | "Delivery Amount" has the meaning specified in Paragraph 3(a) , except that the words “upon a demand made by the Secured Party on or promptly following a Valuation Date” shall be deleted and replaced with the words “not later than the close of business on the next Local Business Day following a Valuation Date” and. |
| (B) | "Return Amount" has the meaning specified in Paragraph 3(b). |
| (C) | "Credit Support Amount". shall not have the meaning specified in Paragraph 3(b) and, instead, will have the following meaning: |
“Credit Support Amount” means, (a) for any Valuation Date on which a Ratings Event (as defined in the Agreement) has occurred and is continuing, the Secured Party’s Modified Exposure for that Valuation Date.
| (ii) | Eligible Credit Support. On any date, the following items will qualify as "Eligible Credit Support" for each party: |
| Valuation |
(A) cash in U.S Dollars | 100% |
(B) negotiable debt obligations issued after 18 July 1984 by the U.S. Treasury Department having a residual maturity on such date of less than 1 year (with local and foreign currency issuer ratings of Moody's Aa2 and S&P AA or above) | 98.6% |
(C) negotiable debt obligations issued after 18 July 1984 by the U.S. Treasury Department having a residual maturity on such date equal to or greater than 1 year but less than 5 years (with local and foreign currency issuer ratings of Moody's Aa2 and S&P AA or above) | To Be Determined |
(D) negotiable debt obligations issued after l8 July 1984 by the U.S. Treasury Department having a residual maturity on such date equal to or greater than 5 years but less than 10 years (with local and foreign currency issuer ratings of Moody's Aa2 and S&P AA or above) | To Be Determined |
(E) negotiable debt obligations of the Government National Mortgage Association, the Federal National Mortgage Association, the Federal Home Loan Mortgage Corporation, the Student Loan Marketing Association or a Federal Home Loan Bank (all entities rated Moody's Aal and S&P AA+ or above) with a residual maturity on such date equal to or greater than 1 year but less than 3 years. | To Be Determined |
(F) negotiable debt obligations of the Government National Mortgage Association, the Federal National Mortgage Association, the Federal Home Loan Mortgage Corporation, the Student Loan Marketing Association or a Federal Home Loan Bank (all entries rated Moody's Aa 1 and S&P AA+ or above) with a residual maturity on such date equal to or greater than 3 years but less than 5 years. | To Be Determined |
(G) negotiable debt obligations of the Government National Mortgage Association, the Federal National Mortgage Association, the Federal Home Loan Mortgage Corporation, the Student Loan Marketing Association or a Federal Home Loan Bank (all entries rated Moody's Aal and S&P AA+ or above) with a residual maturity on such date equal to or greater than 5 years but less than 7 years. | To Be Determined |
(H) negotiable debt obligations of the Government National Mortgage Association, the Federal National Mortgage Association, the Federal Home Loan Mortgage Corporation, the Student Loan Marketing Association or a Federal Home Loan Bank (all entries rated Moody's Aal and S&P AA+ or above) with a residual maturity on such date equal to or greater than 7 years but less than 10 years. | To Be Determined |
For the avoidance of doubt, where negotiable debt obligations are rated by only one of the above relevant rating agencies, the rating applied will be based on the rating of that agency.
Where the ratings of the relevant agencies differ with respect to the same negotiable debt obligation, the lower of the ratings shall apply.
In addition, upon a Ratings Event, Party A shall agree the Valuation Percentage in relation to (C) through (H) above with the relevant rating agency, which shall be S&P or Moody's; provided, however, that if Party A is required to post collateral in accordance with the terms of this Agreement it shall post only (A) and (B) above until such time as the Valuation Percentages are agreed.
| (iii) | Other Eligible Support. Such Other Eligible Support as the Pledgor may designate; provided, at the expense of the Pledgor, the prior written consent of the relevant rating agency, which shall be S&P or Moody's, shall have been obtained. For the avoidance of doubt there are no items which qualify as Other Eligible Support as of the date of this Annex. |
| (iv) | Thresholds. |
| (A) | "Independent Amount" means zero. |
| (B) | "Threshold" means for Party A: |
| 1. | infinity, unless (i) a Ratings Event occurs and is continuing and (ii) Party A has not otherwise complied with Part 5, section 5(b) of this Agreement, then its Threshold shall be zero, or |
| 2. | in the event that Party A has otherwise complied with Part 5, section 5(b) of this Agreement, its Threshold shall continue to be infinity. |
"Threshold" means, for Party B: infinity
| (C) | "Minimum Transfer Amount" means USD 20,000, provided, however, with respect to the Secured Party at any time when the Secured Party is a Defaulting Party, "Minimum Transfer Amount" means zero. |
| (D) | Rounding: The Delivery Amount and the Return Amount will not be rounded. |
(c) | Valuation and Timing. |
| (i) | "Valuation Agent" means Party A. The valuation agent's calculations shall be made in accordance with market practices using commonly accepted third party sources such as Bloomberg or Reuters. |
| (ii) | "Valuation Date" means each Local Business Day which, if treated as a Valuation Date, would result in a Delivery Amount or Return Amount. |
| (iii) | "Valuation Time" means the close of business in the city of the Valuation Agent on the Local Business Day before the Valuation Date or date of calculation, as applicable, provided that the calculations of Value and Exposure will be made as of approximately the same time on the same date. |
| (iv) | "Notification Time" means 11:00 a.m., New York time, on a Local Business Day. |
(d) | Conditions Precedent and Secured Party's Rights and Remedies. The following Termination Event will be a "Specified Condition" for the party specified (that party being the Affected Party if the Termination Event occurs with respect to that party): None. |
(e) | Substitution. |
| (i) | "Substitution Date" has the meaning specified in Paragraph 4(d)(ii). |
| (ii) | Consent. Not applicable. |
(f) | Dispute Resolution. |
| (i) | "Resolution Time" means 1:00 p.m. New York time on the Local Business Day following the date on which the notice of the dispute is given under Paragraph 5. |
Value. For the purpose of Paragraphs 5(i)(C) and 5(ii), on any date, the Value of Eligible Credit Support will be calculated as follows:
For Eligible Credit Support comprised of cash, the amount of such cash.
For Eligible Collateral comprising securities; the sum of (a)(x) the last bid price on such date for such securities on the principal national securities exchange on which such securities are listed, multiplied by the applicable Valuation Percentage or (y) where any such securities are not listed on a national securities exchange, the bid price for such securities quoted as at the close of business on such date by any principal market maker for such securities chosen by the Valuation Agent, multiplied by the applicable Valuation Percentage or (z) if no such bid price is listed or quoted for such date, the last bid price listed or quoted (as the case may be), as of the day next preceding such date on which such prices were available; multiplied by the applicable Valuation Percentage; plus (b) the accrued interest on such securities (except to the extent that such interest shall have been paid to the Pledgor pursuant to Paragraph 6(d)(ii) or included in the applicable price referred to in subparagraph (a) above) as of such date.
| (ii) | Alternative. The provisions of Paragraph 5 will apply; provided that the obligation of the appropriate party to deliver the undisputed amount to the other party will not arise prior to the time that would otherwise have applied to the Transfer pursuant to, or deemed made, under Paragraph 3 if no dispute had arisen. |
(g) | Holding and Using Posted Collateral. |
| (i) | Eligibility to Hold Posted Collateral; Custodians. |
Party B is not and will not be entitled to hold Posted Collateral. Party B's Custodian will be entitled to hold Posted Collateral pursuant to Paragraph 6(b); provided that the Custodian for Party B shall be the same banking institution that acts as Indenture Trustee for the Notes (as defined in the Indenture) for Party B.
Initially, the Custodian for Party B is Wells Fargo Bank, National Association, not in its individual capacity, but solely as Indenture Trustee under the Indenture.
| (ii) | Use of Posted Collateral. The provisions of Paragraph 6(c) will not apply to Party B; therefore, Party B will not have any of the rights specified in Paragraph 6(c)(i) or 6 (c)(ii); provided, however, that the Trustee shall invest Cash Posted Credit Support in such investments as designated by Party A, with losses (net of gains) incurred in respect of such investments to be for the account of Party A. The Secured Party is authorized to liquidate any Posted Credit Support pursuant to written instructions from Party A. |
(h) | Distributions and Interest Amount. |
| (i) | Interest Rate. The "Interest Rate" will be the rate earned on Cash Posted Credit Support pursuant to clause (g)(ii) above. |
| (ii) | Transfer of Interest Amount. The Transfer of the Interest Amount will be made on each Distribution Date. |
| (iii) | Alternative to Interest Amount. The provisions of Paragraph 6(d)(ii) will not apply. |
(i) | Additional Representation(s). |
There are no additional representations by either party.
(j) | Other Eligible Support and Other Posted Support. |
| (i) | "Value" with respect to Other Eligible Support and Other Posted Support shall have such meaning as the parties shall agree in writing from time to time. |
| (ii) | "Transfer" with respect to Other Eligible Support and Other Posted Support shall have such meaning as the parties shall agree in writing from time to time. |
(k) | Demands and Notices. |
All demands, specifications and notices under this Annex will be made pursuant to the Notices Section of this Agreement, save that any demand, specification or notice:
| (i) | shall be given to or made at the following addresses: |
If to Party A:
5 The North Colonnade
Canary Wharf
London E14 4BB, England
Attention: Swaps Documentation
Facsimile No.: 0207-773-6857/6858
Telephone No.: 0207-773-6915/6904
with a copy to:
General Counsel's Office
200 Park Avenue
New York, N.Y. 10166
Notices to Party A shall not be deemed effective unless delivered to the London address set forth above.
If to Party B:
Wells Fargo Bank, N.A.
9062 Old Annapolis Rd.
Columbia, Maryland 21045
Attn: Client Manager – ABFC 2005-WMC1
Fax #: (410) 715-2380
or at such other address as the relevant party may from time to time designate by giving notice (in accordance with the terms of this paragraph) to the other party;
| (ii) | shall (unless otherwise stated in this Annex) be deemed to be effective at the time such notice is actually received unless such notice is received on a day which is not a Local Business Day or after the Notification Time on any Local Business Day in which event such notice shall be deemed to be effective on the next succeeding Local Business Day. |
(l) | Address for Transfers. |
Party B:
Wells Fargo Bank, N.A.
San Francisco, CA
ABA # 121000248
Acct: # 3970771416
Account Name: Corporate Trust Clearing
FFC #: 17197104
Ref: ABFC 2005-WMC1; Swap Account
(m) | Other Provisions. |
| (i) | Additional Definitions. As used in this Annex: |
| (ii) | Exposure. The Parties agree that in the event of a Ratings Event relating to an action taken by S&P, the Valuation Agent shall verify its calculation of the Secured Party’s Exposure on a weekly basis but shall verify such valuation by seeking two quotations from Reference Market-makers at the end of each quarter. For the avoidance of doubt, the Valuation Agent must (i) obtain at least 2 Market Quotations (as stated above) and (ii) may not obtain the quotations referred to above from the same Reference Market-maker in excess of four times during any 12 month period. Furthermore, the Exposure valuations should reflect the higher of two bids from Reference Market-makers that would be eligible and willing to provide the market quoation in the absence of the current provider. The collateral requirement should be based on the greater of the internal and external market quoations. In the event the verification procedures set forth above indicate that there is a deficiency in the amount of Eligible Collateral that has been posted to the Secured Party, the Pledgor shall post the amount of Eligible Collateral necessary to cure such deficiency to the Secured Party within three Local Business Days. |
"Local Business Day" means: (i) any day on which commercial banks are open for business (including dealings in foreign exchange and foreign currency deposits) in London, New York and the location of the Trustee, and (ii) in relation to a Transfer of Eligible Credit Support, a day on which the clearance system agreed between the parties for the delivery of Eligible Credit Support is open for acceptance and execution of settlement instructions (or in the case of a Transfer of Cash or other Eligible Credit Support for which delivery is contemplated by other means, a day on which commercial
banks are open for business (including dealings for foreign exchange and foreign deposits) in New York and such other places as the parties shall agree).
| (iii) | Holding Collateral. The Secured Party shall cause any Custodian appointed hereunder to open and maintain a segregated account and to hold, record and identify all the Posted Collateral in such segregated account and, subject to Paragraph 8(a), such Posted Collateral shall at all times be and remain the property of the Pledgor and shall at no time constitute the property of, or be commingled with the property of, the Secured Party or the Custodian. |
| (iv) | Agreement as to Single Secured Party and Pledgor. Party A and Party B agree that, notwithstanding anything to the contrary in this Annex, (a) the term "Secured Party" as used in this Annex means only Party B, (b) the term "Pledgor" as used in this Annex means only Party A, (c) only Party A makes the pledge and grant in Paragraph 2, the acknowledgement in the final sentence of Paragraph 8(a) and the representations in Paragraph 9 and (d) Party A shall have no obligations under this Annex other than during a Collateral Requirement Period. |
| (iv) | Form of Annex. The parties hereby agree that the text of the body of this Annex is intended to be the printed form of ISDA Credit Support Annex (Bilateral Form - ISDA Agreements Subject to New York Law version) as published and copyrighted by the International Swaps and Derivatives Association, Inc. |
(viii) Additional Definitions. As used in this Annex:
“Ratings Event” means a “Ratings Event ” (as defined in the Agreement).
“Modified Exposure” means, for any Valuation Date, an amount equal to the greater of (a) the sum of Secured Party's Exposure for that Valuation Date plus (the Notional Volatility Buffer multiplied by the Notional Amount) and (b) zero.
“Notional Volatility Buffer” as determined by the Valuation Agent for any date, means the outstanding Notional Amount of the Transaction on such date multiplied by the relevant percentage for such date as set out in the table below on such date.
Party A S&P Rating on | Less than or | Less than or equal to |
S-T Rating of A-2 | 3.25% | 4.00% |
S-T Rating of A-3 | 4.00% | 5.00% |
L-T Rating of BB+ or lower | 4.50% | 5.75% |
IN WITNESS WHEREOF, the parties have executed this Annex by their duly authorized representatives as of the date of the Agreement.
BARCLAYS BANK PLC | WELLS FARGO BANK, N.A., NOT IN ITS INDIVIDUAL CAPACITY, BUT SOLELY AS TRUSTEE FOR THE SUPPLEMENTAL INTEREST TRUST CREATED UNDER THE POOLING AND SERVICING AGREEMENT
|
By: _______________________ Date: | By: ____________________ |
Date: | September 30, 2005 |
|
|
To: | Wells Fargo Bank, N.A., not in its individual capacity, but solely as Trustee for the supplemental interest trust created under the Pooling and Servicing Agreement |
|
|
Attention: | Client Manager – ABFC 2005-WMC1 |
Facsimile no.: | 410-715-2380 |
|
|
Our Reference: | 933644B |
|
|
Re: | Interest Rate Swap Transaction |
Ladies and Gentlemen:
The purpose of this letter agreement is to set forth the terms and conditions of the Transaction entered into between Barclays Bank PLC (“Barclays”) and Wells Fargo Bank, N.A., not in its individual capacity, but solely as Trustee for the supplemental interest trust created under the Pooling and Servicing Agreement (“Counterparty”) on the Trade Date specified below (the “Transaction”). This letter agreement constitutes a “Confirmation” as referred to in the Agreement specified below.
The definitions and provisions contained in the 2000 ISDA Definitions (the “Definitions”) as published by the International Swaps and Derivatives Association, Inc. are incorporated by reference herein. In the event of any inconsistency between the Definitions and this Confirmation, this Confirmation will govern.
For the purpose of this Confirmation, all references in the Definitions or the Agreement to a “Swap Transaction” shall be deemed to be references to this Transaction.
1. | This Confirmation supplements, forms part of, and is subject to, ISDA Master Agreement dated as of September 30, 2005 (as the same may be amended or supplemented from time to time, the “Agreement”), between Barclays and Counterparty. All provisions contained in the Agreement shall govern this Confirmation except as expressly modified below. |
2. | The terms of the particular Transaction to which this Confirmation relates are as follows: |
Notional Amount: | The Notional Amount, which shall initially be USD 3,826,468.608 subject to adjustment as set out in the Additional Terms attached hereto. |
| Trade Date: | September 23, 2005 |
| Effective Date: | September 30, 2005 |
| Termination Date: | November 25, 2009, subject to adjustment in accordance with the Modified Following Business Day Convention. |
Fixed Amounts:
Fixed Rate Payer: | Counterparty |
|
|
Fixed Rate Payer Period End Dates: | The 25th day of each month, commencing October 25, 2005, through and including the Termination Date, subject to no adjustment. |
|
|
Fixed Rate Payer Payment Dates: | The 25th day of each month, commencing October 25, 2005, through and including the Termination Date, subject to adjustment in accordance with the Following Business Day Convention. |
|
|
Fixed Amounts: | The Fixed Amount payable by Counterparty shall be an amount equal to (i) the Notional Amount for such Fixed Rate Payer Payment Date * (ii) Fixed Rate * (iii) 250 * (iv) Fixed Rate Day Count Fraction |
|
|
Fixed Rate: | 4.329 % |
|
|
Fixed Rate Day Count Fraction: | 30/360 |
Floating Amounts:
Floating Rate Payer: | Barclays |
|
|
Floating Rate Payer Period End Dates: | The 25th day of each month, commencing October 25, 2005, through and including the Termination Date, subject to adjustment in accordance with the Following Business Day Convention. |
|
|
Floating Rate Payer Payment Dates: | The 25th day of each month, commencing October 25, 2005, through and including the Termination Date, subject to adjustment in accordance with the Following Business Day Convention. |
|
|
Floating Amounts: | The Floating Amount payable by Counterparty shall be an amount equal to (i) Notional Amount * (ii) Floating Rate Option * (iii) Floating Rate Day Count Fraction * (iv) 250 |
|
|
Floating Rate Option: | USD-LIBOR-BBA |
|
|
Designated Maturity: | 1 month |
|
|
Spread: | None |
|
|
Floating Rate Day Count Fraction: | Actual/360 |
|
|
Reset Dates: | The first day of each Calculation Period |
|
|
Compounding: | Inapplicable: |
|
|
Calculation Agent: | Party A |
Business Days:
| (a) for purposes of Payments: | New York | |
| (b) For purposes of Reset Dates: | London |
|
3. | Account Details: |
Account Details for Barclays:
Correspondent: BARCLAYS BANK PLC NEW YORK
FEED: 026002574
Beneficiary: BARCLAYS SWAPS
Beneficiary Account: 050-01922-8
Account Details for Counterparty:
Wells Fargo Bank, N.A.
San Francisco, CA
ABA# 121000248
Acct# 3970771416
Acct Name: Corporate Trust Clearing
FFC#: 17197104
Ref: ABFC 2005-WMC1; Swap Account
4. | Offices: |
The Office of Barclays for this Transaction is New York
5. | It is expressly understood and agreed by the parties hereto that (i) this Confirmation is executed and delivered by Wells Fargo Bank, N.A., not individually or personally but solely as trustee of the supplemental interest trust created under the Pooling and Servicing Agreement, in the exercise of the powers and authority conferred and vested in it under the Pooling and Servicing Agreement, (ii) each of the representations, undertakings and agreements herein made on the part of the supplemental interest trust created under the Pooling and Servicing Agreement, is made and intended not as personal representations, undertakings and agreements by Wells Fargo Bank, N.A. but is made and intended for the purpose of binding only the supplemental interest trust created under the Pooling and Servicing Agreement, (iii) nothing herein contained shall be construed as creating any liability on the part of Wells Fargo Bank, N.A., individually or personally, to perform any covenant either expressed or implied contained herein, all such liability, if any, being expressly waived by the parties hereto and by any Person claiming by, through or under the parties hereto and (iv) under no circumstances shall Wells Fargo Bank, N.A. be personally liable for the payment of any indebtedness or expenses of the Trust or be liable for the breach or failure of any obligation, representation, warranty or covenant made or undertaken by Counterparty under this Confirmation or any other related documents. |
The time of dealing will be confirmed by Barclays upon written request. Barclays is regulated by the Financial Services Authority. Barclays is acting for its own account in respect of this Transaction.
Please confirm that the foregoing correctly sets forth all the terms and conditions of our agreement with respect to the Transaction by responding within three (3) Business Days by promptly signing in the space provided below and both (i) faxing the signed copy to Incoming Transaction Documentation, Barclays Capital Global OTC Transaction Documentation & Management, Global Operations, Fax +(44) 20-7773-6810/6857, Tel +(44) 20-7773-6901/6904/6965, and (ii) mailing the signed copy to Barclays Bank PLC, 5 The North Colonnade, Canary Wharf, London E14 4BB, Attention of Incoming Transaction Documentation, Barclays Capital Global OTC Transaction Documentation & Management, Global Operation. Your failure to respond within such period shall not affect the validity or enforceability of the Transaction against you. This facsimile shall be the only documentation in respect of the Transaction and accordingly no hard copy versions of this Confirmation for this Transaction shall be provided unless the Counterparty requests.
For and on behalf of BARCLAYS BANK PLC | For and on behalf of Wells Fargo Bank, N.A., not in its individual capacity, but solely as Trustee for the supplemental interest trust created under the Pooling and Servicing Agreement
|
Name: Title: Date: |
Name: Title: Date:
|
Barclays Bank PLC and its Affiliates, including Barclays Capital Inc., may share with each other information, including non-public credit information, concerning its clients and prospective clients. If you do not want such information to be shared, you must write to the Director of Compliance, Barclays Bank PLC, 200 Park Avenue, New York, NY 10166.
ADDITIONAL TERMS
All dates subject to adjustment in accordance with the Following Business Day Convention.
From and including: | To but excluding: | Notional Amount (USD): |
30-Sep-05 |
| 25-Oct-05 |
|
| 3,826,468.608 |
|
25-Oct-05 |
| 25—Nov-05 |
| $ | 3,782,123.492 |
|
25-Nov-05 |
| 25—Dec-05 |
| $ | 3,730,015.964 |
|
25-Dec-05 |
| 25—Jan-06 |
| $ | 3,668,147.312 |
|
25-Jan-06 |
| 25—Feb-06 |
| $ | 3,600,926.060 |
|
25-Feb-06 |
| 25—Mar-06 |
| $ | 3,526,421.904 |
|
25-Mar-06 |
| 25—Apr-06 |
| $ | 3,444,898.700 |
|
25-Apr-06 |
| 25—May-06 |
| $ | 3,357,081.732 |
|
25-May-06 |
| 25—Jun-06 |
| $ | 3,265,503.280 |
|
25-Jun-06 |
| 25—Jul-06 |
| $ | 3,170,401.584 |
|
25-Jul-06 |
| 25—Aug-06 |
| $ | 3,072,042.368 |
|
25-Aug-06 |
| 25—Sep-06 |
| $ | 2,970,717.256 |
|
25-Sep-06 |
| 25—Oct-06 |
| $ | 2,866,741.896 |
|
25-Oct-06 |
| 25—Nov-06 |
| $ | 2,760,453.848 |
|
25-Nov-06 |
| 25—Dec-06 |
| $ | 2,652,210.204 |
|
25-Dec-06 |
| 25—Jan-07 |
| $ | 2,542,384.988 |
|
25-Jan-07 |
| 25—Feb-07 |
| $ | 2,431,366.304 |
|
25-Feb-07 |
| 25—Mar-07 |
| $ | 2,319,553.340 |
|
25-Mar-07 |
| 25—Apr-07 |
| $ | 2,207,353.156 |
|
25-Apr-07 |
| 25—May-07 |
| $ | 2,095,177.352 |
|
25-May-07 |
| 25—Jun-07 |
| $ | 1,983,328.408 |
|
25-Jun-07 |
| 25—Jul-07 |
| $ | 497,870.312 |
|
25-Jul-07 |
| 25—Aug-07 |
| $ | 476,812.672 |
|
25-Aug-07 |
| 25—Sep-07 |
| $ | 456,705.928 |
|
25-Sep-07 |
| 25—Oct-07 |
| $ | 437,503.996 |
|
25-Oct-07 |
| 25—Nov-07 |
| $ | 419,163.204 |
|
25-Nov-07 |
| 25—Dec-07 |
| $ | 401,642.100 |
|
25-Dec-07 |
| 25—Jan-08 |
| $ | 384,901.376 |
|
25-Jan-08 |
| 25—Feb-08 |
| $ | 368,903.740 |
|
25-Feb-08 |
| 25—Mar-08 |
| $ | 353,613.808 |
|
25-Mar-08 |
| 25—Apr-08 |
| $ | 338,997.988 |
|
25-Apr-08 |
| 25—May-08 |
| $ | 325,024.408 |
|
25-May-08 |
| 25—Jun-08 |
| $ | 306,905.748 |
|
25-Jun-08 |
| 25—Jul-08 |
| $ | 277,731.836 |
|
25-Jul-08 |
| 25—Aug-08 |
| $ | 266,796.564 |
|
25-Aug-08 |
| 25—Sep-08 |
| $ | 256,313.072 |
|
25-Sep-08 |
| 25—Oct-08 |
| $ | 246,261.480 |
|
25-Oct-08 |
| 25—Nov-08 |
| $ | 236,622.852 |
|
25-Nov-08 |
| 25—Dec-08 |
| $ | 226,906.924 |
|
25-Dec-08 |
| 25—Jan-09 |
| $ | 218,069.332 |
|
25-Jan-09 |
| 25—Feb-09 |
| $ | 209,591.348 |
|
25-Feb-09 |
| 25—Mar-09 |
| $ | 201,457.440 |
|
25-Mar-09 |
| 25—Apr-09 |
| $ | 193,652.804 |
|
25-Apr-09 |
| 25—May-09 |
| $ | 186,163.304 |
|
25-May-09 |
| 25—Jun-09 |
| $ | 178,975.464 |
|
25-Jun-09 |
| 25—Jul-09 |
| $ | 172,076.428 |
|
25-Jul-09 |
| 25—Aug-09 |
| $ | 165,453.912 |
|
25-Aug-09 |
| 25—Sep-09 |
| $ | 159,096.212 |
|
25-Sep-09 |
| 25—Oct-09 |
| $ | 152,992.140 |
|
25-Oct-09 |
| 25—Nov-09 |
| $ | 147,131.016 |
|
EXHIBIT O
Form of Certification
ABFC 2005-WMC1 TRUST,
ASSET-BACKED CERTIFICATES, SERIES 2005-WMC1
I, [identify the certifying individual] certify that:
1. | I have reviewed the annual report on Form 10-K, and all Monthly Form 8-K’s containing Distribution Date Statements filed in respect of periods included in the year covered by this annual report, of the ABFC 2005-WMC1 Trust; |
2. | Based on my knowledge, the information in these reports, taken as a whole, does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading as of the last day of the period covered by this annual report; |
3. | Based on my knowledge, the distribution or servicing information required to be provided to the Trustee by the Servicer under the Pooling and Servicing Agreement, dated as of September 1, 2005 (the “Agreement”), among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as Servicer (the “Servicer”), and Wells Fargo Bank, N.A., as trustee (the “Trustee”) for inclusion in these reports is included in these reports; |
4. | Based on my knowledge and upon the annual compliance statement included in the annual report on Form 10-K and required to be delivered to the Trustee in accordance with the terms of the Agreement, and except as disclosed in the reports, the Servicer has fulfilled its obligations under the Agreement; |
5. | The reports disclose all significant deficiencies relating to the Servicer’s compliance with the minimum servicing standards based upon the report provided by an independent public accountant, after conducting a review in compliance with the Uniform Single Attestation Program for Mortgage Bankers or similar procedure, as set forth in the Agreement, that is included in these reports; and |
6. | In giving the certifications above, I have reasonably relied on information provided to me by the following unaffiliated parties: HomEq Servicing Corporation and Wells Fargo Bank, N.A.. |
By: |
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Name: |
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Title: |
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EXHIBIT P-1
Form of Certification of the Trustee to be Provided to Depositor
ABFC 2005-WMC1 TRUST,
ASSET-BACKED CERTIFICATES, SERIES 2005-WMC1
I, [identify the certifying individual], certify to Asset Backed Funding Corporation and its officers, directors and affiliates, and with the knowledge and intent that they will rely upon this certification, that:
1. | I have reviewed the annual report on Form 10-K for the calendar year [___] and all Monthly Form 8-K’s containing Distribution Date Statements filed in respect of periods included in the year covered by that annual report, of the ABFC 2005-WMC1 Trust; |
2. | Based on my knowledge, the distribution information in the Distribution Date Statements contained in all Monthly Form 8-K’s included in the year covered by the annual report on Form 10-K for the calendar year [___], taken as a whole, does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading as of the last day of the period covered by that annual report; and |
3. | Based on my knowledge, the distribution or servicing information required to be provided to the Trustee by the Servicer under the Pooling and Servicing Agreement, dated as of September 1, 2005, among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as servicer (the “Servicer”), and Wells Fargo Bank, N.A., as trustee (the “Trustee”), for inclusion in these reports is included in these reports. |
WELLS FARGO BANK, N.A., as Trustee
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By: |
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Name: |
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Title: |
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EXHIBIT P-2
Form of Certification of the Servicer to be Provided to Depositor
ABFC 2005-WMC1 TRUST,
ASSET-BACKED CERTIFICATES, SERIES 2005-WMC1
I, [identify the certifying individual], certify to Asset Backed Funding Corporation and its officers, directors and affiliates, and with the knowledge and intent that they will rely upon this certification, that:
1. | I have reviewed the annual report on Form 10-K for the calendar year [___], and all Monthly Form 8-K’s containing Distribution Date Statements filed in respect of periods included in the year covered by that annual report, of the ABFC 2005-WMC1 Trust; |
2. | Based on my knowledge, the servicing information in the Distribution Date Statements contained in all Monthly Form 8-K’s included in the year covered by the annual report on Form 10-K for the calendar year [___], taken as a whole, does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading as of the last day of the period covered by that annual report; |
3. | Based on my knowledge, the servicing information required to be provided to the Trustee by the Servicer under the Pooling and Servicing Agreement, dated as of September 1, 2005 (the “Agreement”), among Asset Backed Funding Corporation, as depositor, HomEq Servicing Corporation, as servicer (the “Servicer”), and Wells Fargo Bank, N.A., as trustee (the “Trustee”), for inclusion in these reports is included in these reports; |
4. | I am responsible for reviewing the activities performed by the Servicer under the Agreement and based upon my knowledge and the annual compliance review required under the Agreement, and except as disclosed in the reports, the Servicer has fulfilled its obligations under the Agreement; and |
5. | The reports disclose all significant deficiencies relating to the Servicer’s compliance with the minimum servicing standards based upon the report provided by an independent public accountant, after conducting a review in compliance with the Uniform Single Attestation Program for Mortgage Bankers or similar procedure, as set forth in the Agreement, that is included in these reports. |
HOMEQ SERVICING CORPORATION
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By: |
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Name: |
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Title: |
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EXHIBIT Q
Representations and Warranties Regarding Prepayment Charges
Representations and Warranties of WMC Mortgage in Section 3.02(fff) of the WMC Sale Agreement regarding Prepayment Charges
All information on the Mortgage Loan Schedule and electronic data file delivered to the Purchaser regarding the Prepayment Premium is complete and accurate in all material respects and each Prepayment Premium is permissible and enforceable in accordance with its terms under applicable law as in effect on the date such Mortgage Loan was originated. Prepayment Premiums on the Mortgage Loans are applicable to prepayments resulting from both refinancings and sales of the related Mortgaged Properties and the terms of such Prepayment Premiums do not provide for a waiver or release (i.e., “holidays”) during the term of the Prepayment Premium. No Mortgage Loan originated on or after October 1, 2002 provides for the payment of a Prepayment Premium beyond the three-year term following the origination of the Mortgage Loan. No Mortgage Loan originated prior to such date provides for the payment of a Prepayment Premium beyond the five-year term following the origination of the Mortgage Loan. With respect to any Mortgage Loan that contains a provision permitting imposition of a Prepayment Premium: (i) prior to the Mortgage Loan’s origination, the Mortgagor agreed to such Prepayment Premium in exchange for a monetary benefit, including, but not limited to, a rate or fee reduction, (ii) prior to the Mortgage Loan’s origination, the Mortgagor was offered the choice of another mortgage product that did not require payment of such a premium; provided that such offer may have been evidenced by the Company’s rate sheet/pricing grid relating to such Mortgage Loan, which provided that the Mortgage Loan had a full prepayment premium buyout pricing adjustment available, (iii) the Prepayment Premium is disclosed to the Mortgagor in the loan documents pursuant to applicable state and federal law, and (iv) notwithstanding any state or federal law to the contrary, the Company shall not impose such Prepayment Premium in any instance when the mortgage debt is accelerated as the result of the Mortgagor’s default in making the Monthly Payments.
Schedule I
EXHIBIT R
FORM OF SUBSEQUENT TRANSFER INSTRUMENT
Pursuant to this Subsequent Transfer Instrument, dated ________, 2005 (the “Instrument”), between Asset Backed Funding Corporation as seller (the “Depositor”), and Wells Fargo Bank, N.A. as trustee of the ABFC Asset-Backed Certificates, Series 2005-WMC1, as purchaser (the “Trustee”), and pursuant to the Pooling and Servicing Agreement, dated as of September 1, 2005 (the “Pooling and Servicing Agreement”), among the Depositor as depositor, HomEq Servicing Corporation as Servicer and the Trustee as trustee, the Depositor and the Trustee agree to the sale by the Depositor and the purchase by the Trustee in trust, on behalf of the Trust, of the Mortgage Loans listed on the attached Schedule of Mortgage Loans (the “Subsequent Mortgage Loans”).
Capitalized terms used but not otherwise defined herein shall have the meanings set forth in the Pooling and Servicing Agreement.
| Section 1. | Conveyance of Subsequent Mortgage Loans. |
(a) The Depositor does hereby sell, transfer, assign, set over and convey to the Trustee in trust, on behalf of the Trust, without recourse, all of its right, title and interest in and to the Subsequent Mortgage Loans, and including all amounts due on the Subsequent Mortgage Loans after the related Subsequent Cut-off Date, and all items with respect to the Subsequent Mortgage Loans to be delivered pursuant to Section 2.01 of the Pooling and Servicing Agreement; provided, however that the Depositor reserves and retains all right, title and interest in and to amounts due on the Subsequent Mortgage Loans on or prior to the related Subsequent Cut-off Date. The Depositor, contemporaneously with the delivery of this Agreement, has delivered or caused to be delivered to the Trustee each item set forth in Section 2.01 of the Pooling and Servicing Agreement. The transfer to the Trustee by the Depositor of the Subsequent Mortgage Loans identified on the Mortgage Loan Schedule shall be absolute and is intended by the Depositor, the Servicer, the Trustee and the Certificateholders to constitute and to be treated as a sale by the Depositor to the Trust Fund.
(b) The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey to the Trustee without recourse for the benefit of the Certificateholders all the right, title and interest of the Depositor, in, to and under the Subsequent Mortgage Loan Purchase Agreement, dated the date hereof, between the Depositor as purchaser and the Servicer as seller, to the extent of the Subsequent Mortgage Loans.
| (c) | Additional terms of the sale are set forth on Attachment A hereto. | ||
| Section 2. | Representations and Warranties; Conditions Precedent. |
| |
(a) The Depositor hereby confirms that each of the conditions precedent and the representations and warranties set forth in Section 2.04 of the Pooling and Servicing Agreement are satisfied as of the date hereof.
(b) All terms and conditions of the Pooling and Servicing Agreement are hereby ratified and confirmed; provided, however, that in the event of any conflict, the provisions of this Instrument shall control over the conflicting provisions of the Pooling and Servicing Agreement.
| Section 3. | Recordation of Instrument. |
To the extent permitted by applicable law, this Instrument, or a memorandum thereof if permitted under applicable law, is subject to recordation in all appropriate public offices for real property records in all of the counties or other comparable jurisdictions in which any or all of the properties subject to the Mortgages are situated, and in any other appropriate public recording office or elsewhere, such recordation to be effected by the Servicer at the Certificateholders’ expense on direction of the related Certificateholders, but only when accompanied by an Opinion of Counsel to the effect that such recordation materially and beneficially affects the interests of the Certificateholders or is necessary for the administration or servicing of the Mortgage Loans.
| Section 4. | Governing Law. |
This Instrument shall be construed in accordance with the laws of the State of New York and the obligations, rights and remedies of the parties hereunder shall be determined in accordance with such laws, without giving effect to principles of conflicts of law.
| Section 5. | Counterparts. |
This Instrument may be executed in one or more counterparts and by the different parties hereto on separate counterparts, each of which, when so executed, shall be deemed to be an original; such counterparts, together, shall constitute one and the same instrument.
| Section 6. | Successors and Assigns. |
This Instrument shall inure to the benefit of and be binding upon the Depositor and the Trustee and their respective successors and assigns.
ASSET BACKED FUNDING CORPORATION
By:________________________________________
Name:
Title:
WELLS FARGO BANK, N.A., as Trustee for ABFC Asset-Backed Certificates, Series 2005-WMC1
By:________________________________________
Name:
Title:
Attachments
A. | Additional terms of sale. |
B. | Schedule of Subsequent Mortgage Loans. |
ATTACHMENT A
ADDITIONAL TERMS OF SALE
| A. | General |
| 1. | Subsequent Cut-off Date: ______________________, 2005 |
| 2. | Subsequent Transfer Date: _______________________, 2005 |
| 3. | Aggregate Principal Balance of the Subsequent Mortgage Loans as of the Subsequent Cut-off Date: $ |
| 4. | Purchase Price: 100.00% |
B. The following representations and warranties with respect to each Subsequent Mortgage Loan determined as of the applicable Subsequent Cut-off Date: (i) such Subsequent Mortgage Loan may not be 30 or more days delinquent as of the last day of the month preceding the Subsequent Cut-off Date; (ii) the original term to stated maturity of such Subsequent Mortgage Loan will not be less than 120 months and will not exceed 360 months; (iii) the Subsequent Mortgage Loan may not provide for negative amortization; (iv) such Subsequent Mortgage Loan will not have a loan-to-value ratio greater than 100.00%; (v) such Subsequent Mortgage Loans will have, as of the Subsequent Cut-off Date, a weighted average term since origination not in excess of 360 months; (vi) such Subsequent Mortgage Loan, if a Fixed Rate Mortgage Loan, shall have a Mortgage Rate that is not less than [_____] % or greater than [_____] %; (vii) such Subsequent Mortgage Loan shall have been serviced by the Servicer since origination or the date of purchase; (viii) such Subsequent Mortgage Loan must have a first payment date occurring on or before [_____], 2005 (ix) if the Subsequent Mortgage Loan is an Adjustable Rate Mortgage Loan, the Subsequent Mortgage Loan will have a Gross Margin not less than [_____] %; (x) if the Subsequent Mortgage Loan is an Adjustable Rate Mortgage Loan, the Subsequent Mortgage Loan will have a Maximum Mortgage Rate not less than [_____]%; (xi) if the Subsequent Mortgage Loan is an Adjustable Rate Mortgage Loan, the Subsequent Mortgage Loan will have a Minimum Mortgage Rate not less than [_____] % and (xii) such Subsequent Mortgage Loan shall have been underwritten in accordance with the criteria set forth under “The Originator: Underwriting Guidelines” in the Prospectus Supplement.
C. Following the purchase of any Subsequent Group 1 Mortgage Loan by the Trust, the Group 1 Mortgage Loans (including such Subsequent Group 1 Mortgage Loans) will as of the Subsequent Cut-off Date: (i) have a weighted average original term to stated maturity of not more than 360 months; (ii) have a Mortgage Rate of not less than [_____] % and not more than [_____] %; (iii) have a Loan-to-Value Ratio of not more than [_____] %; (iv) have no Mortgage Loan with a principal balance which does not conform to Fannie Mae and Freddie Mac principal balance guidelines; (v) have a FICO score of not less than [_____]. In addition, the Adjustable Rate Group 1 Mortgage Loans will as of the Subsequent Cut-off Date have a Gross Margin not less than [_____]% by aggregate principal balance of the Adjustable Rate Group 1 Mortgage Loans.
D. Following the purchase of any Subsequent Group 2 Mortgage Loan by the Trust, the Group 2 Mortgage Loans (including such Subsequent Group 2 Mortgage Loans) will as of the Subsequent Cut-off Date: (i) have a weighted average original term to stated maturity of not
more than 360 months; (ii) have a Mortgage Rate of not less than [_____]% and not more than [_____]%; (iii) have a Loan-to-Value Ratio of not more than [_____]%; (iv) have no Mortgage Loan with a principal balance in excess of $[_____]; (v) have a FICO score of not less than [_____]. In addition, the Adjustable Rate Group 2 Mortgage Loans will have a Gross Margin not less than [_____]% by aggregate principal balance of the Adjustable Rate Group 2 Mortgage Loans.
E. Notwithstanding the foregoing, any Subsequent Mortgage Loan may be rejected by (i) the NIMs Insurer, if any, or (ii) any Rating Agency if the inclusion of such Subsequent Mortgage Loan would adversely affect the ratings on any class of Certificates.
EXHIBIT S
FORM OF ADDITION NOTICE
[Date]
Wells Fargo Bank, N.A.
9062 Old Annapolis Road
Columbia, Maryland 21045
| Re: | Pooling and Servicing Agreement dated as of September 1, 2005 among Asset Backed Funding Corporation, as Depositor, HomEq Servicing Corporation, as Servicer and Wells Fargo Bank, N.A., as Trustee |
Ladies and Gentlemen:
Pursuant to Section 2.01 of the referenced Pooling and Servicing Agreement, Asset Backed Funding Corporation has designated Subsequent Mortgage Loans to be sold to the Trust on __________, 2005, with an aggregate principal balance of $___________. Capitalized terms not otherwise defined herein have the meaning set forth in the Pooling and Servicing Agreement.
Please acknowledge your receipt of this notice by countersigning the enclosed copy in the space indicated below and returning it to the attention of the undersigned.
Very truly yours,
ASSET BACKED FUNDING CORPORATION
By:
Name:
Title:
Acknowledged and Agreed:
WELLS FARGO BANK, N.A.
By:
Name:
Title: