IMPAC SECURED ASSETS CORP.,
Depositor,
IMPAC FUNDING CORPORATION
Master Servicer,
and
DEUTSCHE BANK NATIONAL TRUST COMPANY
Trustee
POOLING AND SERVICING AGREEMENT
Dated as of September 1, 2006
________________________
Mortgage Pass-Through Certificates
Series 2006-3
TABLE OF CONTENTS
Section 1.01. Defined Terms. |
Accrual Period
Adjustment Date
Advance
Affected Party
Affiliate
Aggregate Stated Principal Balance
Agreement
Allocated Realized Loss Amount
Assessment of Compliance
Assignment
Attestation Report
Available Distribution Amount
Balloon Loan
Balloon Payment
Bankruptcy Code
Basic Principal Distribution Amount
Book-Entry Certificate
Business Day
Cash Liquidation
Certificate
Certificate Account
Certificate Account Deposit Date
Certificate Guaranty Insurance Policy
Certificate Insurer
Certificate Margin
Certificate Owner
Certificate Principal Balance
Certificate Register
Certificateholder
Class
Class A Certificates
Class A-1 Certificate
Class A-2 Certificate
Class A-2M Certificate
Class A-3 Certificate
Class A-3M Certificate
Class A-4 Certificate
Class A-4M Certificate
Class A-5 Certificate
Class A-5M Certificate
Class A-6 Certificate
Class A-6M Certificate
Class A-7 Certificate
Class A Principal Distribution Amount
Class B Certificate
Class C Certificates
Class C Distribution Amount
Class IO Interest
Class IO Distribution Amount
Class M Certificates
Class M-1 Certificate
Class M-2 Certificate
Class M-3 Certificate
Class M-4 Certificate
Class M-5 Certificate
Class M-6 Certificate
Class M-7 Certificate
Class M-8 Certificate
Class P Certificates
Class R Certificate
Class R-1 Interest
Class R-2 Interest
Class R-3 Interest
Closing Date
Code
Collateral Value
Commission
Compensating Interest
Corporate Trust Office
Corresponding Certificate
Countrywide
Credit Enhancement Percentage |
Current Report
Curtailment
Custodial Account
Custodian
Cut-off Date
Cut-off Date Balance
Defaulted Mortgage Loan
Defaulting Party
Deficient Valuation
Deficiency Amount
Definitive Certificate
Deleted Mortgage Loan
Delinquent
Depositor
Depository
Depository Participant
Determination Date
Disqualified Organization
Distribution Date
Distribution Report
Due Date
Due Period
Eligible Account
Event of Default
Excess Proceeds
Exchange Act
Extra Principal Distribution Amount
Fannie Mae
FDIC
Final Scheduled Distribution Date
Freddie Mac
GMAC
Gross Margin
Index
Initial Certificate Principal Balance
Initial Notional Amount
Insurance Account
Insurance Policy
Insurance Proceeds
Insured Amount
Insurer Default
Interest Rate Swap Agreement
Interest Remittance Amount
Late Collections
Letter Agreement
LIBOR
LIBOR Business Day
LIBOR Rate Adjustment Date
Liquidated Mortgage Loan
Liquidation Proceeds
Loan-to-Value Ratio
Lost Note Affidavit
Majority Class C Certificateholder
Marker Rate
Master Servicer
Master Servicer Prepayment Charge Payment Amount
Master Servicing Fees
Master Servicing Fee Rate
Maximum Uncertificated Accrued Interest Deferral Amount
MERS
MERS® System
MIN
MOM Loan
Monthly Interest Distributable Amount
Monthly Payment
Moody's
Mortgage
Mortgage File
Mortgage Loan
Mortgage Loan Purchase Agreement
Mortgage Loan Schedule
Mortgage Note
Mortgage Rate
Mortgaged Property
Mortgagor
Net Liquidation Proceeds
Net Monthly Excess Cashflow
Net Mortgage Rate
Net Prepayment Interest Shortfall
Net Swap Payment
Net WAC Rate
Net WAC Shortfall Amount
Net WAC Shortfall Reserve Fund
Net WAC Shortfall Reserve Fund Deposit
Nonrecoverable Advance
Non-United States Person
Notional Balance
Offered Certificates
Officers’ Certificate
One Month LIBOR
Opinion of Counsel
Optional Termination Date
OTS
Outstanding Mortgage Loan
Overcollateralization Deficiency Amount
Overcollateralization Floor
Overcollateralization Release Amount
Overcollateralization Target Amount
Overcollateralized Amount
Ownership Interest
Pass-Through Rate
Percentage Interest
Permitted Investment
Permitted Transferee
Person
PMI Insurer
PMI Insurer Fee Rate
PMI Insurer Policy
PMI Mortgage Loan
Policy Premium
Policy Premium Rate
Preference Amount
Prepayment Assumption
Prepayment Charge
Prepayment Interest Shortfall
Prepayment Period
Primary Hazard Insurance Policy
Primary Insurance Policy
Principal Distribution Amount
Principal Prepayment
Principal Prepayment in Full
Principal Remittance Amount
Prospectus Supplement
Purchase Price
Qualified Insurer
Qualified Substitute Mortgage Loan
Rating Agency
Realized Loss
Record Date
Regular Certificate
Regulation AB
Relief Act
Relief Act Interest Shortfall
REMIC
REMIC 1
REMIC 1 Regular Interest
REMIC 2
REMIC 2 Interest Loss Allocation Amount
REMIC 2 Overcollateralized Amount
REMIC 2 Overcollateralization Target Amount
REMIC 2 Principal Loss Allocation Amount
REMIC 2 Regular Interest
REMIC 3
REMIC 3 Regular Interest
REMIC Provisions
REMIC Regular Interest
Remittance Report
REO Acquisition
REO Disposition
REO Imputed Interest
REO Proceeds
REO Property
Request for Release
Residual Certificate
Residual Interest
Responsible Officer
Servicing Account
Servicing Advances
Servicing Criteria
Servicing Guide
Servicing Officer
Single Certificate
Sponsor
Standard & Poor's
Startup Day
Stated Principal Balance
Step-Up Date
Stepdown Date
Stepdown Target Subordination Percentage
Subordinate Certificates
Subordinate Class Principal Distribution Amount
Subsequent Recoveries
Sub-Servicer
Sub-Servicer Remittance Date
Sub-Servicing Account
Sub-Servicing Agreement
Sub-Servicing Fees
Sub-Servicing Fee Rate
Substitution Adjustment
Supplemental Interest Trust
Swap Account
Swap LIBOR
Swap Novation Agreement |
Swap Optional Termination Payment
Swap Provider
Swap Provider Trigger Event
Swap Termination Payment
Tax Matters Person
Tax Returns
Transfer
Transferor
Trigger Event
Trust Fund
Trustee
Uncertificated Accrued Interest
Uncertificated Notional Balance
Uncertificated Pass-Through Rate
Uncertificated Principal Balance
Uncertificated REMIC 1 Pass-Through Rate
Uncertificated REMIC 2 Pass-Through Rate
Uninsured Cause
United States Person
Unpaid Interest Shortfall Amount
Voting Rights
Weighted Average Net Mortgage Rate
Section 1.02. Determination of LIBOR. |
Section 1.03. Allocation of Certain Interest Shortfalls. |
ARTICLE II CONVEYANCE OF MORTGAGE LOANS; ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01. Conveyance of Mortgage Loans. |
Section 2.02. Acceptance of the Trust Fund by the Trustee. |
Section 2.03. Representations, Warranties and Covenants of the Master Servicer and the Depositor. |
Section 2.04. Representations and Warranties of the Sponsor. |
Section 2.05. Issuance of Certificates; Conveyance of REMIC Regular Interests and Acceptance of REMIC 2 and REMIC 3 by the Trustee. |
Section 2.06. Purposes and Powers of the Trust. |
ARTICLE III ADMINISTRATION AND SERVICING OF THE TRUST FUND
Section 3.01. Master Servicer to Act as Master Servicer. |
Section 3.02. Sub-Servicing Agreements Between Master Servicer and Sub-Servicers. |
Section 3.03. Successor Sub-Servicers. |
Section 3.04. Liability of the Master Servicer. |
Section 3.05. No Contractual Relationship Between Sub-Servicers and Trustee or Certificateholders. |
Section 3.06. Assumption or Termination of Sub-Servicing Agreements by Trustee. |
Section 3.07. Collection of Certain Mortgage Loan Payments. |
Section 3.08. Sub-Servicing Accounts. |
Section 3.09. Collection of Taxes, Assessments and Similar Items; Servicing Accounts. |
Section 3.10. Custodial Account. |
Section 3.11. Permitted Withdrawals From the Custodial Account. |
Section 3.12. Permitted Investments. |
Section 3.13. Maintenance of Primary Hazard Insurance. |
Section 3.14. Enforcement of Due-on-Sale Clauses; Assumption Agreements. |
Section 3.15. Realization Upon Defaulted Mortgage Loans. |
Section 3.16. Trustee to Cooperate; Release of Mortgage Files. |
Section 3.17. Servicing Compensation. |
Section 3.18. Maintenance of Certain Servicing Policies. |
Section 3.19. Annual Statement as to Compliance. |
Section 3.20. Assessments of Compliance and Attestation Reports. |
Section 3.21. Access to Certain Documentation. |
Section 3.22. Title, Conservation and Disposition of REO Property. |
Section 3.23. Additional Obligations of the Master Servicer. |
Section 3.24. Additional Obligations of the Depositor. |
Section 3.25. Exchange Act Reporting. |
Section 3.26. Intention of the Parties and Interpretation. |
Section 3.27. Optional Purchase of Certain Mortgage Loans. |
ARTICLE IV PAYMENTS TO CERTIFICATEHOLDERS
Section 4.01. Distributions. |
Section 4.02. Statements to Certificateholders. |
Section 4.03. Remittance Reports; Advances by the Master Servicer. |
Section 4.04. Distributions on the REMIC Regular Interests. |
Section 4.05. Allocation of Realized Losses. |
Section 4.06. Information Reports to Be Filed by the Master Servicer. |
Section 4.07. Compliance with Withholding Requirements. |
Section 4.08. Net WAC Shortfall Reserve Fund. |
Section 4.09. Supplemental Interest Trust. |
Section 4.10. Tax Treatment of Class IO Distribution Amounts in the Event of Resecuritization of Class A, Class M or Class B Certificates. |
Section 4.11. The Certificate Guaranty Insurance Policy. |
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. Rule 144A Information. |
ARTICLE VI THE DEPOSITOR AND THE MASTER SERVICER
Section 6.01. Liability of the Depositor and the Master Servicer. |
Section 6.02. Merger, Consolidation or Conversion of the Depositor or the Master Servicer. |
Section 6.03. Limitation on Liability of the Depositor, the Master Servicer and Others. |
Section 6.04. Limitation on Resignation of the Master Servicer. |
Section 6.05. Sale and Assignment of Master Servicing. |
ARTICLE VII DEFAULT
Section 7.01. Events of Default. |
Section 7.02. Trustee to Act; Appointment of Successor. |
Section 7.03. Notification to Certificateholders. |
Section 7.04. Waiver of Events of Default. |
Section 7.05. List of Certificateholders. |
ARTICLE VIII CONCERNING 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’s Fees. |
Section 8.06. Eligibility Requirements for Trustee. |
Section 8.07. Resignation and Removal of the Trustee. |
Section 8.08. Successor Trustee. |
Section 8.09. Merger or Consolidation of Trustee. |
Section 8.10. Appointment of Co-Trustee or Separate Trustee. |
ARTICLE IX TERMINATION
Section 9.01. Termination Upon Repurchase or Liquidation of All Mortgage Loans or upon Purchase of Certificates. |
Section 9.02. Termination of REMIC 3 and Retirement of Class R Certificates. |
Section 9.03. Additional Termination Requirements. |
ARTICLE X REMIC PROVISIONS
Section 10.01. REMIC Administration. |
Section 10.02. Prohibited Transactions and Activities. |
Section 10.03. Master Servicer and Trustee Indemnification. |
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. |
Section 11.05. Notices. |
Section 11.06. Severability of Provisions. |
Section 11.07. Successors and Assigns. |
Section 11.08. Article and Section Headings. |
Section 11.09. Notice to Rating Agencies. |
Section 11.10. Rights of the Certificate Insurer. |
Section 11.11. Control by the Certificate Insurer. |
Section 11.12. Third Party Rights. |
Signatures
Acknowledgments
Exhibit A | Form of Class A Certificate |
Exhibit B-1 | Form of Class M Certificate |
Exhibit B-2 | Form of Class B Certificate |
Exhibit B-3 | Form of Class C Certificate |
Exhibit B-4 | Form of Class P Certificate |
Exhibit B-5 | Form of Class R Certificate |
Exhibit C | Form of Custodian Initial Certification |
Exhibit D | Form of Custodian Final Certification |
Exhibit E | Form of Remittance Report |
Exhibit F-1 | Request for Release |
Exhibit F-2 | Request for Release for Mortgage Loans Paid in Full |
Exhibit G-1 | Form of Investor Representation Letter |
Exhibit G-2 | Form of Transferor Representation Letter |
Exhibit G-3 | Form of Rule 144A Investment Representation |
Exhibit G-4 | Transferor Certificate for Transfers of Residual Certificates |
Exhibit G-5 | Transfer Affidavit and Agreement for Transfers of Residual Certificates |
Exhibit H | Mortgage Loan Schedule |
Exhibit I | Sponsor Representations and Warranties |
Exhibit J | Form of Notice Under Section 3.24 |
Exhibit K | Impac Funding Corporation Servicing Guide |
Exhibit L-1 | Form 10-K Certification |
Exhibit L-2 | Form 10-K Back-up Certification (Master Servicer) |
Exhibit L-3 | Form 10-K Back-up Certification (Trustee) |
Exhibit L-4 | Form of Back-up Certification to Form 10-K Certificate |
Exhibit M | Form of Interest Rate Swap Agreement |
Exhibit N | Servicing Criteria to be Addressed in Assessment of Compliance |
Exhibit O | Form 10-D, Form 8-K and Form 10-K Reporting Responsibility |
Exhibit P | Form of Swap Novation Agreement |
Exhibit Q | Form of Countrywide Servicing Agreement |
This Pooling and Servicing Agreement, dated and effective as of September 1, 2006, is entered into among Impac Secured Assets Corp., as depositor (the “Depositor”), Impac Funding Corporation, as master servicer (the “Master Servicer”), and Deutsche Bank National Trust Company, as trustee (the “Trustee”).
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-four classes of certificates, designated as (i) the Class A-1 Certificates, (ii) the Class A-2 Certificates, (iii) the Class A-2M Certificates, (iv) the Class A-3 Certificates, (v) the Class A-3M Certificates, (vi) the Class A-4 Certificates, (vii) the Class A-4M Certificates, (viii) the Class A-5 Certificates, (ix) the Class A-5M Certificates, (x) the Class A-6 Certificates, (xi) the Class A-6M Certificates, (xii) the Class A-7 Certificates, (xiii) the Class M-1 Certificates, (xiv) the Class M-2 Certificates, (xv) the Class M-3 Certificates, (xvi) the Class M-4 Certificates, (xvii) the Class M-5 Certificates, (xviii) the Class M-6 Certificates, (xix) the Class M-7 Certificates, (xx) the Class M-8 Certificates, (xxi) the Class B Certificates, (xxii) Class C Certificates, (xxiii) the Class P Certificates and (xxiv) the Class R Certificates.
REMIC 1
As provided herein, the Trustee will elect to treat the segregated pool of assets consisting of the Mortgage Loans and certain other related assets (other than the Net WAC Shortfall Reserve Fund, any Master Servicer Prepayment Charge Payment Amounts and, for the avoidance of doubt, the Supplemental Interest Trust, the Swap Account and the Interest Rate Swap Agreement) subject to this Agreement as 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 be the sole class of Residual Interests in REMIC 1 for purposes of the REMIC Provisions (as defined herein). The following table irrevocably sets forth the designation, the Uncertificated REMIC 1 Pass-Through Rate, the initial Uncertificated Principal Balance and, for purposes of satisfying Treasury Regulation Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC 1 Regular Interests (as defined herein). None of the REMIC 1 Regular Interests will be certificated.
Designation | Uncertificated REMIC 1 Pass-Through Rate | Initial Uncertificated Principal Balance | Latest Possible Maturity Date (1) | |
1-1-A | Variable(2) | $ 4,035,240.13 | November 25, 2036 | |
1-1-B | Variable(2) | $ 4,035,240.13 | November 25, 2036 | |
1-2-A | Variable(2) | $ 10,270,515.54 | November 25, 2036 | |
1-2-B | Variable(2) | $ 10,270,515.54 | November 25, 2036 | |
1-3-A | Variable(2) | $ 11,473,338.76 | November 25, 2036 | |
1-3-B | Variable(2) | $ 11,473,338.76 | November 25, 2036 | |
1-4-A | Variable(2) | $ 12,664,406.46 | November 25, 2036 | |
1-4-B | Variable(2) | $ 12,664,406.46 | November 25, 2036 | |
1-5-A | Variable(2) | $ 13,828,621.13 | November 25, 2036 | |
1-5-B | Variable(2) | $ 13,828,621.13 | November 25, 2036 | |
1-6-A | Variable(2) | $ 14,831,555.44 | November 25, 2036 | |
1-6-B | Variable(2) | $ 14,831,555.44 | November 25, 2036 | |
1-7-A | Variable(2) | $ 15,937,156.87 | November 25, 2036 | |
1-7-B | Variable(2) | $ 15,937,156.87 | November 25, 2036 | |
1-8-A | Variable(2) | $ 17,006,124.63 | November 25, 2036 | |
1-8-B | Variable(2) | $ 17,006,124.63 | November 25, 2036 | |
1-9-A | Variable(2) | $ 18,441,306.82 | November 25, 2036 | |
1-9-B | Variable(2) | $ 18,441,306.82 | November 25, 2036 | |
1-10-A | Variable(2) | $ 19,805,091.14 | November 25, 2036 | |
1-10-B | Variable(2) | $ 19,805,091.14 | November 25, 2036 | |
1-11-A | Variable(2) | $ 20,784,991.55 | November 25, 2036 | |
1-11-B | Variable(2) | $ 20,784,991.55 | November 25, 2036 | |
1-12-A | Variable(2) | $ 21,363,336.84 | November 25, 2036 | |
1-12-B | Variable(2) | $ 21,363,336.84 | November 25, 2036 | |
1-13-A | Variable(2) | $ 21,951,123.30 | November 25, 2036 | |
1-13-B | Variable(2) | $ 21,951,123.30 | November 25, 2036 | |
1-14-A | Variable(2) | $ 22,485,948.91 | November 25, 2036 | |
1-14-B | Variable(2) | $ 22,485,948.91 | November 25, 2036 | |
1-15-A | Variable(2) | $ 22,965,095.29 | November 25, 2036 | |
1-15-B | Variable(2) | $ 22,965,095.29 | November 25, 2036 | |
1-16-A | Variable(2) | $ 23,374,043.22 | November 25, 2036 | |
1-16-B | Variable(2) | $ 23,374,043.22 | November 25, 2036 | |
1-17-A | Variable(2) | $ 23,537,333.58 | November 25, 2036 | |
1-17-B | Variable(2) | $ 23,537,333.58 | November 25, 2036 | |
1-18-A | Variable(2) | $ 22,778,692.08 | November 25, 2036 | |
1-18-B | Variable(2) | $ 22,778,692.08 | November 25, 2036 | |
1-19-A | Variable(2) | $ 22,043,990.96 | November 25, 2036 | |
1-19-B | Variable(2) | $ 22,043,990.96 | November 25, 2036 | |
1-20-A | Variable(2) | $ 2,907,012.14 | November 25, 2036 | |
1-20-B | Variable(2) | $ 2,907,012.14 | November 25, 2036 | |
1-21-A | Variable(2) | $ 21,206,980.89 | November 25, 2036 | |
1-21-B | Variable(2) | $ 21,206,980.89 | November 25, 2036 | |
1-22-A | Variable(2) | $ 20,979,297.75 | November 25, 2036 | |
1-22-B | Variable(2) | $ 20,979,297.75 | November 25, 2036 | |
1-23-A | Variable(2) | $ 20,274,456.03 | November 25, 2036 | |
1-23-B | Variable(2) | $ 20,274,456.03 | November 25, 2036 | |
1-24-A | Variable(2) | $ 37,985,465.93 | November 25, 2036 | |
1-24-B | Variable(2) | $ 37,985,465.93 | November 25, 2036 | |
1-25-A | Variable(2) | $ 18,319,637.52 | November 25, 2036 | |
1-25-B | Variable(2) | $ 18,319,637.52 | November 25, 2036 | |
1-26-A | Variable(2) | $ 17,682,504.42 | November 25, 2036 | |
1-26-B | Variable(2) | $ 17,682,504.42 | November 25, 2036 | |
1-27-A | Variable(2) | $ 17,068,083.84 | November 25, 2036 | |
1-27-B | Variable(2) | $ 17,068,083.84 | November 25, 2036 | |
1-28-A | Variable(2) | $ 16,197,103.54 | November 25, 2036 | |
1-28-B | Variable(2) | $ 16,197,103.54 | November 25, 2036 | |
1-29-A | Variable(2) | $ 6,771,406.29 | November 25, 2036 | |
1-29-B | Variable(2) | $ 6,771,406.29 | November 25, 2036 | |
1-30-A | Variable(2) | $ 15,069,047.37 | November 25, 2036 | |
1-30-B | Variable(2) | $ 15,069,047.37 | November 25, 2036 | |
1-31-A | Variable(2) | $ 15,342,175.95 | November 25, 2036 | |
1-31-B | Variable(2) | $ 15,342,175.95 | November 25, 2036 | |
1-32-A | Variable(2) | $ 14,775,068.01 | November 25, 2036 | |
1-32-B | Variable(2) | $ 14,775,068.01 | November 25, 2036 | |
1-33-A | Variable(2) | $ 66,967,043.62 | November 25, 2036 | |
1-33-B | Variable(2) | $ 66,967,043.62 | November 25, 2036 | |
1-34-A | Variable(2) | $ 12,086,942.77 | November 25, 2036 | |
1-34-B | Variable(2) | $ 12,086,942.77 | November 25, 2036 | |
1-35-A | Variable(2) | $ 11,638,320.35 | November 25, 2036 | |
1-35-B | Variable(2) | $ 11,638,320.35 | November 25, 2036 | |
1-36-A | Variable(2) | $ 11,206,527.13 | November 25, 2036 | |
1-36-B | Variable(2) | $ 11,206,527.13 | November 25, 2036 | |
1-37-A | Variable(2) | $ 10,337,860.78 | November 25, 2036 | |
1-37-B | Variable(2) | $ 10,337,860.78 | November 25, 2036 | |
1-38-A | Variable(2) | $ 93,446,243.33 | November 25, 2036 | |
1-38-B | Variable(2) | $ 93,446,243.33 | November 25, 2036 | |
1-39-A | Variable(2) | $ 6,656,034.17 | November 25, 2036 | |
1-39-B | Variable(2) | $ 6,656,034.17 | November 25, 2036 | |
1-40-A | Variable(2) | $ 6,453,943.03 | November 25, 2036 | |
1-40-B | Variable(2) | $ 6,453,943.03 | November 25, 2036 | |
1-41-A | Variable(2) | $ 6,257,542.49 | November 25, 2036 | |
1-41-B | Variable(2) | $ 6,257,542.49 | November 25, 2036 | |
1-42-A | Variable(2) | $ 6,067,543.43 | November 25, 2036 | |
1-42-B | Variable(2) | $ 6,067,543.43 | November 25, 2036 | |
1-43-A | Variable(2) | $ 5,882,841.08 | November 25, 2036 | |
1-43-B | Variable(2) | $ 5,882,841.08 | November 25, 2036 | |
1-44-A | Variable(2) | $ 5,704,062.46 | November 25, 2036 | |
1-44-B | Variable(2) | $ 5,704,062.46 | November 25, 2036 | |
1-45-A | Variable(2) | $ 5,530,387.39 | November 25, 2036 | |
1-45-B | Variable(2) | $ 5,530,387.39 | November 25, 2036 | |
1-46-A | Variable(2) | $ 5,362,038.48 | November 25, 2036 | |
1-46-B | Variable(2) | $ 5,362,038.48 | November 25, 2036 | |
1-47-A | Variable(2) | $ 5,198,886.12 | November 25, 2036 | |
1-47-B | Variable(2) | $ 5,198,886.12 | November 25, 2036 | |
1-48-A | Variable(2) | $ 5,040,498.98 | November 25, 2036 | |
1-48-B | Variable(2) | $ 5,040,498.98 | November 25, 2036 | |
1-49-A | Variable(2) | $ 4,887,110.98 | November 25, 2036 | |
1-49-B | Variable(2) | $ 4,887,110.98 | November 25, 2036 | |
1-50-A | Variable(2) | $ 4,738,313.31 | November 25, 2036 | |
1-50-B | Variable(2) | $ 4,738,313.31 | November 25, 2036 | |
1-51-A | Variable(2) | $ 4,594,002.40 | November 25, 2036 | |
1-51-B | Variable(2) | $ 4,594,002.40 | November 25, 2036 | |
1-52-A | Variable(2) | $ 5,378,663.93 | November 25, 2036 | |
1-52-B | Variable(2) | $ 5,378,663.93 | November 25, 2036 | |
1-53-A | Variable(2) | $ 16,032,701.81 | November 25, 2036 | |
1-53-B | Variable(2) | $ 16,032,701.81 | November 25, 2036 | |
1-54-A | Variable(2) | $ 40,875,708.66 | November 25, 2036 | |
1-54-B | Variable(2) | $ 40,875,708.66 | November 25, 2036 | |
1-55-A | Variable(2) | $ 27,320,129.36 | November 25, 2036 | |
1-55-B | Variable(2) | $ 27,320,129.36 | November 25, 2036 | |
1-56-A | Variable(2) | $ 45,157,444.46 | November 25, 2036 | |
1-56-B | Variable(2) | $ 45,157,444.46 | November 25, 2036 | |
1-57-A | Variable(2) | $ 3,082,737.26 | November 25, 2036 | |
1-57-B | Variable(2) | $ 3,082,737.26 | November 25, 2036 | |
1-58-A | Variable(2) | $ 213,945.22 | November 25, 2036 | |
1-58-B | Variable(2) | $ 213,945.22 | November 25, 2036 | |
1-59-A | Variable(2) | $ 207,417.02 | November 25, 2036 | |
1-59-B | Variable(2) | $ 207,417.02 | November 25, 2036 | |
1-60-A | Variable(2) | $ 201,086.53 | November 25, 2036 | |
1-60-B | Variable(2) | $ 201,086.53 | November 25, 2036 | |
1-61-A | Variable(2) | $ 194,947.79 | November 25, 2036 | |
1-61-B | Variable(2) | $ 194,947.79 | November 25, 2036 | |
1-62-A | Variable(2) | $ 188,995.04 | November 25, 2036 | |
1-62-B | Variable(2) | $ 188,995.04 | November 25, 2036 | |
1-63-A | Variable(2) | $ 183,222.66 | November 25, 2036 | |
1-63-B | Variable(2) | $ 183,222.66 | November 25, 2036 | |
1-64-A | Variable(2) | $ 177,625.23 | November 25, 2036 | |
1-64-B | Variable(2) | $ 177,625.23 | November 25, 2036 | |
1-65-A | Variable(2) | $ 172,197.48 | November 25, 2036 | |
1-65-B | Variable(2) | $ 172,197.48 | November 25, 2036 | |
1-66-A | Variable(2) | $ 166,934.29 | November 25, 2036 | |
1-66-B | Variable(2) | $ 166,934.29 | November 25, 2036 | |
1-67-A | Variable(2) | $ 161,830.71 | November 25, 2036 | |
1-67-B | Variable(2) | $ 161,830.71 | November 25, 2036 | |
1-68-A | Variable(2) | $ 156,881.93 | November 25, 2036 | |
1-68-B | Variable(2) | $ 156,881.93 | November 25, 2036 | |
1-69-A | Variable(2) | $ 152,083.28 | November 25, 2036 | |
1-69-B | Variable(2) | $ 152,083.28 | November 25, 2036 | |
1-70-A | Variable(2) | $ 147,430.23 | November 25, 2036 | |
1-70-B | Variable(2) | $ 147,430.23 | November 25, 2036 | |
1-71-A | Variable(2) | $ 142,918.39 | November 25, 2036 | |
1-71-B | Variable(2) | $ 142,918.39 | November 25, 2036 | |
1-72-A | Variable(2) | $ 138,543.52 | November 25, 2036 | |
1-72-B | Variable(2) | $ 138,543.52 | November 25, 2036 | |
1-73-A | Variable(2) | $ 134,301.46 | November 25, 2036 | |
1-73-B | Variable(2) | $ 134,301.46 | November 25, 2036 | |
1-74-A | Variable(2) | $ 130,188.23 | November 25, 2036 | |
1-74-B | Variable(2) | $ 130,188.23 | November 25, 2036 | |
1-75-A | Variable(2) | $ 126,199.93 | November 25, 2036 | |
1-75-B | Variable(2) | $ 126,199.93 | November 25, 2036 | |
1-76-A | Variable(2) | $ 122,332.79 | November 25, 2036 | |
1-76-B | Variable(2) | $ 122,332.79 | November 25, 2036 | |
1-77-A | Variable(2) | $ 118,583.16 | November 25, 2036 | |
1-77-B | Variable(2) | $ 118,583.16 | November 25, 2036 | |
1-78-A | Variable(2) | $ 114,947.49 | November 25, 2036 | |
1-78-B | Variable(2) | $ 114,947.49 | November 25, 2036 | |
1-79-A | Variable(2) | $ 1,417,073.07 | November 25, 2036 | |
1-79-B | Variable(2) | $ 1,417,073.07 | November 25, 2036 | |
1-80-A | Variable(2) | $ 1,590,733.44 | November 25, 2036 | |
1-80-B | Variable(2) | $ 1,590,733.44 | November 25, 2036 | |
1-81-A | Variable(2) | $ 583,900.97 | November 25, 2036 | |
1-81-B | Variable(2) | $ 583,900.97 | November 25, 2036 | |
OC | Variable(2) | $ 19,946,570.47 | November 25, 2036 | |
P | Variable(2) | $ 100.00 | November 25, 2036 |
___________________
(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 maturity date has been designated as the “latest possible maturity date” for each REMIC 1 Regular Interest. |
(2) | Calculated in accordance with the definition of “Uncertificated REMIC 1 Pass-Through Rate” in this Agreement. |
REMIC 2
As provided in this Agreement, 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. The following table irrevocably sets forth the designation, the Uncertificated REMIC 2 Pass-Through Rate, the initial Uncertificated Principal Balance and, for purposes of satisfying Treasury regulation Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each of the REMIC 2 Regular Interests (as defined herein). None of the REMIC 2 Regular Interests will be certificated.
Designation | Uncertificated REMIC 2 Pass-Through Rate | Initial Uncertificated Principal Balance | Latest Possible Maturity Date(1) |
AA | Variable(2) | $ 1,954,075,479.06 | November 25, 2036 | ||
A-1 | Variable(2) | $ 4,000,000.00 | November 25, 2036 | ||
A-2 | Variable(2) | $ 4,050,000.00 | November 25, 2036 | ||
A-2M | Variable(2) | $ 450,000.00 | November 25, 2036 | ||
A-3 | Variable(2) | $ 2,000,000.00 | November 25, 2036 | ||
A-3M | Variable(2) | $ 222,220.00 | November 25, 2036 | ||
A-4 | Variable(2) | $ 2,830,190.00 | November 25, 2036 | ||
A-4M | Variable(2) | $ 314,470.00 | November 25, 2036 | ||
A-5 | Variable(2) | $ 901,810.00 | November 25, 2036 | ||
A-5M | Variable(2) | $ 100,200.00 | November 25, 2036 | ||
A-6 | Variable(2) | $ 2,116,120.00 | November 25, 2036 | ||
A-6M | Variable(2) | $ 235,130.00 | November 25, 2036 | ||
A-7 | Variable(2) | $ 1,273,780.00 | November 25, 2036 | ||
M-1 | Variable(2) | $ 239,270.00 | November 25, 2036 | ||
M-2 | Variable(2) | $ 229,300.00 | November 25, 2036 | ||
M-3 | Variable(2) | $ 139,570.00 | November 25, 2036 | ||
M-4 | Variable(2) | $ 129,600.00 | November 25, 2036 | ||
M-5 | Variable(2) | $ 99,690.00 | November 25, 2036 | ||
M-6 | Variable(2) | $ 109,660.00 | November 25, 2036 | ||
M-7 | Variable(2) | $ 99,690.00 | November 25, 2036 | ||
M-8 | Variable(2) | $ 99,690.00 | November 25, 2036 | ||
B | Variable(2) | $ 99,690.00 | November 25, 2036 | ||
ZZ | Variable(2) | $ 20,139,011.41 | November 25, 2036 | ||
IO | Variable(2) | (3) | November 25, 2036 | ||
P | Variable(2) | $ 100.00 | November 25, 2036 |
___________________
(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 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” in this Agreement. |
(3) | REMIC 2 Regular Interest IO will not have an Uncertificated Principal Balance but will accrue interest on its uncertificated notional amount calculated in accordance with the related definition of “Uncertificated Notional Amount” herein. |
REMIC 3
As provided in this Agreement, 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.
The following table irrevocably sets forth the designation, the Pass-Through Rate, the Initial Certificate Principal Balance and, for purposes of satisfying Treasury Regulation Section 1.860G-1(a)(4)(iii), the “latest possible maturity date” for each class of Certificates and interests that represents ownership of one or more of the Regular Interests in REMIC 3 created hereunder.
Each Certificate, other than the Class C Certificates and the Class R Certificates, represents ownership of a Regular Interest in REMIC 3 and also represents (i) the right to receive certain amounts specified herein in respect of Net WAC Shortfall Amounts (as defined herein) and (ii) the obligation to pay Class IO Distribution Amounts (as defined herein). The entitlement to principal of the Regular Interest which corresponds to each such Certificate shall be equal in amount and timing to the entitlement to principal of such Certificate. The Class C Certificates represent ownership of a Regular Interest in REMIC 3 and also represents (i) the obligation to pay certain amounts specified herein in respect of Net WAC Shortfall Amounts and (ii) the right to receive Class IO Distribution Amounts.
Designation | Initial Certificate Principal Balance | Pass-Through Rate | Latest Possible Maturity Date(1) |
A-1(2) | $ 400,000,000.00 | Variable(3) | November 25, 2036 |
A-2(2) | $ 405,000,000.00 | Variable(3) | November 25, 2036 |
A-2M(2) | $ 45,000,000.00 | Variable(3) | November 25, 2036 |
A-3(2) | $ 200,000,000.00 | Variable(3) | November 25, 2036 |
A-3M(2) | $ 22,222,000.00 | Variable(3) | November 25, 2036 |
A-4(2) | $ 283,019,000.00 | Variable(3) | November 25, 2036 |
A-4M(2) | $ 31,447,000.00 | Variable(3) | November 25, 2036 |
A-5(2) | $ 90,181,000.00 | Variable(3) | November 25, 2036 |
A-5M(2) | $ 10,020,000.00 | Variable(3) | November 25, 2036 |
A-6(2) | $ 211,612,000.00 | Variable(3) | November 25, 2036 |
A-6M(2) | $ 23,513,000.00 | Variable(3) | November 25, 2036 |
A-7(2) | $ 127,378,000.00 | Variable(3) | November 25, 2036 |
M-1(2) | $ 23,927,000.00 | Variable(3) | November 25, 2036 |
M-2(2) | $ 22,930,000.00 | Variable(3) | November 25, 2036 |
M-3(2) | $ 13,957,000.00 | Variable(3) | November 25, 2036 |
M-4(2) | $ 12,960,000.00 | Variable(3) | November 25, 2036 |
M-5(2) | $ 9,969,000.00 | Variable(3) | November 25, 2036 |
M-6(2) | $ 10,966,000.00 | Variable(3) | November 25, 2036 |
M-7(2) | $ 9,969,000.00 | Variable(3) | November 25, 2036 |
M-8(2) | $ 9,969,000.00 | Variable(3) | November 25, 2036 |
B(2) | $ 9,969,000.00 | Variable(3) | November 25, 2036 |
C | $ 19,946,570.47 (4) | Variable(3) | November 25, 2036 |
P | $ 100.00 | N/A(5) | November 25, 2036 |
Class IO Interest | (6) | (7) | November 25, 2036 |
___________________
(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 maturity date has been designated as the “latest possible maturity date” for each Regular Interest in REMIC 3 the ownership of which is represented by the Class A, Class B, Class M, Class C and Class P Certificates and the Class IO Interest. |
(2) | This Class of Certificates represents ownership of a Regular Interest in REMIC 3. Any amount distributed on this Class of Certificates on any Distribution Date in excess of the amount distributable on the related Regular Interest in REMIC 3 on such Distribution Date shall be treated for federal income tax purposes as having been paid from the Net WAC Shortfall Reserve Fund or the Supplemental Interest Trust, as applicable, and any amount distributable on the related Regular Interest in REMIC 3 on such Distribution Date in excess of the amount distributable on such Class of Certificates on such Distribution Date shall be treated for such purposes as having been distributed to the Holders of such Certificates and then paid by such Holders to the Supplemental Interest Trust, all pursuant to and as further provided in Section 4.09 hereof. |
(3) | Calculated in accordance with the definition of “Pass-Through Rate” in this Agreement. Each Regular Interest in REMIC 3 which corresponds to a Class A, Class M or Class B Certificate will have the same Pass-Through Rate as such Certificate, except with respect to the related Net WAC Rate. The Net WAC Rate for each such Regular Interest in REMIC 3 and Certificate is specified in the related definition of “Net WAC Rate .” |
(4) | The Class C Certificates will not accrue interest on its Certificate Principal Balance, but will accrue interest at its variable Pass-Through Rates on its Notional Balance outstanding from time to time, which shall equal the aggregate Uncertificated Principal Balance of the REMIC 2 Regular Interests (other than REMIC 2 Regular Interest P). |
(5) The Class P Certificates does not accrue interest.
(6) | The Class IO Interest will not have a principal balance, but will have a notional amount equal to the Uncertificated Notional Amount of REMIC 2 Regular Interest IO. |
(7) | The Class IO Interest will not have a Pass-Through Rate, but will be entitled to 100% of the amounts distributed on REMIC 2 Regular Interest IO. |
ARTICLE I
DEFINITIONS
Section 1.01. | Defined Terms. |
Whenever used in this Agreement, the following words and phrases, unless the context otherwise requires, shall have the meanings specified in this Article. Unless otherwise specified, all calculations in respect of interest on the Class A, Class M and Class B Certificates shall accrue on the basis of a 360-day year and the actual number of days in the related Accrual Period. All calculations of interest on the Class C Certificates will be made on the basis of a 360-day year consisting of twelve 30-day months. The Class P and Class R Certificates do not accrue interest.
“Accrual Period”: With respect to each Class of Certificates (other than the Class C, Class P and Class R Certificates), and (i) with respect to the distribution date in October 2006, the period commencing on the Closing Date and ending on the day preceding the Distribution Date in October 2006, and (ii) with respect to any Distribution Date after the Distribution Date in October 2006, the period commencing on the Distribution Date in the month immediately preceding the month in which such Distribution Date occurs and ending on the day preceding such Distribution Date. With respect to the Class C Certificates and any Distribution Date, the calendar month immediately preceding such Distribution Date.
“Adjustment Date”: As to each adjustable-rate Mortgage Loan, each date set forth in the related Mortgage Note on which an adjustment to the interest rate on such Mortgage Loan becomes effective.
“Advance”: As to any Mortgage Loan, any advance made by the Sub-Servicer or Master Servicer on any Distribution Date pursuant to Section 4.03.
“Affected Party”: As defined in the Interest Rate Swap Agreement.
“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 Stated Principal Balance”: As of any date of determination, the aggregate Stated Principal Balance of the Mortgage Loans.
“Agreement”: This Pooling and Servicing Agreement and all amendments hereof.
“Allocated Realized Loss Amount”: With respect to any Class of Offered Certificates and any Distribution Date, an amount equal to the sum of any Realized Loss allocated to that Class of Certificates on that Distribution Date (other than, with respect to the Class A-1 Certificates, a Realized Loss which was covered by the Certificate Guaranty Insurance Policy) and any Allocated Realized Loss Amount for that Class remaining unpaid from any previous Distribution Date, minus any Subsequent Recoveries applied to such Allocated Realized Loss Amount.
“Assessment of Compliance”: As defined in Section 3.20.
“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 of record the sale of the Mortgage.
“Attestation Report”: As defined in Section 3.20.
“Available Distribution Amount”: With respect to any Distribution Date, an amount equal to the amount received by the Trustee and available in the Certificate Account on that Distribution Date. The Available Distribution Amount will be equal to (i) the sum of (1) the aggregate amount of scheduled payments on the Mortgage Loans received or advanced that were due during the related Due Period and (2) any unscheduled payments and receipts, including mortgagor prepayments on such Mortgage Loans, Insurance Proceeds, Liquidation Proceeds and Subsequent Recoveries, received during the related Prepayment Period, in each case net of amounts reimbursable therefrom to the Trustee, the Master Servicer and any Sub-Servicer, minus (ii) (1) Master Servicing Fees, Subservicing Fees, the Policy Premium payable to the Certificate Insurer and any amounts needed to reimburse the Master Servicer for amounts due under the Servicing Agreement and this Agreement to the extent such amounts have not been retained by, or paid previously to the Master Servicer, and any amounts in respect of the premiums payable to the PMI Insurer under the PMI Insurer Policy and (2) amounts payable by the trust to the Supplemental Interest Trust in respect of Net Swap Payments and Swap Termination Payments other than Swap Termination Payments resulting from a Swap Provider Trigger Event.
“Balloon Loan”: Each of the Mortgage Loans identified in the Mortgage Loan Schedule as having an original term to maturity that is shorter than the related amortization term.
“Balloon Payment”: With respect to any Balloon Loan, the related Monthly Payment payable on the stated maturity date of such Balloon Loan.
“Bankruptcy Code”: The Bankruptcy Code of 1978, as amended.
“Basic Principal Distribution Amount”: With respect to any Distribution Date, the excess of (i) the Principal Remittance Amount and the Insured Amount, if any, for such Distribution Date over (ii) the Overcollateralization Release Amount, if any, for such Distribution Date.
“Book-Entry Certificate”: Each class of the Offered Certificates for so long as they are issued, maintained and transferred at the Depository.
“Business Day”: Any day other than a Saturday, a Sunday or a day on which banking institutions in California or New York (and such other state or states in which the Custodial Account or the Certificate Account are at the time located) or in the city in which the Corporate Trust Office of the Trustee is located are authorized or obligated by law or executive order to close.
“Cash Liquidation”: As to any defaulted Mortgage Loan other than a Mortgage Loan as to which an REO Acquisition occurred, a determination by the Master Servicer that it has received all Insurance Proceeds, Liquidation Proceeds and other payments or cash recoveries which the Master Servicer reasonably and in good faith expects to be finally recoverable with respect to such Mortgage Loan.
“Certificate”: Any Regular Certificate or Class R Certificate.
“Certificate Account”: The trust account or accounts created and maintained pursuant to Section 4.01, which shall be entitled Deutsche Bank National Trust Company, in trust for registered holders of Impac Secured Assets Corp., Mortgage Pass-Through Certificates, Series 2006-3, and which account or accounts must each be an Eligible Account.
“Certificate Account Deposit Date”: With respect to any Distribution Date, the Business Day immediately preceding such Distribution Date.
“Certificate Guaranty Insurance Policy”: The certificate guaranty insurance policy issued by the Certificate Insurer for the benefit of the Class A-1 Certificateholders.
“Certificate Insurer”: Ambac Assurance Corporation, a Wisconsin domiciled stock insurance corporation, or any successor thereto as provided in the Agreement.
“Certificate Margin”: The Certificate Margin for the Offered Certificates shall be:
Certificate Margin | ||
Class | (1) | (2) |
A-1 | 0.170% | 0.340% |
A-2 | 0.200% | 0.400% |
A-2M | 0.290% | 0.580% |
A-3 | 0.150% | 0.300% |
A-3M | 0.250% | 0.500% |
A-4 | 0.090% | 0.180% |
A-4M | 0.130% | 0.260% |
A-5 | 0.130% | 0.260% |
A-5M | 0.200% | 0.400% |
A-6 | 0.200% | 0.400% |
A-6M | 0.290% | 0.580% |
A-7 | 0.270% | 0.540% |
M-1 | 0.330% | 0.495% |
M-2 | 0.350% | 0.525% |
M-3 | 0.370% | 0.555% |
M-4 | 0.440% | 0.660% |
M-5 | 0.470% | 0.705% |
M-6 | 0.520% | 0.780% |
M-7 | 1.050% | 1.575% |
M-8 | 1.050% | 1.575% |
B | 2.500% | 3.750% |
______
(1) Initially.
(2) On and after the Step-Up Date.
“Certificate Owner”: With respect to a Book-Entry Certificate, the Person who is the beneficial owner of such Certificate, as reflected on the books of an indirect participating brokerage firm for which a Depository Participant acts as agent, if any, and otherwise on the books of a Depository Participant, if any, and otherwise on the books of the Depository.
“Certificate Principal Balance”: With respect to any Certificate (other than the Class C Certificates and Class R Certificates) as of any date of determination, the Initial Certificate Principal Balance thereof, increased by any Subsequent Recoveries allocated thereto, and reduced by the aggregate of (a) all amounts allocable to principal previously distributed with respect to such Certificate and (b) any reductions in the Certificate Principal Balance thereof deemed to have occurred in connection with allocations of Realized Losses in the manner described herein. With respect to the Class C Certificates as of any date of determination, an amount equal to the excess, if any, of (a) the then aggregate Uncertificated Principal Balance of the REMIC 2 Regular Interests over (b) the then aggregate Certificate Principal Balance of the Class A Certificates, the Subordinate Certificates and the Class P Certificates then outstanding.
“Certificate Register”: The register maintained pursuant to Section 5.02.
“Certificateholder” or “Holder”: The Person in whose name a Certificate is registered in the Certificate Register, except that only a Permitted Transferee shall be a holder of a Residual Certificate for any purposes hereof and, solely for the purposes of giving any consent pursuant to this Agreement, any Certificate registered in the name of the Depositor or the Master Servicer or any affiliate thereof shall be deemed not to be outstanding and the Voting Rights to which such Certificate is entitled shall not be taken into account in determining whether the requisite percentage of Voting Rights necessary to effect any such consent has been obtained, except as otherwise provided in Section 11.01. The Trustee shall be entitled to rely upon a certification of the Depositor or the Master Servicer in determining if any Certificates are registered in the name of the respective affiliate. All references in this Agreement to “Holders” or “Certificateholders” shall reflect the rights of Certificate Owners as they may indirectly exercise such rights through the Depository and participating members thereof, except as otherwise specified in this Agreement; provided, however, that the Trustee shall be required to recognize as a “Holder” or “Certificateholder” only the Person in whose name a Certificate is registered in the Certificate Register.
“Class”: Collectively, all of the Certificates bearing the same designation.
“Class A Certificates”: The Class A-1, Class A-2, Class A-2M, Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6, Class A-6M, and Class A-7 Certificates.
“Class A-1 Certificate”: Any one of the Class A-1 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-2 Certificate”: Any one of the Class A-2 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-2M Certificate”: Any one of the Class A-2M Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-3 Certificate”: Any one of the Class A-3 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-3M Certificate”: Any one of the Class A-3M Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-4 Certificate”: Any one of the Class A-4 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-4M Certificate”: Any one of the Class A-4M Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-5 Certificate”: Any one of the Class A-5 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-5M Certificate”: Any one of the Class A-5M Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-6 Certificate”: Any one of the Class A-6 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-6M Certificate”: Any one of the Class A-6M Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A-7 Certificate”: Any one of the Class A-7 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit A, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class A Principal Distribution Amount”: For any Distribution Date, the excess of (1) the aggregate Certificate Principal Balance of the Class A Certificates immediately prior to such Distribution Date, over (2) the lesser of (x) 85.50% of the aggregate Stated Principal Balance of the Mortgage Loans for such Distribution Date after giving effect to distributions to be made on that Distribution Date and (y) the aggregate Stated Principal Balance of the Mortgage Loans for such Distribution Date after giving effect to distributions to be made on that Distribution Date minus the Overcollateralization Floor.
“Class B Certificate”: Any one of the Class B Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-2, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class C Certificates”: Any one of the Class C Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-3, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the obligation to pay Net WAC Shortfall Amounts and (iii) the right to receive Class IO Distribution Amounts.
“Class C Distribution Amount”: With respect to any Distribution Date, the sum of (i) the Monthly Interest Distributable Amount for the Class C Certificates for such Distribution Date, (ii) any Overcollateralization Release Amount for such Distribution Date and (iii) without duplication, any Subsequent Recoveries not distributed to the Class A, Class B and Class M Certificates on such Distribution Date; provided, however that on any Distribution Date after the Distribution Date on which the Certificate Principal Balances of the Class A, Class B and Class M Certificates have been reduced to zero, the Class C Distribution Amount shall include the Overcollateralized Amount.
“Class IO Interest”: An uncertificated interest in the Trust Fund held by the Trustee on behalf of the Supplemental Interest Trust, evidencing a Regular Interest in REMIC 3 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 Supplemental Interest Trust with respect to the Interest Rate Swap Agreement pursuant to the fifth paragraph of Section 4.01(a) (except for the last sentence thereof) 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 M Certificates”: The 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.
“Class M-1 Certificate”: Any one of the Class M-1 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-2 Certificate”: Any one of the Class M-2 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-3 Certificate”: Any one of the Class M-3 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-4 Certificate”: Any one of the Class M-4 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-5 Certificate”: Any one of the Class M-5 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-6 Certificate”: Any one of the Class M-6 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-7 Certificate”: Any one of the Class M-7 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class M-8 Certificate”: Any one of the Class M-8 Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-1, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3, (ii) the right to receive Net WAC Shortfall Amounts and (iii) the obligation to pay Class IO Distribution Amounts.
“Class P Certificates”: Any one of the Class P Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-4, executed by the Trustee and authenticated and delivered by the Trustee, representing the right to distributions as set forth herein and therein and evidencing (i) a Regular Interest in REMIC 3 and (ii) the right to receive any Master Servicer Prepayment Charge Payment Amounts.
“Class R Certificate”: Any one of the Class R Certificates as designated on the face thereof substantially in the form annexed hereto as Exhibit B-5, evidencing the ownership of the Class R-1 Interest, Class R-2 Interest and Class R-3 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.
“Closing Date”: September 29, 2006.
“Code”: The Internal Revenue Code of 1986.
“Collateral Value”: The appraised value of a Mortgaged Property based upon the lesser of (i) the appraisal (as reviewed and approved by the Sponsor) made at the time of the origination of the related Mortgage Loan, or (ii) the sales price of such Mortgaged Property at such time of origination. With respect to a Mortgage Loan the proceeds of which were used to refinance an existing mortgage loan, the appraised value of the Mortgaged Property based upon the appraisal (as reviewed and approved by the Sponsor) obtained at the time of refinancing.
“Commission”: The Securities and Exchange Commission.
“Compensating Interest”: With respect to any Distribution Date, any payments made by the Subservicer or the Master Servicer from its own funds to cover Prepayment Interest Shortfalls, which shall be equal to the lesser of the sum of the Master Servicing and Subservicing Fees for the related Distribution Date, and the Prepayment Interest Shortfall for such Distribution Date.
“Corporate Trust Office”: The principal corporate trust office of the Trustee at which at any particular time its corporate trust business related to this Agreement shall be administered, which office at the date of the execution of this Agreement is located at 1761 East St. Andrew Place, Santa Ana, California 92705, Attention: Corporate Trust, Impac Secured Assets Corp. Series 2006-3 (IM06S3).
“Corresponding Certificate”: With respect to each REMIC 2 Regular Interest (other than REMIC 2 Regular Interests AA, IO and ZZ), the Certificate with the corresponding designation. With respect to each REMIC 3 Regular Interest (other than the Class IO Interest), the related Certificate representing an ownership therein.
“Countrywide”: Countrywide Home Loans Servicing LP, or its successor in interest.
“Credit Enhancement Percentage”: For any Distribution Date, the percentage equivalent of a fraction, the numerator of which is equal to (a) the excess of (i) the Aggregate Stated Principal Balance of the Mortgage Loans for the preceding Distribution Date over (ii) (1) before the Certificate Principal Balances of the Class A Certificates have been reduced to zero, the sum of the Certificate Principal Balances of the Class A Certificates, or (2) after such time, the Certificate Principal Balance of the most senior class of Subordinate Certificates outstanding, as of the preceding Distribution Date, and the denominator of which is equal to (b) the Aggregate Stated Principal Balance of the Mortgage Loans, calculated after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period.
“Current Report”: The Current Report pursuant to Section 13 or 15(d) of the Exchange Act.
“Curtailment”: Any Principal Prepayment made by a Mortgagor which is not a Principal Prepayment in Full.
“Custodial Account”: The custodial account or accounts created and maintained pursuant to Section 3.10 in the name of a depository institution, as custodian for the Holders of the Certificates. Any such account or accounts shall be an Eligible Account.
“Custodian”: Deutsche Bank National Trust Company.
“Cut-off Date”: September 1, 2006.
“Cut-off Date Balance”: The Aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date.
“Defaulted Mortgage Loan” means any Mortgage Loan as to which the Mortgagor has failed to make unexcused three or more consecutive scheduled Monthly Payments.
“Defaulting Party”: As defined in the Interest Rate Swap Agreement.
“Deficient Valuation”: With respect to any Mortgage Loan, a valuation by a court of competent jurisdiction of the Mortgaged Property in an amount less than the then outstanding indebtedness under the Mortgage Loan, or any reduction in the amount of principal to be paid in connection with any scheduled Monthly Payment that constitutes a permanent forgiveness of principal, which valuation or reduction results from a proceeding under the Bankruptcy Code.
“Deficiency Amount”: With respect to each Distribution Date prior to the final scheduled Distribution Date and the Class A-1 Certificates, an amount equal to the sum of (i) the excess, if any, of (a) the amount of any Monthly Interest Distributable Amount on the Class A-1 Certificates for that Distribution Date over (b) the Class A-1 Certificates’ pro rata interest portion of the Available Distribution Amount for that Distribution Date and (ii) the amount of any Realized Losses allocated to the Class A-1 Certificates for that Distribution Date. With respect to the final scheduled Distribution Date and the Class A-1 Certificates, an amount equal to the sum of (i) the excess, if any, of (a) the amount of any Monthly Interest Distributable Amount on the Class A-1 Certificates for that Distribution Date over (b) the Class A-1 Certificates’ pro rata interest portion of the Available Distribution Amount for that Distribution Date and (ii) the outstanding Certificate Principal Balance of the Class A-1 Certificates due on such final scheduled Distribution Date to the extent not paid from the Available Distribution Amount on that Distribution Date. For the Class A-1 Certificates and any date on which the acceleration of the Certificates has been directed or consented to by the Certificateholders pursuant to the Agreement, the amount required to pay the Certificate Principal Balances of the Class A-1 Certificates in full, together with accrued and unpaid interest thereon through the date of payment of the Class A-1 Certificates.
“Definitive Certificate”: Any definitive, fully registered Certificate.
“Deleted Mortgage Loan”: A Mortgage Loan replaced or to be replaced with a Qualified Substitute Mortgage Loan.
“Delinquent”: A Mortgage Loan is “delinquent” if any payment due thereon is not made pursuant to the terms of such Mortgage Loan by the close of business on the day such payment is scheduled to be due. A Mortgage Loan is “30 days delinquent” if such payment has not been received by the close of business on the corresponding day of the month immediately succeeding the month in which such payment was due, or, if there is no such corresponding day (e.g., as when a 30-day month follows a 31-day month in which a payment was due on the 31st day of such month), then on the last day of such immediately succeeding month. Similarly for “60 days delinquent,” “90 days delinquent” and so on.
“Depositor” Impac Secured Assets Corp., or its successor in interest.
“Depository”: The Depository Trust Company, or any successor Depository hereafter named. The nominee of the initial Depository for purposes of registering those Certificates that are to be Book-Entry Certificates is Cede & Co. The Depository shall at all times be a “clearing corporation” as defined in Section 8-102(5) of the Uniform Commercial Code of the State of New York and a “clearing agency” registered pursuant to the provisions of Section 17A of the Securities Exchange Act of 1934, as amended.
“Depository Participant”: A broker, dealer, bank or other financial institutions 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 month in which such Distribution Date occurs or, if such day is not a Business Day, on the immediately preceding Business Day.
“Disqualified Organization”: Any organization defined as a “disqualified organization” under Section 860E(e)(5) of the Code, which includes any of the following: (i) the United States, any State or political subdivision thereof, any possession of the United States, or any agency or instrumentality of any of the foregoing (other than an instrumentality which is a corporation if all of its activities are subject to tax and, except for the Freddie Mac, a majority of its board of directors is not selected by such governmental unit), (ii) a foreign government, any international organization, or any agency or instrumentality of any of the foregoing, (iii) any organization (other than certain farmers' cooperatives described in Section 521 of the Code) which is exempt from the tax imposed by Chapter 1 of the Code (including the tax imposed by Section 511 of the Code on unrelated business taxable income), (iv) rural electric and telephone cooperatives described in Section 1381(a)(2)(C) of the Code and (v) any other Person so designated by the Trustee based upon an Opinion of Counsel that the holding of an Ownership Interest in a Class R Certificate by such Person may cause REMIC 1, REMIC 2 or REMIC 3 or any Person having an Ownership Interest in any Class of Certificates (other than such Person) to incur a 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 Class R Certificate to such Person. The terms “United States”, “State” and “international organization” shall have the meanings set forth in Section 7701 of the Code or successor provisions.
“Distribution Date”: The 25th day of any month, or if such 25th day is not a Business Day, the Business Day immediately following such 25th day, commencing in October 2006.
“Distribution Report” The Asset-Backed Issuer Distribution Report pursuant to Section 13 or 15(d) of the Exchange Act.
“Due Date”: With respect to each Mortgage Loan, the first day of the month of the related Distribution Date.
“Due Period”: With respect to any Distribution Date, the period commencing on the second day of the month preceding the month in which such Distribution Date occurs (or, with respect to the first Due Period, the day following the Cut-off Date) and ending on the first day of the month in which such Distribution Date occurs.
“Eligible Account”: Any of (i) a segregated account maintained with a federal or state chartered depository institution (A) the short-term obligations of which are rated A-1+ or better by Standard & Poor's and P-1 by Moody's at the time of any deposit therein or if such account is maintained with PNC Bank, National Association, rated no less than A-1 by Standard & Poor’s and no less than P-1 by Moody’s or (B) insured by the FDIC (to the limits established by such Corporation), the uninsured deposits in which account are otherwise secured such that, as evidenced by an Opinion of Counsel (obtained by the Person requesting that the account be held pursuant to this clause (ii)) delivered to the Trustee prior to the establishment of such account, the Certificateholders will have a claim with respect to the funds in such account and a perfected first priority security interest against any collateral (which shall be limited to Permitted Investments, each of which shall mature not later than the Business Day immediately preceding the Distribution Date next following the date of investment in such collateral or the Distribution Date if such Permitted Investment is an obligation of the institution that maintains the Certificate Account, Insurance Account or Custodial Account) securing such funds that is superior to claims of any other depositors or general creditors of the depository institution with which such account is maintained, (ii) a segregated trust account or accounts maintained with a federal or state chartered depository institution or trust company subject to regulations regarding fiduciary funds on deposit similar to Title 12 of the Code of Federal Regulations Section 9.10(b), which, in either case, has corporate trust powers, acting in its fiduciary capacity or (iii) a segregated account or accounts of a depository institution acceptable to the Rating Agencies (as evidenced in writing by the Rating Agencies that use of any such account as the Custodial Account or the Certificate Account will not have an adverse effect on the then-current ratings assigned to the Classes of the Certificates then rated by the Rating Agencies). Eligible Accounts may bear interest.
“Event of Default”: One or more of the events described in Section 7.01.
“Excess Proceeds”: As defined in Section 3.22.
“Exchange Act”: The Securities Exchange Act of 1934, as amended, and the rules and regulations promulgated thereunder.
“Extra Principal Distribution Amount”: With respect to any Distribution Date, the lesser of (x) the Overcollateralization Deficiency Amount for such Distribution Date and (y) the sum of (1) the Net Monthly Excess Cashflow Amount for such Distribution Date and (2) amounts available from the Supplemental Interest Trust to pay principal as provided in Section 4.01(f)(iii) hereof.
“Fannie Mae”: Fannie Mae (formerly, Federal National Mortgage Association) or any successor thereto.
“FDIC”: Federal Deposit Insurance Corporation or any successor.
“Final Scheduled Distribution Date”: The Distribution Date occurring in November 2036.
“Freddie Mac”: Federal Home Loan Mortgage Corporation or any successor.
“GMAC”: GMAC Mortgage Corporation, or an Affiliate thereof.
“Gross Margin”: With respect to any Mortgage Loan, the percentage set forth as the “Gross Margin” for such Mortgage Loan on the Mortgage Loan Schedule, as adjusted from time to time in accordance with the terms of this Agreement.
“Index”: With respect to any Mortgage Loan, the index for the adjustment of the Mortgage Rate set forth as such on the related Mortgage Note.
“Initial Certificate Principal Balance”: With respect to each Class of Regular Certificates, the Initial Certificate Principal Balance of such Class of Certificates as set forth in the Preliminary Statement hereto, or with respect to any single Certificate, the Initial Certificate Principal Balance as stated on the face thereof.
“Initial Notional Amount”: With respect to the Class C Certificates, an amount equal to the Notional Balance of the Class C Certificates, or with respect to any single Certificate, the Initial Notional Amount as stated on the face thereof.
“Insurance Account”: The account created and maintained pursuant to Section 4.11(b) of this Agreement. The Insurance Account shall be an Eligible Account.
“Insurance Policy”: With respect to any Mortgage Loan, any insurance policy (including a PMI Insurer Policy) which is required to be maintained from time to time under this Agreement in respect of such Mortgage Loan.
“Insurance Proceeds”: Proceeds paid in respect of the Mortgage Loans pursuant to any Primary Hazard Insurance Policy, any title insurance policy or any other insurance policy covering a Mortgage Loan, to the extent such proceeds are not applied to the restoration of the related Mortgaged Property or released to the Mortgagor in accordance with the procedures that the Master Servicer would follow in servicing mortgage loans held for its own account.
“Insured Amount”: Draws on the Certificate Guaranty Insurance Policy to cover related Deficiency Amounts and Preference Amounts.
“Insurer Default”: An insurer default will occur in the event the Certificate Insurer fails to make a payment under the Certificate Guaranty Insurance Policy or if certain events of bankruptcy or insolvency occur with respect to the Certificate Insurer.
“Interest Rate Swap Agreement”: An interest rate swap agreement, dated as of September 29, 2006, between Deutsche Bank National Trust Company, as Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust, and Lehman Brothers Special Financing Inc., as Swap Provider for the benefit of the Class A, Class M and Class B Certificates, which agreement provides for Net Swap Payments and Swap Termination Payments to be paid, as provided therein, together with any schedules, confirmations or other agreements relating thereto, a form of which is attached hereto as Exhibit M as assigned to the Trustee on behalf of the Supplemental Interest Trust pursuant to the Swap Novation Agreement.
“Interest Remittance Amount”: With respect to any Distribution Date, that portion of the Available Distribution Amount for such Distribution Date that represents interest received or advanced with respect to the Mortgage Loans.
“Late Collections”: With respect to any Mortgage Loan, all amounts received during any Due Period, whether as late payments of Monthly Payments or as Insurance Proceeds, Liquidation Proceeds or otherwise, which represent late payments or collections of Monthly Payments due but delinquent for a previous Due Period and not previously recovered.
“Letter Agreement”: The Letter Agreement, dated as of September 29, 2006, between the Certificate Insurer and Impac Mortgage Holdings, Inc. including any amendments and supplements thereto.
“LIBOR”: With respect to any Distribution Date and the Pass-Through Rates on the Class A Certificates and Subordinate Certificates, the arithmetic mean of the London interbank offered rate quotations of reference banks (which will be selected by the Trustee after consultation with the Master Servicer) for one-month U.S. dollar deposits, expressed on a per annum basis, determined in accordance with Section 1.02.
“LIBOR Business Day”: Any day other than (i) Saturday or Sunday or (ii) a day on which banking institutions in the city of London, England and New York City are required or authorized by law to be closed.
“LIBOR Rate Adjustment Date”: With respect to each Distribution Date, the second LIBOR Business Day immediately preceding the commencement of the related Accrual Period.
“Liquidated Mortgage Loan”: As to any Distribution Date, any Mortgage Loan in respect of which the Master Servicer has determined, in accordance with the servicing procedures specified herein, as of the end of the related Prepayment Period, that all Liquidation 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”: Amounts (other than Insurance Proceeds) received by the Master Servicer in connection with the taking of an entire Mortgaged Property by exercise of the power of eminent domain or condemnation or in connection with the liquidation of a defaulted Mortgage Loan through trustee’s sale, foreclosure sale or otherwise, other than amounts received in respect of any REO Property.
“Loan-to-Value Ratio”: As of any date, the fraction, expressed as a percentage, the numerator of which is the current principal balance of the related Mortgage Loan at the date of determination and the denominator of which is the Collateral Value of the related Mortgaged Property.
“Lost Note Affidavit”: With respect to any Mortgage Note, an original lost note affidavit from the Sponsor stating that the original Mortgage Note was lost, misplaced or destroyed, together with a copy of the related Mortgage Note.
“Majority Class C Certificateholder”: The holder of a 50.01% or greater Percentage Interest of the Class C Certificates.
“Marker Rate”: With respect to the Class C Certificates and any Distribution Date, a per annum rate equal to two (2) times the weighted average of the Uncertificated REMIC 2 Pass-Through Rates for each REMIC 2 Regular Interest for which a Class A, Class M or Class B Certificate is the Corresponding Certificate and REMIC 2 Regular Interest ZZ, with the rate on each such REMIC 2 Regular Interest (other than REMIC 2 Regular Interest ZZ) subject to a cap equal to the lesser of (i) One-Month LIBOR plus the Certificate Margin for the Corresponding Certificate for such Distribution Date, plus, in the case of REMIC 2 Regular Interest A-1, the Policy Premium Rate, and (ii) the Net WAC Rate for the REMIC 3 Regular Interest the ownership of which is represented by the Corresponding Certificate for such Distribution Date for the purpose of this calculation, and with the rate on REMIC 2 Regular Interest ZZ subject to a cap of zero for the purpose of this calculation; provided, however, that solely for this purpose, the related cap with respect to each such REMIC 3 Regular Interest (other than REMIC 3 Regular Interest ZZ) shall be multiplied by a fraction, the numerator of which is 30 and the denominator of which is the actual number of days in the related Accrual Period.
“Master Servicer”: Impac Funding Corporation, or any successor master servicer appointed as herein provided.
“Master Servicer Prepayment Charge Payment Amount”: The amounts payable by the Master Servicer in respect of any waived Prepayment Charges pursuant to Section 2.03, and any amount paid to the Trust Fund by any Person to remedy any breach of any representation, warranty or covenant made with respect to the Prepayment Charges to the extent the Trust Fund, as assignee, is the beneficiary of such representation, warranty or covenant.
“Master Servicing Fees”: With respect to each Mortgage Loan, an amount, payable out of any payment of interest on the Mortgage Loan, equal to interest at the Master Servicing Fee Rate on the Stated Principal Balance of such Mortgage Loan as of the Due Date in the calendar month preceding the month in which the payment of the Master Servicing Fee is due (alternatively, in the event such payment of interest accompanies a Principal Prepayment in part or in full made by the Mortgagor, interest for the number of days covered by such payment of interest). The Master Servicing Fee consists of servicing compensation payable to the Master Servicer in respect of its master servicing responsibilities.
“Master Servicing Fee Rate”: With respect to each Mortgage Loan, the per annum rate of 0.03%.
“Maximum Uncertificated Accrued Interest Deferral Amount”: With respect to any Distribution Date, the excess of (i) the sum of (x) the accrued interest at the Uncertificated REMIC 2 Pass-Through Rate applicable to REMIC 2 Regular Interest ZZ for such Distribution Date on a balance equal to the Uncertificated Principal Balance of REMIC 2 Regular Interest ZZ minus the REMIC 2 Overcollateralized Amount, in each case for such Distribution Date and (y) 1.00% of the accrued interest on REMIC 2 Regular Interest P at the applicable Uncertificated REMIC 2 Pass-Through Rate for such Distribution Date, over (ii) the aggregate amount of Uncertificated Accrued Interest for such Distribution Date on the REMIC 2 Regular Interests for which the Class A, Class B and Class M Certificates are the Corresponding Certificates, with the rate on each such REMIC 2 Regular Interest subject to a cap equal to the lesser of (1) One-Month LIBOR plus the Certificate Margin for the Corresponding Certificate for such Distribution Date, plus, in the case of REMIC 2 Regular Interest A-1, the Policy Premium Rate, and (2) the Net WAC Rate for the REMIC 3 Regular Interest the ownership of which is represented by the Corresponding Certificate for such Distribution Date for the purpose of this calculation; provided, however, that solely for this purpose, the related cap with respect to each such REMIC 2 Regular Interest shall be multiplied by a fraction, the numerator of which is 30 and the denominator of which is the actual number of days in the related Accrual Period.
“MERS”: Mortgage Electronic Registration Systems, Inc., a corporation organized and existing under the laws of the State of Delaware, or any successor thereto.
“MERS® System”: The system of recording transfers of Mortgages electronically maintained by MERS.
“MIN”: The Mortgage Identification Number for Mortgage Loans registered with MERS on the MERS® System.
“MOM Loan”: With respect to any Mortgage Loan, MERS acting as the mortgagee of such Mortgage Loan, solely as nominee for the originator of such Mortgage Loan and its successors and assigns, at the origination thereof.
“Monthly Interest Distributable Amount”: For any Distribution Date and each Class of Offered Certificates and Class C Certificates and Class IO Interest, the amount of interest accrued during the related Accrual Period at the related Pass-Through Rate on the Certificate Principal Balances or Notional Balances or Uncertificated Notional Amounts of such Certificates or interests immediately prior to such Distribution Date, in each case, reduced by any Prepayment Interest Shortfalls to the extent not covered by Compensating Interest payable by the Subservicer or Master Servicer and any shortfalls resulting from the application of the Relief Act (in each case to the extent allocated to such Class of Certificates or interests as set forth in Section 1.03). The Monthly Interest Distributable Amount on the Offered Certificates will be calculated on the basis of the actual number of days in the related Accrual Period and a 360 day-year.
“Monthly Payment”: With respect to any Mortgage Loan, the scheduled monthly payment of principal and interest on such Mortgage Loan which is payable by a Mortgagor from time to time under the related Mortgage Note as originally executed (after adjustment, if any, for Deficient Valuations occurring prior to such Due Date, and after any adjustment by reason of any bankruptcy or similar proceeding or any moratorium or similar waiver or grace period).
“Moody's”: Moody's Investors Service, Inc., or its successor in interest.
“Mortgage”: The mortgage, deed of trust or any other instrument securing the Mortgage Loan.
“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 and the Custodial Agreement; provided, that whenever the term “Mortgage File” is used to refer to documents actually received by the Custodian, such term shall not be deemed to include such additional documents required to be added unless they are actually so added.
“Mortgage Loan”: Each of the mortgage loans, transferred and assigned to the Trustee pursuant to Section 2.01, 2.04 or 2.06 and from time to time held in the Trust Fund (including any Qualified Substitute Mortgage Loans), the mortgage loans so transferred, assigned and held being identified in the Mortgage Loan Schedule. As used herein, the term “Mortgage Loan” includes the related Mortgage Note and Mortgage.
“Mortgage Loan Purchase Agreement”: The Mortgage Loan Purchase Agreement dated as of September 29, 2006, among Impac Funding Corporation, as sponsor, Impac Mortgage Holdings, Inc. and the Depositor, as purchaser, and all amendments thereof and supplements thereto.
“Mortgage Loan Schedule”: As of any date of determination, the schedule of Mortgage Loans included in the Trust Fund. The schedule of Mortgage Loans with accompanying information transferred on the Closing Date to the Trustee as part of the Trust Fund for the Certificates, attached hereto as Exhibit H, which list shall set forth the following information with respect to each Mortgage Loan:
(i) the loan number;
(ii) the city, state and zip code of the Mortgaged Property;
(iii) the original term to maturity;
(iv) the original principal balance and the original Mortgage Rate;
(v) the first payment date;
(vi) [reserved];
(vii) the type of Mortgaged Property;
(viii) the Monthly Payment in effect as of the Cut-off Date;
(ix) the principal balance as of the Cut-off Date;
(x) the Mortgage Rate as of the Cut-off Date;
(xi) the occupancy status;
(xii) the purpose of the Mortgage Loan;
(xiii) the Collateral Value of the Mortgaged Property;
(xiv) the remaining term to maturity;
(xv) the paid-through date of the Mortgage Loan;
(xvi) the Master Servicing Fee Rate;
(xvii) the Sub-Servicing Fee Rate;
(xviii) the Net Mortgage Rate for the Mortgage Loan;
(xix) whether such Mortgage Loan is a PMI Mortgage Loan and, if so, the related PMI Insurer Fee Rate;
(xx) whether the Mortgage Loan is covered by a private mortgage insurance policy or an original certificate of private mortgage insurance;
(xxi) the documentation type;
(xxii) the type and term of the related Prepayment Charge, if any;
(xxiii) the Index and the Gross Margin; and
(xxiv) the Adjustment Date frequency and Distribution Date frequency.
The Mortgage Loan Schedule may be in the form of more than one schedule, collectively setting forth all of the information required.
“Mortgage Note”: The note or other evidence of the indebtedness of a Mortgagor under a Mortgage Loan.
“Mortgage Rate”: With respect to any Mortgage Loan, the annual rate at which interest accrues on such Mortgage Loan in the absence of default, as adjusted from time to time in accordance with the provisions of the Mortgage Note.
“Mortgaged Property”: The underlying property securing a Mortgage Loan.
“Mortgagor”: The obligor or obligors 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 Advances, Servicing Advances, Master Servicing Fees, Sub-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 Monthly Excess Cashflow”: With respect to each Distribution Date, the sum of (a) any Overcollateralization Release Amount and (b) the excess of (x) the Interest Remittance Amount for such Distribution Date over (y) the aggregate Monthly Interest Distributable Amount for the Offered Certificates for such Distribution Date and any Unpaid Interest Shortfalls payable to the Class A Certificateholder for each Distribution Date.
“Net Mortgage Rate”: With respect to each Mortgage Loan Due Date, the then applicable Mortgage Rate thereon minus the sum of (1) the Master Servicing Fee Rate, (2) the Subservicing Fee Rate and (3) the related PMI Insurer Fee Rate, if such Mortgage Loan is a PMI Mortgage Loan.
“Net Prepayment Interest Shortfall”: With respect to any Distribution Date, the excess, if any, of any Prepayment Interest Shortfalls for such date over the related Compensating Interest.
“Net Swap Payment”: With respect to each Distribution Date, the net payment required to be made pursuant to the terms of the Interest Rate Swap Agreement by either the Swap Provider or the Supplemental Interest Trust, which net payment shall not take into account any Swap Termination Payment.
“Net WAC Rate”: With respect to the Offered Certificates and any Distribution Date, a per annum rate equal to the excess, if any, of (A) a per annum rate equal to the weighted average of the Net Mortgage Rates of the Mortgage Loans as of the first day of the month preceding the month in which such Distribution Date occurs over (B) the sum of (1) a per annum rate equal to the Net Swap Payment payable to the Swap Provider on such Distribution Date, divided by the outstanding Stated Principal Balance of the Mortgage Loans as of the first day of the calendar month preceding the month in which the Distribution Date occurs, multiplied by 12, and (2) a per annum rate equal to any Swap Termination Payment not due to a Swap Provider Trigger Event payable to the Swap Provider on such Distribution Date, divided by the outstanding Stated Principal Balance of the Mortgage Loans as of the first day of the calendar month preceding the month in which the Distribution Date occurs, multiplied by 12, less (C) in the case of the Class A-1 Certificates only, the Policy Premium Rate. The Net WAC Rate will be adjusted to an effective rate reflecting the accrual of interest on an actual/360 basis. With respect to any Distribution Date and the REMIC 3 Regular Interests the ownership of which is represented by the Class A, Class M and Class B Certificates, a per annum rate equal to the weighted average (adjusted for the actual number of days elapsed in the related Accrual Period) of the Uncertificated REMIC 2 Pass-Through Rates on the REMIC 2 Regular Interests (other than REMIC 2 Regular Interest IO), weighted on the basis of the Uncertificated Principal Balances of each such REMIC 2 Regular Interest immediately prior to such Distribution Date, minus, in the case of REMIC 2 Regular Interest A-1 only, the Policy Premium Rate. For purposes of the definitions of the Marker Rate and Maximum Uncertificated Accrued Interest Deferral Amount, the foregoing definitions in this paragraph shall not be reduced by the Policy Premium Rate.
“Net WAC Shortfall Amount”: With respect to the Class A Certificates and the Subordinate Certificates and any Distribution Date, the sum of (i) if on any Distribution Date the Pass-Through Rate for such Certificates is limited to the Net WAC Rate, the excess, if any, of (a) the amount of interest such Class A Certificates or Subordinate Certificates would have been entitled to receive on such Distribution Date if such Net WAC Rate would not have been applicable to such Certificates, over (b) the amount of interest accrued on such Certificates at such Net WAC Rate, plus (ii) the Net WAC Shortfall Amount from the prior Distribution Date not previously distributed together with interest thereon at the related Pass-Through Rate for the most recently ended Accrual Period.
“Net WAC Shortfall Reserve Fund”: A reserve fund established by the Trustee for the benefit of the Holders of the Class A, Class M, Class B and Class C Certificates, and funded on the Closing Date by or on behalf of the Depositor with an amount equal to the Net WAC Shortfall Reserve Fund Deposit. The Net WAC Shortfall Reserve Fund is an “outside reserve fund” within the meaning of Treasury regulation Section 1.860G-2(h), which is not an asset of any REMIC, the ownership of which is evidenced by the Class C Certificates and which is established and maintained pursuant to Section 4.08.
“Net WAC Shortfall Reserve Fund Deposit”: With respect to the Net WAC Shortfall Reserve Fund, an amount equal to $5,000, which the Depositor shall fund initially pursuant to Section 4.08 hereof.
“Nonrecoverable Advance”: Any Advance or Servicing Advance previously made or proposed to be made in respect of a Mortgage Loan which, in the reasonable good faith judgment of the Master Servicer, will not or, in the case of a proposed Advance or Servicing Advance, would not be ultimately recoverable from Late Collections, Insurance Proceeds, Liquidation Proceeds or REO Proceeds. The determination by the Master Servicer that it has made a Nonrecoverable Advance or that any proposed Advance or Servicing Advance would constitute a Nonrecoverable Advance, shall be evidenced by a certificate of a Servicing Officer delivered to the Depositor and the Trustee.
“Non-United States Person”: Any Person other than a United States Person.
“Notional Balance”: With respect to the Class C Certificates and any Distribution Date, an amount equal to the Stated Principal Balance of the Mortgage Loans as of the related Due Date, minus the Certificate Principal Balance of the Class P Certificates. For federal income tax purposes, the Notional Balance of the Class C Certificates for any Distribution Date shall be an amount equal to the aggregate Uncertificated Principal Balance of the REMIC 2 Regular Interests, other than REMIC 2 Regular Interest P, for such Distribution Date.
“Offered Certificates”: The Class A Certificates and the Subordinate Certificates.
“Officers’ Certificate”: A certificate signed by the Chairman of the Board, the Vice Chairman of the Board, the President or a vice president and by the Treasurer, the Secretary, or one of the assistant treasurers or assistant secretaries of the Depositor, the Sponsor, the Master Servicer or of any Sub-Servicer and delivered to the Depositor and Trustee.
“One Month LIBOR”: The London interbank offered rate for one-month United States dollar deposits, determined as described in Section 1.02 of this Agreement.
“Opinion of Counsel”: A written opinion of counsel, who may be counsel for the Depositor, the Sponsor, or the Master Servicer, reasonably acceptable to the Trustee; except that any opinion of counsel relating to (a) the qualification of any account required to be maintained pursuant to this Agreement as an Eligible Account, (b) the qualification of REMIC 1, REMIC 2, or REMIC 3 as REMICs, (c) compliance with the REMIC Provisions or (d) resignation of the Master Servicer pursuant to Section 6.04 must be an opinion of counsel who (i) is in fact independent of the Depositor and the Master Servicer, (ii) does not have any direct financial interest or any material indirect financial interest in the Depositor or the Master Servicer or in an affiliate of either and (iii) is not connected with the Depositor or the Master Servicer as an officer, employee, director or person performing similar functions.
“Optional Termination Date”: The first Distribution Date on which the Master Servicer may opt to terminate the Trust Fund pursuant to Section 9.01.
“OTS”: Office of Thrift Supervision or any successor.
“Outstanding Mortgage Loan”: As to any Due Date, a Mortgage Loan (including an REO Property) which was not the subject of a Principal Prepayment in Full, Cash Liquidation or REO Disposition and which was not purchased prior to such Due Date pursuant to Sections 2.02, 2.04 or 3.14.
“Overcollateralization Deficiency Amount”: With respect to any Distribution Date, the amount, if any, by which the Overcollateralization Target Amount exceeds the Overcollateralized Amount on such Distribution Date (after giving effect to distributions in respect of the Basic Principal Distribution Amount on such Distribution Date).
“Overcollateralization Floor”: With respect to any Distribution Date, 0.50% of the Cut-off Date Balance.
“Overcollateralization Release Amount”: With respect to any Distribution Date, the lesser of (x) the Principal Remittance Amount for such Distribution Date and (y) the excess, if any, of (i) the Overcollateralized Amount for such Distribution Date (assuming that 100% of the Principal Remittance Amount is applied as a principal payment on such Distribution Date) over (ii) the Overcollateralization Target Amount for such Distribution Date.
“Overcollateralization Target Amount”: With respect to any Distribution Date prior to the Stepdown Date, 1.00% of the Cut-off Date Balance. With respect to any Distribution Date on or after the Stepdown Date, the greater of (x) 2.00% of the aggregate Stated Principal Balance of the Mortgage Loans and (y) the Overcollateralization Floor; provided, however, that if a Trigger Event is in effect on any Distribution Date, the Overcollateralization Target Amount will be equal to the Overcollateralization Target Amount on the prior Distribution Date.
“Overcollateralized Amount”: For any Distribution Date, the amount, if any, by which (i) the aggregate principal balance of the Mortgage Loans (after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, unscheduled collections of principal received during the related Prepayment Period and any Realized Losses on the Mortgage Loans during the related Prepayment Period), exceeds (ii) the aggregate Certificate Principal Balance of the Class A, Class M, Class B and the Class P Certificates as of such Distribution Date (after giving effect to distributions to be made on such Distribution Date).
“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”: With respect to any Distribution Date and the Offered Certificates, the lesser of (x) One-Month LIBOR plus the related Certificate Margin and (y) the applicable Net WAC Rate.
With respect to the Class C Certificates and any Distribution Date, the sum of (x) a per annum rate equal to the percentage equivalent of a fraction, the numerator of which is the sum of the amount determined for each REMIC 2 Regular Interest (other than REMIC 2 Regular Interests IO and P) equal to the product of (a) the excess, if any, of the Uncertificated REMIC 2 Pass-Through Rate for such REMIC 2 Regular Interest over the Marker Rate and (b) a notional amount equal to the Uncertificated Principal Balance of such REMIC 2 Regular Interest, and the denominator of which is the aggregate Uncertificated Principal Balance of such REMIC 2 Regular Interests, and (y) 100% of the interest distributable in respect of REMIC 2 Regular Interest P.
With respect to each of the Class P Certificates and any Distribution Date, 0.00% per annum.
With respect to the Class IO Interest and any Distribution Date, 100% of the amounts distributable to REMIC 2 Regular Interest IO for such Distribution Date.
“Percentage Interest”: With respect to any Regular Certificate, the undivided percentage ownership interest in the related Class evidenced by such Certificate, which percentage ownership interest shall be equal to the Initial Certificate Principal Balance thereof divided by the aggregate Initial Certificate Principal Balance of all of the Certificates of the same Class. With respect to any Class R Certificate, the interest in distributions to be made with respect to such Class evidenced thereby, expressed as a percentage, as stated on the face of each such Certificate.
“Permitted Investment”: One or more of the following:
(i) obligations of or guaranteed as to principal and interest by the United States or any agency or instrumentality thereof when such obligations are backed by the full faith and credit of the United States;
(ii) repurchase agreements on obligations specified in clause (i) maturing not more than one month from the date of acquisition thereof, provided that the unsecured obligations of the party agreeing to repurchase such obligations are at the time rated by each Rating Agency in its highest short-term rating available, provided, however, that such repurchase agreements are treated as financings under generally accepted accounting principles (“GAAP”);
(iii) federal funds, certificates of deposit, demand deposits, time deposits and bankers' acceptances (which shall each have an original maturity of not more than 90 days and, in the case of bankers' acceptances, shall in no event have an original maturity of more than 365 days or a remaining maturity of more than 30 days) denominated in United States dollars of any U.S. depository institution or trust company incorporated under the laws of the United States or any state thereof or of any domestic branch of a foreign depository institution or trust company; provided that the debt obligations of such depository institution or trust company (or, if the only Rating Agency is Standard & Poor's, in the case of the principal depository institution in a depository institution holding company, debt obligations of the depository institution holding company) at the date of acquisition thereof have been rated by each Rating Agency in its highest short-term rating available; and provided further that, if the only Rating Agency is Standard & Poor's and if the depository or trust company is a principal subsidiary of a bank holding company and the debt obligations of such subsidiary are not separately rated, the applicable rating shall be that of the bank holding company; and, provided further that, if the original maturity of such short-term obligations of a domestic branch of a foreign depository institution or trust company shall exceed 30 days, the short-term rating of such institution shall be A-1+ in the case of Standard & Poor's if Standard & Poor's is the Rating Agency;
(iv) commercial paper (having original maturities of not more than 365 days) of any corporation incorporated under the laws of the United States or any state thereof which on the date of acquisition has been rated by Moody's and Standard & Poor's in their highest short-term ratings available; provided that such commercial paper shall have a remaining maturity of not more than 30 days;
(v) a money market fund or a qualified investment fund rated by Moody's in its highest long-term ratings available or rated AAAm or AAAm-G by Standard & Poor's, including any such funds for which Deutsche Bank National Trust Company or any affiliate thereof serves as an investment advisor, manager, administrator, shareholder, servicing agent, and/or custodian or sub-custodian; and
(vi) other obligations or securities that are acceptable to each Rating Agency as a Permitted Investment hereunder and will not reduce the rating assigned to any Class of Certificates by such Rating Agency below the lower of the then-current rating or the rating assigned to such Certificates as of the Closing Date by such Rating Agency, as evidenced in writing;
provided, however, that no instrument shall be a Permitted Investment if it represents, either (1) the right to receive only interest payments with respect to the underlying debt instrument or (2) the right to receive both principal and interest payments derived from obligations underlying such instrument and the principal and interest payments with respect to such instrument provide a yield to maturity greater than 120% of the yield to maturity at par of such underlying obligations.
To the extent that the Trustee receives any materials in connection with the holding of any Permitted Investment which require the holder to vote, the Trustee shall not exercise its voting rights.
Permitted Investments shall not be sold prior to maturity, except that a money market fund or qualified investment fund may be liquidated at any time.
“Permitted Transferee”: Any transferee of a Residual Certificate other than a Disqualified Organization, a Non-United States Person or an “electing large partnership” (as defined in Section 775 of the Code).
“Person”: Any individual, corporation, partnership, limited liability company, joint venture, association, joint-stock company, trust, unincorporated organization or government or any agency or political subdivision thereof.
“PMI Insurer”: Radian Guaranty, Inc., or its successors or assigns.
“PMI Insurer Fee Rate”: With respect to each PMI Mortgage Loan, the per annum rate payable to the PMI Insurer under the PMI Insurer Policy.
“PMI Insurer Policy”: The lender-paid primary mortgage insurance policy issued by the PMI Insurer in accordance with a March 29, 2002 letter between the Sponsor and the PMI Insurer.
“PMI Mortgage Loan”: Any mortgage loan covered by the PMI Insurer Policy.
“Policy Premium”: The premium set forth in the Certificate Guaranty Insurance Policy.
“Policy Premium Rate”: The rate per annum set forth in the Letter Agreement.
“Preference Amount”: With respect to the Class A-1 Certificates, any amount previously distributed to a Class A-1 Certificateholder that is recoverable and sought to be recovered as a voidable preference by a trustee in bankruptcy pursuant to the United States Bankruptcy Code, as amended from time to time, in accordance with a final nonappealable order of a court having competent jurisdiction.
“Prepayment Assumption”: As defined in the Prospectus Supplement.
“Prepayment Charge”: With respect to any Mortgage Loan, the charges or premiums, if any, due in connection with a full or partial prepayment of such Mortgage Loan in accordance with the terms thereof (other than any Master Servicer Prepayment Charge Payment Amount).
“Prepayment Interest Shortfall”: As to any Distribution Date and any Mortgage Loan (other than a Mortgage Loan relating to an REO Property) that was the subject of (a) a Principal Prepayment in Full during the related Prepayment Period, an amount equal to the excess of one month’s interest at the Net Mortgage Rate on the Stated Principal Balance of such Mortgage Loan over the amount of interest (adjusted to the Net Mortgage Rate) paid by the Mortgagor for such Prepayment Period to the date of such Principal Prepayment in Full or (b) a Curtailment during the prior calendar month, an amount equal to one month’s interest at the Net Mortgage Rate on the amount of such Curtailment.
“Prepayment Period”: With respect to any Distribution Date, the calendar month immediately preceding the month in which such distribution occurs.
“Primary Hazard Insurance Policy”: Each primary hazard insurance policy required to be maintained pursuant to Section 3.13.
“Primary Insurance Policy”: Any primary policy of mortgage guaranty insurance including the PMI Insurer Policy, or any replacement policy therefor.
“Principal Distribution Amount”: With respect to any Distribution Date, an amount equal to the sum of the Basic Principal Distribution Amount plus the Extra Principal Distribution Amount.
“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 scheduled interest due on any date or dates in any month or months subsequent to the month of prepayment.
“Principal Prepayment in Full”: Any Principal Prepayment made by a Mortgagor of the entire unpaid principal balance of the Mortgage Loan.
“Principal Remittance Amount”: With respect to any Distribution Date, the sum of the following from the Available Distribution Amount: (i) each scheduled payment of principal collected or advanced on the Mortgage Loans by the Master Servicer that were due during the related Due Period, (ii) the principal portion of all partial and full Principal Prepayments of the Mortgage Loans applied by the Master Servicer during the related Prepayment Period, (iii) the principal portion of all Net Liquidation Proceeds, REO Proceeds, Insurance Proceeds, and Subsequent Recoveries received during the related Prepayment Period, (iv) the principal portion of proceeds of Mortgage Loan purchases made pursuant to Section 2.02, 2.04 or 3.14, in each case received or made during the related Prepayment Period, (v) the principal portion of any related Substitution Adjustments deposited in the Custodial Account during the related Prepayment Period, (v) any portion of the Insured Amount for such Distribution Date representing the amount of any Realized Losses allocated to the Class A-1 Certificates for that Distribution Date and (vi) on the Distribution Date on which the Trust Fund is to be terminated pursuant to Section 9.01, the principal portion of the termination price received from the Master Servicer in connection with a termination of the Trust Fund to occur on such Distribution Date.
“Prospectus Supplement”: That certain Prospectus Supplement dated September 29, 2006 relating to the public offering of the Class A, Class M and Class B Certificates.
“Purchase Price”: With respect to any Mortgage Loan (or REO Property) required to be purchased pursuant to Sections 2.02, 2.04, 3.14 or 3.27, an amount equal to the sum of (i) (a) if such Mortgage Loan (or REO Property) is being purchased pursuant to Sections 2.02, 2.04 or 3.14 of this Agreement, 100% of the Stated Principal Balance thereof or (b) if such Mortgage Loan (or REO Property) is being purchased pursuant to Section 3.27 of this Agreement, the greater of (1) 100% of the Stated Principal Balance thereof on such Mortgage Loan (or REO Property) and (2) the fair market value thereof, plus (ii) unpaid accrued interest (or REO Imputed Interest) at the applicable Net Mortgage Rate on the Stated Principal Balance thereof outstanding during each Due Period that such interest was not paid or advanced, from the date through which interest was last paid by the Mortgagor or advanced and distributed to Certificateholders together with unpaid Master Servicing Fees, Sub-Servicing Fees and, if such Mortgage Loan is a PMI Mortgage Loan, fees due the PMI Insurer at the PMI Insurer Fee Rate, from the date through which interest was last paid by the Mortgagor, in each case to the first day of the month in which such Purchase Price is to be distributed, plus (iii) the aggregate of all Advances and Servicing Advances made in respect thereof that were not previously reimbursed and (iv) costs and damages incurred by the Trust Fund in connection with a repurchase pursuant to Section 2.04 hereof that arises out of a violation of any anti-predatory lending law which also constitutes an actual breach of representations (xii), (xxxiii), (xxxv), (xxxviii), (xxxix) or (xliii) of Section 3.1(b) of the Mortgage Loan Purchase Agreement.
“Qualified Insurer”: Any insurance company duly qualified as such under the laws of the state or states in which the related Mortgaged Property or Mortgaged Properties is or are located, duly authorized and licensed in such state or states to transact the type of insurance business in which it is engaged and approved as an insurer by the Master Servicer, so long as the claims paying ability of which is acceptable to the Rating Agencies for pass-through certificates having the same rating as the Certificates rated by the Rating Agencies as of the Closing Date.
“Qualified Substitute Mortgage Loan”: A Mortgage Loan substituted by the Depositor for a Deleted Mortgage Loan which must, on the date of such substitution, as confirmed in an Officers’ Certificate of the Sponsor delivered to the Trustee, (i) have an outstanding principal balance, after deduction of the principal portion of the monthly payment due in the month of substitution (or in the case of a substitution of more than one Mortgage Loan for a Deleted Mortgage Loan, an aggregate outstanding principal balance, after such deduction), not in excess of the Stated Principal Balance of the Deleted Mortgage Loan (the amount of any shortfall to be paid to the Master Servicer for deposit in the Custodial Account in the month of substitution); (ii) have a Mortgage Rate and a Net Mortgage Rate no lower than and not more than 1% per annum higher than the Mortgage Rate and Net Mortgage Rate, respectively, of the Deleted Mortgage Loan as of the date of substitution; (iii) have a Loan-to-Value Ratio at the time of substitution no higher than that of the Deleted Mortgage Loan at the time of substitution; (iv) have a remaining term to stated maturity not greater than (and not more than one year less than) that of the Deleted Mortgage Loan; (v) comply with each representation and warranty set forth in Section 2.04 hereof; and, (vi) comply with each representation and warranty set forth in the Mortgage Loan Purchase Agreement (other than representations (xiv), (xvi), (xxix) and (xxxiii) through (xli).
“Rating Agency”: Standard & Poor's or Moody's and each of their successors. If such agencies and their successors are no longer in existence, “Rating Agency” shall be such nationally recognized statistical rating agency, or other comparable Person, designated by the Depositor, notice of which designation shall be given to the Trustee and Master Servicer. References herein to the two highest long term debt rating of a Rating Agency shall mean “AA” or better in the case of Standard & Poor's and “Aa2” or better in the case of Moody's and references herein to the highest short-term debt rating of a Rating Agency shall mean “A-1+” in the case of Standard & Poor's and “P-1” in the case of Moody's, and in the case of any other Rating Agency such references shall mean such rating categories without regard to any plus or minus.
“Realized Loss”: With respect to each Mortgage Loan or REO Property as to which a Cash Liquidation or REO Disposition has occurred, an amount (not less than zero) equal to (i) the Stated Principal Balance of the Mortgage Loan as of the date of Cash Liquidation or REO Disposition, plus (ii) interest (and REO Imputed Interest, if any) at the Net Mortgage Rate from the Due Date as to which interest was last paid or advanced to Certificateholders up to the date of the Cash Liquidation or REO Disposition on the Stated Principal Balance of such Mortgage Loan outstanding during each Due Period that such interest was not paid or advanced, minus (iii) the proceeds, if any, received during the month in which such Cash Liquidation or REO Disposition occurred, to the extent applied as recoveries of interest at the Net Mortgage Rate and to principal of the Mortgage Loan, net of the portion thereof reimbursable to the Master Servicer or any Sub-Servicer with respect to Advances or Servicing Advances not previously reimbursed. With respect to each Mortgage Loan which has become the subject of a Deficient Valuation, the difference between the principal balance of the Mortgage Loan outstanding immediately prior to such Deficient Valuation and the principal balance of the Mortgage Loan as reduced by the Deficient Valuation.
“Record Date”: With respect to each Distribution Date and the Offered Certificates, so long as such Certificates are Book-Entry Certificates, the Business Day prior to such Distribution Date. With respect to any Offered Certificates which are not Book-Entry Certificates, the close of business on the last Business Day of the month preceding the month in which such Distribution Date occurs.
“Regular Certificate”: Any of the Certificates other than the Class R Certificates.
“Regulation AB” Subpart 229,1100 - Asset Backed Securities (Regulation AB), 17 C.F.R. §§229.1100-229.1123, as such may be amended from time to time, and subject to such clarification and interpretation as have been provided by the Commission in the adopting release (Asset-Backed Securities, Securities Act Release No. 33-8518, 70 Fed. Reg. 1,506, 1,531 (Jan.7, 2005)) or by the staff of the Commission, or as may be provided by the Commission or its staff from time to time.
“Relief Act”: The Servicemembers Relief Act, as amended, and similar legislation or regulations.
“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 Due Period as a result of the application of the Relief Act, the amount by which (i) interest collectible on such Mortgage Loan during such Due Period is less than (ii) one month's interest on the Stated Principal Balance of such Mortgage Loan at the Loan Rate for such Mortgage Loan before giving effect to the application of the Relief Act.
“REMIC”: A “real estate mortgage investment conduit” within the meaning of Section 860D of the Code.
“REMIC 1”: The segregated pool of assets subject hereto (exclusive of any Net WAC Shortfall Reserve Fund, any Master Servicer Prepayment Charge Payment Amounts and, for the avoidance of doubt, any Supplemental Interest Trust, any Swap Account and any Interest Rate Swap Agreement) with respect to which a REMIC election is to be made, conveyed in trust to the Trustee, for the benefit of the holders of the REMIC 1 Regular Interests and the Holders of the Class R Certificates (in respect of the Class R-1 Interest), consisting of: (i) each Mortgage Loan (exclusive of payments of principal and interest due on or before the Cut-off Date, if any, received by the Master Servicer, which shall not constitute an asset of the Trust Fund) as from time to time are subject to this Agreement and all payments under and proceeds of such Mortgage Loans (exclusive of any late payment charges received on the Mortgage Loans), together with all documents included in the related Mortgage File, subject to Section 2.01; (ii) such funds or assets as from time to time are deposited in the Custodial Account or the Certificate Account and belonging to the Trust Fund; (iii) any REO Property; (iv) the Primary Hazard Insurance Policies, if any, the Primary Insurance Policies, if any, and all other Insurance Policies with respect to such Mortgage Loans; and (v) the Company’s interest in respect of the representations and warranties made by the Sponsor in the Mortgage Loan Purchase Agreement as assigned to the Trustee pursuant to Section 2.04 hereof.
“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 Principal 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 Interests 1-1-A through REMIC 1 Regular Interest 1-81-B, REMIC 1 Regular Interest OC and REMIC 1 Regular Interest P, each as designated in the Preliminary Statement hereto.
“REMIC 2”: The segregated pool of assets consisting of all of the REMIC 1 Regular Interests conveyed in trust to the Trustee, for the benefit of the holders of the REMIC 2 Regular Interests and the Holders of the Class R Certificates (in respect of the Class R-2 Interest), pursuant to Article II hereunder, with respect to which a separate REMIC election is to be made.
“REMIC 2 Interest Loss Allocation Amount”: With respect to any Distribution Date, an amount (subject to adjustment based on the actual number of days elapsed in the respective Accrual Period) equal to (a) the sum of (x) the product of (i) the aggregate Stated Principal Balance of the Mortgage Loans and the REO Properties then outstanding, plus the Pre-Funded Amount, if any, for such Distribution Date, minus the Certificate Principal Balance of the Class P Certificates, and (ii) the Uncertificated REMIC 2 Pass-Through Rate for REMIC 2 Regular Interest AA minus the Marker Rate, and (y) the accrued interest on REMIC 2 Regular Interest P, divided by (b) 12.
“REMIC 2 Overcollateralized Amount”: With respect to any date of determination, (i) 1.00% of the aggregate Uncertificated Principal Balance of the REMIC 2 Regular Interests, other than REMIC 2 Regular Interest P, minus (ii) the aggregate Uncertificated Principal Balance of each REMIC 2 Regular Interest for which a Class A, Class M or Class B Certificate is a Corresponding Certificate, in each case, as of such date of determination.
“REMIC 2 Overcollateralization Target Amount”: 1.00% of the Overcollateralization Target Amount.
“REMIC 2 Principal Loss Allocation Amount”: With respect to any Distribution Date, an amount equal to the product of (i) the aggregate Stated Principal Balance of the Mortgage Loans and the REO Properties then outstanding, plus the Pre-Funded Amount, if any, for such Distribution Date, minus the Certificate Principal Balance of the Class P Certificates, and (ii) 1 minus a fraction, the numerator of which is two (2) times the aggregate Uncertificated Principal Balance of each REMIC 2 Regular Interest for which a Class A, Class M or Class B Certificate is a Corresponding Certificate and the denominator of which is the aggregate Uncertificated Principal Balance of each REMIC 2 Regular Interest for which a Class A, Class M or Class B Certificate is a Corresponding Certificate and REMIC 2 Regular Interest ZZ.
“REMIC 2 Regular Interest”: Any of the separate non-certificated beneficial ownership interests in REMIC 2 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 (except for the REMIC 2 Regular Interests IO) shall be entitled to distributions of principal, subject to the terms and conditions hereof, in an aggregate amount equal to its initial Uncertificated Principal 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.
“REMIC 3”: The segregated pool of assets consisting of all of the REMIC 2Regular Interests conveyed in trust to the Trustee, for the benefit of the holders of the Regular 3 Regular Interests and the Holders of the Class R Certificates (in respect 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 3 Regular Interest”: The Class IO Interest or any Regular Interest in REMIC 3 the ownership of which is represented by any of the Regular Certificates.
“REMIC Provisions”: Provisions of the federal income tax law relating to real estate mortgage investment conduits, which appear at Sections 860A through 860G of Subchapter M of Chapter 1 of the Code, and related provisions, and proposed, temporary and final regulations and published rulings, notices and announcements promulgated thereunder, as the foregoing may be in effect from time to time.
“REMIC Regular Interest”: A REMIC 1 Regular Interest or REMIC 2 Regular Interest.
“Remittance Report”: A report prepared by the Master Servicer providing the information set forth in Exhibit E attached hereto.
“REO Acquisition”: The acquisition by the Master Servicer on behalf of the Trustee for the benefit of the Certificateholders of any REO Property pursuant to Section 3.15.
“REO Disposition”: The receipt by the Master Servicer of Insurance Proceeds, Liquidation Proceeds and other payments and recoveries (including proceeds of a final sale) which the Master Servicer expects to be finally recoverable from the sale or other disposition of the REO Property.
“REO Imputed Interest”: As to any REO Property, for any period, an amount equivalent to interest (at the Mortgage Rate that would have been applicable to the related Mortgage Loan had it been outstanding) on the unpaid principal balance of the Mortgage Loan as of the date of acquisition thereof (as such balance is reduced pursuant to Section 3.15 by any income from the REO Property treated as a recovery of principal).
“REO Proceeds”: Proceeds, net of directly related expenses, received in respect of any REO Property (including, without limitation, proceeds from the rental of the related Mortgaged Property and of any REO Disposition), which proceeds are required to be deposited into the Custodial Account as and when received.
“REO Property”: A Mortgaged Property acquired by the Master Servicer on behalf of the Trust Fund through foreclosure or deed-in-lieu of foreclosure in connection with a defaulted Mortgage Loan.
“Request for Release”: A release signed by a Servicing Officer, in the form of Exhibits F-1 or F-2 attached hereto.
“Residual Certificate”: Any of the Class R Certificates.
“Residual Interest”: The sole class of “residual interests” in a REMIC within the meaning of Section 860G(a)(2) of the Code.
“Responsible Officer”: When used with respect to the Trustee, the Chairman or Vice Chairman of the Board of Directors or Trustees, the Chairman or Vice Chairman of the Executive or Standing Committee of the Board of Directors or Trustees, the President, the Chairman of the Committee on Trust Matters, any vice president, any assistant vice president, the Secretary, any assistant secretary, the Treasurer, any assistant treasurer, any trust officer or assistant trust officer or any other officer of the Trustee customarily performing functions similar to those performed by any of the above designated officers and also, with respect to a particular matter, any other officer to whom such matter is referred because of such officer's knowledge of and familiarity with the particular subject.
“Servicing Account”: The account or accounts created and maintained pursuant to Section 3.09.
“Servicing Advances”: All customary, reasonable and necessary “out of pocket” costs and expenses incurred in connection with a default, delinquency or other unanticipated event in the performance by the Master Servicer or any Sub-Servicer of its servicing obligations, including, but not limited to, the cost of (i) the preservation, restoration and protection of a Mortgaged Property, (ii) any enforcement or judicial proceedings, including foreclosures, including any expenses incurred in relation to any such proceedings that result from the Mortgage Loan being registered on the MERS System, (iii) the management and liquidation of any REO Property, including reasonable fees paid to any independent contractor in connection therewith, and (iv) compliance with the obligations under the second paragraph of Section 3.01, Section 3.09 and Section 3.13 (other than any deductible described in the last paragraph thereof).
“Servicing Criteria” The “servicing criteria” set forth in Item 1122(d) of Regulation AB, as such may be amended from time to time, or those Servicing Criteria otherwise mutually agreed to by Sponsor, the Master Servicer and the applicable Sub-Servicer in response to evolving interpretations of Regulation AB and incorporated into a revised Exhibit N.
“Servicing Guide”: The Impac Funding Corporation Servicing Guide attached hereto as Exhibit K.
“Servicing Officer”: Any officer of the Master Servicer involved in, or responsible for, the administration and servicing of the Mortgage Loans, whose name and specimen signature appear on a list of servicing officers furnished to the Trustee by the Master Servicer, as such list may from time to time be amended.
“Single Certificate”: A Regular Certificate of any Class (other than a Class P Certificate) evidencing an Initial Certificate Principal Balance of $1,000, or, in the case of a Class P Certificate, a Certificate of such Class evidencing an Initial Certificate Principal Balance of $100.
“Sponsor”: Impac Funding Corporation, or its successor in interest, in its capacity as seller under the Mortgage Loan Purchase Agreement.
“Standard & Poor’s”: Standard & Poor's Ratings Services, a division of The McGraw Hill Companies, Inc., or its successor in interest.
“Startup Day”: The day designated as such pursuant to Article X hereof.
“Stated Principal Balance”: With respect to any Mortgage Loan or related REO Property at any given time, (i) the principal balance of the Mortgage Loan outstanding as of the Cut-off Date, after application of principal payments due on or before such date, whether or not received, minus (ii) the sum of (a) the principal portion of the Monthly Payments due with respect to such Mortgage Loan or REO Property during each Due Period ending prior to the most recent Distribution Date which were received or with respect to which an Advance was made, and (b) all Principal Prepayments with respect to such Mortgage Loan or REO Property, and all Insurance Proceeds, Liquidation Proceeds and REO Proceeds to the extent applied by the Master Servicer as recoveries of principal in accordance with Section 3.15 with respect to such Mortgage Loan or REO Property, which were distributed pursuant to Section 4.01 on any previous Distribution Date, and (c) any Realized Loss with respect thereto allocated pursuant to Section 4.07 for any previous Distribution Date.
“Step-Up Date”: The first Distribution Date following the first month in which the aggregate unpaid principal balance of the Mortgage Loans, and properties acquired in respect thereof, remaining in the trust has been reduced to less than or equal to 10% of the Cut-off Date Balance.
“Stepdown Date”: The earlier of (i) the first Distribution Date on which the aggregate Certificate Principal Balance of the Class A Certificates has been reduced to zero and (ii) the later to occur of (x) the Distribution Date occurring in October 2009 and (y) the first Distribution Date on which the aggregate Certificate Principal Balance of the Class A Certificates (calculated for this purpose only after taking into account the receipt of principal on the Mortgage Loans, but prior to any distribution of principal to the holders of the Certificates) is less than or equal to approximately 85.50% of the aggregate principal balance of the Mortgage Loans, calculated after giving effect to scheduled payments of principal due during the related Due Period, to the extent received or advanced, and unscheduled collections of principal received during the related Prepayment Period.
“Stepdown Target Subordination Percentage”: For each class of Subordinate Certificates, the respective percentages indicated in the following table:
Stepdown Target Subordination Percentage | |
Class M-1 | 12.10% |
Class M-2 | 9.80% |
Class M-3 | 8.40% |
Class M-4 | 7.10% |
Class M-5 | 6.10% |
Class M-6 | 5.00% |
Class M-7 | 4.00% |
Class M-8 | 3.00% |
Class B | 2.00% |
“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 and Class B Certificates.
“Subordinate Class Principal Distribution Amount”: For any class of 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 B Certificates and any Distribution Date, the excess of (1) the sum of (a) the aggregate Certificate Principal Balance of the Class A Certificates (after taking into account distribution of the Class A Principal Distribution Amount for such Distribution Date), (b) the aggregate Certificate Principal Balance of any class(es) of 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 that are senior to the subject class (in each case, after taking into account distribution of the Subordinate Class Principal Distribution Amount(s) for such senior class(es) of Certificates for such Distribution Date) and (c) the Certificate Principal Balance of the subject class of 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 B Certificates immediately prior to such Distribution Date over (2) the lesser of (a) the product of (x) 100% minus the Stepdown Target Subordination Percentage for the subject class of Certificates and (y) the aggregate Stated Principal Balance of the Mortgage Loans for such Distribution Date and (b) the aggregate Stated Principal Balance of the Mortgage Loans for such Distribution Date minus the Overcollateralization Floor; provided, however, that if such class of 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 B Certificates is the only class of Subordinate Certificates outstanding on such Distribution Date, that class will be entitled to receive the entire remaining Principal Distribution Amount until the Certificate Principal Balance thereof is reduced to zero.
“Subsequent Recoveries”: Any Liquidation Proceeds (net of amounts owed to the Master Servicer or any Sub-Servicer with respect to the Mortgage Loan) received after the final liquidation of a Mortgage Loan. If Subsequent Recoveries are received, they will be included as part of the Principal Remittance Amount for the following Distribution Date and distributed in accordance with the priorities described in Section 4.01 of this Agreement. In addition, after giving effect to all distributions on a Distribution Date, if any Allocated Realized Loss Amounts are outstanding, the Allocated Realized Loss Amount for the class of Offered Certificates then outstanding with the highest distribution priority will be decreased by the amount of such Subsequent Recoveries until reduced to zero (with any remaining Subsequent Recoveries applied to reduce the Allocated Realized Loss Amount of the class with the next highest distribution priority), and the Certificate Principal Balance of such class or classes of Offered Certificates will be increased by the same amount. Thereafter, such class or classes of Offered Certificates will accrue interest on the increased Certificate Principal Balance.
“Sub-Servicer”: Any Person with which the Master Servicer has entered into a Sub-Servicing Agreement and which meets the qualifications of a Sub-Servicer pursuant to Section 3.02.
“Sub-Servicer Remittance Date”: The 18th day of each month, or if such day is not a Business Day, the immediately preceding Business Day.
“Sub-Servicing Account”: An account established by a Sub-Servicer which meets the requirements set forth in Section 3.08 and is otherwise acceptable to the Master Servicer.
“Sub-Servicing Agreement”: The written contract between the Master Servicer and a Sub-Servicer and any successor Sub-Servicer relating to servicing and administration of certain Mortgage Loans as provided in Section 3.02.
“Sub-Servicing Fees”: With respect to each Mortgage Loan, accrued interest at the Sub-Servicing Fee Rate with respect to the Mortgage Loan on the same principal balance on which interest on the Mortgage Loan accrues for the calendar month. The Sub-Servicing Fees consist of subservicing and other related compensation payable to the related Sub-Servicer or to the Master Servicer if the Master Servicer is directly servicing the loan.
“Sub-Servicing Fee Rate”: On each adjustable rate Mortgage Loan, a rate equal to 0.375% per annum. On each fixed rate first lien Mortgage Loan, a rate equal to 0.250% per annum. On each fixed rate second lien Mortgage Loan, a rate equal to 0.500% per annum.
“Substitution Adjustment”: As defined in Section 2.04 hereof.
“Supplemental Interest Trust”: The corpus of a trust created pursuant to Section 4.09 of this Agreement and designated as the “Supplemental Interest Trust,” consisting of the Interest Rate Swap Agreement, the Class IO Interest and the Swap Account. For the avoidance of doubt, the Supplemental Interest Trust does not constitute a part of the Trust Fund.
“Swap Account”: As defined in Section 4.09(i).
“Swap LIBOR”: LIBOR as determined pursuant to the Interest Rate Swap Agreement.
“Swap Novation Agreement”: The Novation confirmation dated as of the Closing Date among Impac Mortgage Holdings, Inc. as the transferor, Deutsche Bank National Trust Company as Supplemental Interest Trust Trustee of the Supplemental Interest Trust as the transferee and Lehman Brothers Special Financing Inc. as the remaining party, a form of which is attached hereto as Exhibit P.
“Swap Optional Termination Payment”: As defined in Section 9.01 hereof.
“Swap Provider”: The swap provider under the Interest Rate Swap Agreement either (a) entitled to receive payments from the Supplemental Interest Trust from amounts payable by the Trust Fund with respect to the Mortgage Loans under this Agreement or (b) required to make payments to the Supplemental Interest Trust for payment to the Trust Fund with respect to the Mortgage Loans, in either case pursuant to the terms of the Interest Rate Swap Agreement, and any successor in interest or assign. Initially, the Swap Provider shall be Lehman Brothers Special Financing Inc.
“Swap Provider Trigger Event”: With respect to any Distribution Date, (i) an Event of Default under the Interest Rate Swap Agreement with respect to which the Swap Provider is a Defaulting Party, (ii) a Termination Event under the Interest Rate Swap Agreement with respect to which the Swap Provider is the sole Affected Party, 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”: Upon the designation of an “Early Termination Date” as defined in the Interest Rate Swap Agreement, the payment to be made by the Supplemental Interest Trust to the Swap Provider, or by the Swap Provider to the Supplemental Interest Trust, as applicable, pursuant to the terms of the Interest Rate Swap Agreement.
“Tax Matters Person”: The person designated as “tax matters person” in the manner provided under Treasury Regulation Sections 1.860F-4(d) and 301.6231(a)(7)-1T. The Holder of the greatest Percentage Interest in a class of Residual Interests in a REMIC shall be the Tax Matters Person for the related REMIC. The Trustee, or any successor thereto or assignee thereof, shall serve as tax administrator hereunder and as agent for the related Tax Matters Person.
“Tax Returns”: The federal income tax return 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 REMIC Taxable Income or Net Loss Allocation, or any successor forms, to be filed on behalf of REMIC 1, REMIC 2 and REMIC 3 due to their classification as REMICs 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.
“Transfer”: Any direct or indirect transfer, sale, pledge, hypothecation or other form of assignment of any Ownership Interest in a Certificate.
“Transferor”: Any Person who is disposing by Transfer of any Ownership Interest in a Certificate.
“Trigger Event”: A Trigger Event is in effect with respect to any Distribution Date with respect to the Mortgage Loans if:
(1) the average three-month rolling percentage obtained by dividing (x) Aggregate Stated Principal Balance of Mortgage Loans that are 60 or more days delinquent (including for this purpose any such Mortgage Loans in foreclosure, Mortgage Loans with respect to which the related Mortgaged Property has been acquired by the trust, and Mortgage Loans discharged due to bankruptcy) by (y) the Aggregate Stated Principal Balance of the Mortgage Loans, in each case, as of the last day of the previous calendar month, exceeds 41.90% multiplied by the Credit Enhancement Percentage; or
(2) the cumulative amount of Realized Losses incurred on the Mortgage Loans from the Cut-off Date through the end of the calendar month immediately preceding such Distribution Date divided by the Cut-off Date Balance of the Mortgage Loans exceeds (i) 0.30% with respect to the Distribution Date occurring in October 2008, plus an additional 1/12th of 0.50% for each month thereafter up to and including the Distribution Date in September 2009, (ii) 0.80% with respect to the Distribution Date occurring in October 2009, plus an additional 1/12th of 0.60% for each month thereafter up to and including the Distribution Date in September 2010, (iii) 1.40% with respect to the Distribution Date occurring in October 2010, plus an additional 1/12th of 0.55% for each month thereafter up to and including the Distribution Date in September 2011, (iv) 1.95% with respect to the Distribution Date occurring in October 2011, plus an additional 1/12th of 0.35% for each month thereafter up to and including the Distribution Date in September 2012 and (v) 2.30% with respect to any Distribution Date occurring in October 2012, plus an additional 1/12th of 0.05% for each month thereafter up to and including the distribution date in September 2013 and (vi) 2.35% with respect to any distribution date occurring in October 2013 and therafter.
For purposes of the foregoing calculation, a Mortgage Loan is considered “60 days” delinquent if a payment due on the first day of a month has not been received by the second day of the second following month.
“Trust Fund”: REMIC 1, REMIC 2, REMIC 3, the Net WAC Shortfall Reserve Fund and Master Servicer Prepayment Charge Payment Amounts.
“Trustee”: Deutsche Bank National Trust Company, or its successor in interest, 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 Pass-Through Rate on the Uncertificated Principal Balance or Uncertificated Notional Amount of such REMIC Regular Interest. In each case, Uncertificated Accrued Interest will be reduced by any Net Prepayment Interest Shortfalls and Relief Act Interest Shortfalls (allocated to such REMIC Regular Interests as set forth in Section 1.03).
“Uncertificated Notional Balance”: With respect to REMIC 2 Regular Interest IO and each Distribution Date listed below, the aggregate Uncertificated Principal Balance of the REMIC 1 Regular Interests ending with the designation “A” listed below:
Distribution Date | REMIC 1 Regular Interests |
1 - 2 | 1-1-A through 1-81-A |
3 | 1-2-A through 1-81-A |
4 | 1-3-A through 1-81-A |
5 | 1-4-A through 1-81-A |
6 | 1-5-A through 1-81-A |
7 | 1-6-A through 1-81-A |
8 | 1-7-A through 1-81-A |
9 | 1-8-A through 1-81-A |
10 | 1-9-A through 1-81-A |
11 | 1-10-A through 1-81-A |
12 | 1-11-A through 1-81-A |
13 | 1-12-A through 1-81-A |
14 | 1-13-A through 1-81-A |
15 | 1-14-A through 1-81-A |
16 | 1-15-A through 1-81-A |
17 | 1-16-A through 1-81-A |
18 | 1-17-A through 1-81-A |
19 | 1-18-A through 1-81-A |
20 | 1-19-A through 1-81-A |
21 | 1-20-A through 1-81-A |
22 | 1-21-A through 1-81-A |
23 | 1-22-A through 1-81-A |
24 | 1-23-A through 1-81-A |
25 | 1-24-A through 1-81-A |
26 | 1-25-A through 1-81-A |
27 | 1-26-A through 1-81-A |
28 | 1-27-A through 1-81-A |
29 | 1-28-A through 1-81-A |
30 | 1-29-A through 1-81-A |
31 - 34 | 1-30-A through 1-81-A |
35 | 1-31-A through 1-81-A |
36 | 1-32-A through 1-81-A |
37 | 1-33-A through 1-81-A |
38 | 1-34-A through 1-81-A |
39 | 1-35-A through 1-81-A |
40 | 1-36-A through 1-81-A |
41 | 1-37-A through 1-81-A |
42 | 1-38-A through 1-81-A |
43 | 1-39-A through 1-81-A |
44 | 1-40-A through 1-81-A |
45 | 1-41-A through 1-81-A |
46 | 1-42-A through 1-81-A |
47 | 1-43-A through 1-81-A |
48 | 1-44-A through 1-81-A |
49 | 1-45-A through 1-81-A |
50 | 1-46-A through 1-81-A |
51 | 1-47-A through 1-81-A |
52 | 1-48-A through 1-81-A |
53 | 1-49-A through 1-81-A |
54 | 1-50-A through 1-81-A |
55 | 1-51-A through 1-81-A |
56 | 1-52-A through 1-81-A |
57 | 1-53-A through 1-81-A |
58 | 1-54-A through 1-81-A |
59 | 1-55-A through 1-81-A |
60 | 1-56-A through 1-81-A |
61 | 1-57-A through 1-81-A |
62 | 1-58-A through 1-81-A |
63 | 1-59-A through 1-81-A |
64 | 1-60-A through 1-81-A |
65 | 1-61-A through 1-81-A |
66 | 1-62-A through 1-81-A |
67 | 1-63-A through 1-81-A |
68 | 1-64-A through 1-81-A |
69 | 1-65-A through 1-81-A |
70 | 1-66-A through 1-81-A |
71 | 1-67-A through 1-81-A |
72 | 1-68-A through 1-81-A |
73 | 1-69-A through 1-81-A |
74 | 1-70-A through 1-81-A |
75 | 1-71-A through 1-81-A |
76 | 1-72-A through 1-81-A |
77 | 1-73-A through 1-81-A |
78 | 1-74-A through 1-81-A |
79 | 1-75-A through 1-81-A |
80 | 1-76-A through 1-81-A |
81 | 1-77-A through 1-81-A |
82 | 1-78-A through 1-81-A |
83 | 1-79-A through 1-81-A |
84 | 1-80-A through 1-81-A |
85 | 1-81-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 2 Regular Interest IO.
“Uncertificated Pass-Through Rate”: The Uncertificated REMIC 1 Pass-Through Rate or Uncertificated REMIC 2 Pass-Through Rate.
“Uncertificated Principal Balance”: With respect to each REMIC Regular Interest, the principal amount of such REMIC Regular Interest outstanding as of any date of determination. As of the Closing Date, the Uncertificated Principal Balance of each REMIC Regular Interest shall equal the amount set forth in the Preliminary Statement hereto as its initial Uncertificated Principal Balance. On each Distribution Date, the Uncertificated Principal Balance of each such REMIC Regular Interest shall be reduced by all distributions of principal made on such REMIC Regular Interest on such Distribution Date pursuant to Section 4.04 and, if and to the extent necessary and appropriate, shall be further reduced on such Distribution Date by Realized Losses as provided in Section 4.05. The Uncertificated Principal Balance of REMIC 2 Regular Interest ZZ shall be increased by interest deferrals as provided in Section 4.04(b)(ii). The Uncertificated Principal Balance of each REMIC Regular Interest shall never be less than zero.
“Uncertificated REMIC 1 Pass-Through Rate”: With respect to REMIC 1 Regular Interests P and OC and any Distribution Date, a per annum rate equal to the weighted average of the Net Mortgage Rates of the Mortgage Loans as of the first day of the month preceding the month in which such Distribution Date occurs.
With respect to each REMIC 1 Regular Interest ending with the designation “A” and any Distribution Date, a per annum rate equal to the weighted average of the Net Mortgage Rates of the Mortgage Loans as of the first day of the month preceding the month in which such Distribution Date occurs multiplied by 2, subject to a maximum rate equal to 2 multiplied by the per annum fixed rate set forth in the Interest Rate Swap Agreement to be used in determining the Net Swap Payment under such agreement for such Distribution Date.
With respect to each REMIC 1 Regular Interest ending with the designation “B” and any Distribution Date, a per annum rate equal to the greater of (x) the excess of (1) 2 multiplied by the weighted average of the Net Mortgage Rates of the Mortgage Loans as of the first day of the month preceding the month in which such Distribution Date occurs, over (2) 2 multiplied by the per annum fixed rate set forth in the Interest Rate Swap Agreement to be used in determining the Net Swap Payment under such agreement for such Distribution Date, and (y) 0.00%.
“Uncertificated REMIC 2 Pass-Through Rate”: With respect to each REMIC 2 Regular Interest (other than REMIC 2 Regular Interest IO) and any Distribution Date, a per annum rate equal to the weighted average of (i) the Uncertificated REMIC 1 Pass-Through Rates for the REMIC 1 Regular Interests ending with the designation “B”, REMIC 1 Regular Interest P and REMIC 1 Regular Interest OC for such Distribution Date, and (ii) the rates listed below for the REMIC 1 Regular Interests ending with the designation “A” for such Distribution Date, in each case weighted on the basis of the Uncertificated Principal Balances of each such REMIC 1 Regular Interest for such Distribution Date:
Distribution Date | REMIC 1 Regular Interest | Rate |
1 - 2 | 1-1-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
3 | 1-2-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A | Uncertificated REMIC 1 Pass-Through Rate | |
4 | 1-3-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-2-A | Uncertificated REMIC 1 Pass-Through Rate | |
5 | 1-4-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-3-A | Uncertificated REMIC 1 Pass-Through Rate | |
6 | 1-5-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-4-A | Uncertificated REMIC 1 Pass-Through Rate | |
7 | 1-6-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-5-A | Uncertificated REMIC 1 Pass-Through Rate | |
8 | 1-7-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-6-A | Uncertificated REMIC 1 Pass-Through Rate | |
9 | 1-8-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-7-A | Uncertificated REMIC 1 Pass-Through Rate | |
10 | 1-9-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-8-A | Uncertificated REMIC 1 Pass-Through Rate | |
11 | 1-10-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-9-A | Uncertificated REMIC 1 Pass-Through Rate | |
12 | 1-11-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-10-A | Uncertificated REMIC 1 Pass-Through Rate | |
13 | 1-12-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-11-A | Uncertificated REMIC 1 Pass-Through Rate | |
14 | 1-13-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-12-A | Uncertificated REMIC 1 Pass-Through Rate | |
15 | 1-14-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-13-A | Uncertificated REMIC 1 Pass-Through Rate | |
16 | 1-15-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-14-A | Uncertificated REMIC 1 Pass-Through Rate | |
17 | 1-16-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-15-A | Uncertificated REMIC 1 Pass-Through Rate | |
18 | 1-17-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-16-A | Uncertificated REMIC 1 Pass-Through Rate | |
19 | 1-18-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-17-A | Uncertificated REMIC 1 Pass-Through Rate | |
20 | 1-19-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-18-A | Uncertificated REMIC 1 Pass-Through Rate | |
21 | 1-20-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-19-A | Uncertificated REMIC 1 Pass-Through Rate | |
22 | 1-21-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-20-A | Uncertificated REMIC 1 Pass-Through Rate | |
23 | 1-22-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-21-A | Uncertificated REMIC 1 Pass-Through Rate | |
24 | 1-23-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-22-A | Uncertificated REMIC 1 Pass-Through Rate | |
25 | 1-24-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-23-A | Uncertificated REMIC 1 Pass-Through Rate | |
26 | 1-25-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-24-A | Uncertificated REMIC 1 Pass-Through Rate | |
27 | 1-26-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-25-A | Uncertificated REMIC 1 Pass-Through Rate | |
28 | 1-27-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-26-A | Uncertificated REMIC 1 Pass-Through Rate | |
29 | 1-28-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-27-A | Uncertificated REMIC 1 Pass-Through Rate | |
30 | 1-29-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-28-A | Uncertificated REMIC 1 Pass-Through Rate | |
31 - 34 | 1-30-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-29-A | Uncertificated REMIC 1 Pass-Through Rate | |
35 | 1-31-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-30-A | Uncertificated REMIC 1 Pass-Through Rate | |
36 | 1-32-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-31-A | Uncertificated REMIC 1 Pass-Through Rate | |
37 | 1-33-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-32-A | Uncertificated REMIC 1 Pass-Through Rate | |
38 | 1-34-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-33-A | Uncertificated REMIC 1 Pass-Through Rate | |
39 | 1-35-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-34-A | Uncertificated REMIC 1 Pass-Through Rate | |
40 | 1-36-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-35-A | Uncertificated REMIC 1 Pass-Through Rate | |
41 | 1-37-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-36-A | Uncertificated REMIC 1 Pass-Through Rate | |
42 | 1-38-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-37-A | Uncertificated REMIC 1 Pass-Through Rate | |
43 | 1-39-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-38-A | Uncertificated REMIC 1 Pass-Through Rate | |
44 | 1-40-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-39-A | Uncertificated REMIC 1 Pass-Through Rate | |
45 | 1-41-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-40-A | Uncertificated REMIC 1 Pass-Through Rate | |
46 | 1-42-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-41-A | Uncertificated REMIC 1 Pass-Through Rate | |
47 | 1-43-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-42-A | Uncertificated REMIC 1 Pass-Through Rate | |
48 | 1-44-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-43-A | Uncertificated REMIC 1 Pass-Through Rate | |
49 | 1-45-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-44-A | Uncertificated REMIC 1 Pass-Through Rate | |
50 | 1-46-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-45-A | Uncertificated REMIC 1 Pass-Through Rate | |
51 | 1-47-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-46-A | Uncertificated REMIC 1 Pass-Through Rate | |
52 | 1-48-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-47-A | Uncertificated REMIC 1 Pass-Through Rate | |
53 | 1-49-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-48-A | Uncertificated REMIC 1 Pass-Through Rate | |
54 | 1-50-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-49-A | Uncertificated REMIC 1 Pass-Through Rate | |
55 | 1-51-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-50-A | Uncertificated REMIC 1 Pass-Through Rate | |
56 | 1-52-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-51-A | Uncertificated REMIC 1 Pass-Through Rate | |
57 | 1-53-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-52-A | Uncertificated REMIC 1 Pass-Through Rate | |
58 | 1-54-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-53-A | Uncertificated REMIC 1 Pass-Through Rate | |
59 | 1-55-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-54-A | Uncertificated REMIC 1 Pass-Through Rate | |
60 | 1-56-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-55-A | Uncertificated REMIC 1 Pass-Through Rate | |
61 | 1-57-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-56-A | Uncertificated REMIC 1 Pass-Through Rate | |
62 | 1-58-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-57-A | Uncertificated REMIC 1 Pass-Through Rate | |
63 | 1-59-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-58-A | Uncertificated REMIC 1 Pass-Through Rate | |
64 | 1-60-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-59-A | Uncertificated REMIC 1 Pass-Through Rate | |
65 | 1-61-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-60-A | Uncertificated REMIC 1 Pass-Through Rate | |
66 | 1-62-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-61-A | Uncertificated REMIC 1 Pass-Through Rate | |
67 | 1-63-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-62-A | Uncertificated REMIC 1 Pass-Through Rate | |
68 | 1-64-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-63-A | Uncertificated REMIC 1 Pass-Through Rate | |
69 | 1-65-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-64-A | Uncertificated REMIC 1 Pass-Through Rate | |
70 | 1-66-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-65-A | Uncertificated REMIC 1 Pass-Through Rate | |
71 | 1-67-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-66-A | Uncertificated REMIC 1 Pass-Through Rate | |
72 | 1-68-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-67-A | Uncertificated REMIC 1 Pass-Through Rate | |
73 | 1-69-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-68-A | Uncertificated REMIC 1 Pass-Through Rate | |
74 | 1-70-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-69-A | Uncertificated REMIC 1 Pass-Through Rate | |
75 | 1-71-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-70-A | Uncertificated REMIC 1 Pass-Through Rate | |
76 | 1-72-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-71-A | Uncertificated REMIC 1 Pass-Through Rate | |
77 | 1-73-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-72-A | Uncertificated REMIC 1 Pass-Through Rate | |
78 | 1-74-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-73-A | Uncertificated REMIC 1 Pass-Through Rate | |
79 | 1-75-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-74-A | Uncertificated REMIC 1 Pass-Through Rate | |
80 | 1-76-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-75-A | Uncertificated REMIC 1 Pass-Through Rate | |
81 | 1-77-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-76-A | Uncertificated REMIC 1 Pass-Through Rate | |
82 | 1-78-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-77-A | Uncertificated REMIC 1 Pass-Through Rate | |
83 | 1-79-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-78-A | Uncertificated REMIC 1 Pass-Through Rate | |
84 | 1-80-A through 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-79-A | Uncertificated REMIC 1 Pass-Through Rate | |
85 | 1-81-A | 2 multiplied by Swap LIBOR, subject to a maximum rate of Uncertificated REMIC 1 Pass-Through Rate |
1-1-A through 1-80-A | Uncertificated REMIC 1 Pass-Through Rate | |
thereafter | 1-1-A through 1-81-A | Uncertificated REMIC 1 Pass-Through Rate |
With respect to REMIC 2 Regular Interest IO and any Distribution Date, a per annum rate equal to the excess of (i) the weighted average of the Uncertificated REMIC 1 Pass-Through Rates for the REMIC 1 Regular Interests ending with the designation “A” for such Distribution Date over (ii) 2 multiplied by Swap LIBOR for such Distribution Date.
“Uninsured Cause”: Any cause of damage to property subject to a Mortgage such that the complete restoration of such property is not fully reimbursable by the hazard insurance policies or flood insurance policies required to be maintained pursuant to Section 3.13.
“United States Person”: A citizen or resident of the United States, a corporation or a partnership (including an entity treated as a corporation or partnership for United States federal income tax purposes) created or organized in, or under the laws of, the United States or any State thereof or the District of Columbia (except, in the case of a partnership, to the extent provided in regulations) provided that, for purposes solely of the restrictions on the transfer of Class R Certificates, no partnership or other entity treated as a partnership for United States federal income tax purposes shall be treated as a United States Person unless all persons that own an interest in such partnership either directly or through any entity that is not a corporation for United States federal income tax purposes are required by the applicable operative agreement to be United States Persons or an estate whose income is subject to United States federal income tax regardless of its source, or 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 such United States Persons have the authority to control all substantial decisions of the trust. To the extent prescribed in regulations by the Secretary of the Treasury, which have not yet been issued, a trust which was in existence on August 20, 1996 (other than a trust treated as owned by the grantor under subpart E of part I of subchapter J of chapter 1 of the Code), and which was treated as a United States person on August 20, 1996 may elect to continue to be treated as a United States person notwithstanding the previous sentence.
“Unpaid Interest Shortfall Amount”: For each Class of Offered Certificates and any Distribution Date, the amount, if any, by which (a) the sum of (1) the Monthly Interest Distributable Amount for such Class for such Distribution Date and (2) the outstanding Unpaid Interest Shortfall Amount, if any, for such Class for the immediately preceding Distribution Date exceeds (b) the aggregate amount distributed on such Class in respect of interest pursuant to clause (a) of this definition on such Distribution Date, plus interest on the amount of Unpaid Interest Shortfall Amount due but not paid on such Class on the immediately preceding Distribution Date, to the extent permitted by law, at the Pass-Through Rate for such Class for the related Accrual Period.
“Voting Rights”: The portion of the voting rights of all of the Certificates which is allocated to any Certificate. At all times during the term of this Agreement, (i) 98% of all Voting Rights will be allocated among the Holders of the Class A Certificates, the Subordinate Certificates and the Class C Certificates in proportion to the then outstanding Certificate Principal Balances of their respective Certificates, (ii) 1% of all Voting Rights will be allocated to the Holders of the Class P Certificates and (iii) 1% of all Voting Rights will be allocated to the Holders of the Class R Certificates. The Voting Rights allocated to any Class of Certificates shall be allocated among all Holders of the Certificates of such Class in proportion to the outstanding Percentage Interests in such Class represented thereby.
“Weighted Average Net Mortgage Rate”: The weighted average of the Net Mortgage Rates of the Mortgage Loans, weighted on the basis of the Stated Principal Balances thereof as of the close of business on the first day of the calendar month preceding the month in which such Distribution Date occurs.
Section 1.02. | Determination of LIBOR. |
LIBOR applicable to the calculation of the Pass-Through Rate on the Class A Certificates and Subordinate Certificates for any Accrual Period will be determined on each LIBOR Rate Adjustment Date.
On each LIBOR Rate Adjustment Date, LIBOR shall be established by the Trustee and, as to any Accrual Period, will equal the rate for one month United States dollar deposits that appears on the Telerate Screen Page 3750 as of 11:00 a.m., London time, on such LIBOR Rate Adjustment Date. “Telerate Screen Page 3750” means the display designated as page 3750 on the Telerate Service (or such other page as may replace page 3750 on that service for the purpose of displaying London interbank offered rates of major banks). If such rate does not appear on such page (or such other page as may replace that page on that service, or if such service is no longer offered, LIBOR shall be so established by use of such other service for displaying LIBOR or comparable rates as may be selected by the Trustee after consultation with the Master Servicer), the rate will be the Reference Bank Rate. The “Reference Bank Rate” will be determined on the basis of the rates at which deposits in U.S. Dollars are offered by the reference banks (which shall be any three major banks that are engaged in transactions in the London interbank market, selected by the Trustee after consultation with the Master Servicer) as of 11:00 a.m., London time, on the LIBOR Rate Adjustment Date to prime banks in the London interbank market for a period of one month in amounts approximately equal to the aggregate Certificate Principal Balance of the Class A Certificates and Subordinate Certificates then outstanding. The Trustee will request the principal London office of each of the reference banks to provide a quotation of its rate. If at least two such quotations are provided, the rate will be the arithmetic mean of the quotations rounded up to the next multiple of 1/16%. If on such date fewer than two quotations are provided as requested, the rate will 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 Master Servicer, 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. If no such quotations can be obtained, the rate will be LIBOR for the prior Distribution Date; provided however, if, under the priorities described above, LIBOR for a Distribution Date would be based on LIBOR for the previous Distribution Date for the third consecutive Distribution Date, the Trustee shall select an alternative comparable index after consultation with the Master Servicer (over which the Trustee has no control), used for determining one-month Eurodollar lending rates that is calculated and published (or otherwise made available) by an independent party.
The establishment of LIBOR by the Trustee on any LIBOR Rate Adjustment Date and the Trustee’s subsequent calculation of the Pass-Through Rate applicable to the Class A Certificates and Subordinate Certificates for the relevant Accrual Period, in the absence of manifest error, will be final and binding.
Promptly following each LIBOR Rate Adjustment Date the Trustee shall supply the Master Servicer with the results of its determination of LIBOR on such date. Furthermore, the Trustee will supply to any Certificateholder so requesting by telephone the Pass-Through Rate on the Class A Certificates and Subordinate Certificates for the current and the immediately preceding Accrual Period.
Section 1.03. | Allocation of Certain Interest Shortfalls. |
For purposes of calculating the amount of the Monthly Interest Distributable Amount for the Class A Certificates, the Subordinate Certificates and the Class C Certificates for any Distribution Date, the aggregate amount of any Net Prepayment Interest Shortfalls and any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans for any Distribution Date shall be allocated first, to the Class C Certificates, based on, and to the extent of, one month's interest at the then applicable Pass-Through Rate on the Notional Balance of such Certificates and, thereafter, among the Class A Certificates and the Subordinate Certificates on a pro rata basis, based on, and to the extent of, one month's interest at the then applicable respective Pass-Through Rates on the respective Certificate Principal Balances of each such Certificate.
For purposes of calculating the amount of Uncertificated Accrued Interest for the REMIC 1 Regular Interests for any Distribution Date, the aggregate amount of any Net Prepayment Interest Shortfalls and any Relief Act Interest Shortfalls incurred in respect of the Mortgage Loans shall be allocated first, to REMIC 1 Regular Interests ending with the designation “B” and REMIC 1 Regular Interests P and OC, pro rata, based on, and to the extent of, one month’s interest at the then applicable respective Uncertificated REMIC 1 Pass-Through Rates on the respective Uncertificated Principal Balances of each such REMIC 1 Regular Interest, and then, to REMIC 1 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 1 Pass-Through Rates on the respective Uncertificated Principal Balances of each such REMIC 1 Regular Interest.
For purposes of calculating the amount of Uncertificated Accrued Interest for the REMIC 2 Regular Interests (other than REMIC 2 Regular Interest IO) for any Distribution Date, the aggregate amount of any Net Prepayment Interest Shortfalls and 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 2 Regular Interest AA and REMIC 2 Regular Interest ZZ up to an aggregate amount equal to the REMIC 2 Interest Loss Allocation Amount, 98% and 2%, respectively, and thereafter among REMIC 2 Regular Interest AA, each REMIC 2 Regular Interest for which a Class A, Class B, Class M or Class P Certificate is the Corresponding Certificate and REMIC 2 Regular Interest ZZ, 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 Principal Balances of each such REMIC 2 Regular Interest.
ARTICLE II
CONVEYANCE OF MORTGAGE LOANS;
ORIGINAL ISSUANCE OF CERTIFICATES
Section 2.01. | Conveyance of Mortgage Loans. |
The Depositor, as of the Closing Date, and concurrently with the execution and delivery hereof, does hereby assign, transfer, sell, set over and otherwise convey to the Trustee without recourse all the right, title and interest of the Depositor in and to the Mortgage Loans identified on the Mortgage Loan Schedule (exclusive of any late payment charges received thereon) and all other assets included or to be included in the Trust Fund for the benefit of the Certificateholders, including the amount to be deposited by or on behalf of the Depositor into the Net WAC Shortfall Reserve Fund. Such assignment includes all principal and interest received by the Master Servicer on or with respect to the Mortgage Loans (other than payment of principal and interest due on or before the Cut-off Date).
In connection with such transfer and assignment, the Depositor has caused the Sponsor to deliver to, and deposit with the Custodian, as described in the Mortgage Loan Purchase Agreement, with respect to each Mortgage Loan, the following documents or instruments:
(i) the original Mortgage Note endorsed without recourse, “Deutsche Bank National Trust Company, as trustee under the Pooling and Servicing Agreement relating to Impac Secured Assets Corp., Mortgage Pass-Through Certificates, Series 2006-3” with all intervening endorsements showing an unbroken chain of endorsements from the originator to the Person endorsing it to the Trustee or, with respect to any Mortgage Loan as to which the original Mortgage Note has been permanently lost or destroyed and has not been replaced, a Lost Note Affidavit;
(ii) the original recorded Mortgage, noting the presence of the MIN of the Mortgage Loan and language indicating that the Mortgage Loan is a MOM Loan if the Mortgage Loan is a MOM Loan, with evidence of recording indicated thereon or, if the original Mortgage has not been returned from the public recording office, a copy of the Mortgage certified by the Sponsor or the public recording office in which such Mortgage has been recorded to be a true and complete copy of the original Mortgage submitted for recording;
(iii) unless the Mortgage Loan is registered on the MERS® System, a duly executed original Assignment of the Mortgage, without recourse, in recordable form to Deutsche Bank National Trust Company, as trustee,” or to “Deutsche Bank National Trust Company, as trustee for holders of Impac Secured Assets Corp., Mortgage Pass-Through Certificates, Series 2006-3”;
(iv) the original recorded Assignment or Assignments of the Mortgage showing an unbroken chain of assignment from the originator thereof to the Person assigning it to the Trustee (or to MERS, if the Mortgage Loan is registered on the MERS® System and noting the presence of a MIN) or, if any such Assignment has not been returned from the applicable public recording office, a copy of such Assignment certified by the Sponsor to be a true and complete copy of the original Assignment submitted to the title insurance company for recording;
(v) the original title insurance policy, or, if such policy has not been issued, any one of an original or a copy of the preliminary title report, title binder or title commitment on the Mortgaged Property with the original policy of the insurance to be delivered promptly following the receipt thereof;
(vi) a copy of the related hazard insurance policy; and
(vii) a true and correct copy of any assumption, modification, consolidation or substitution agreement.
The Sponsor is obligated as described in the Mortgage Loan Purchase Agreement, with respect to the Mortgage Loans, to deliver to the Custodian: (a) either the original recorded Mortgage, or in the event such original cannot be delivered by the Sponsor, a copy of such Mortgage certified as true and complete by the appropriate recording office, in those instances where a copy thereof certified by the Sponsor was delivered to the Custodian pursuant to clause (ii) above; and (b) either the original Assignment or Assignments of the Mortgage, with evidence of recording thereon, showing an unbroken chain of assignment from the originator to the Sponsor, or in the event such original cannot be delivered by the Sponsor, a copy of such Assignment or Assignments certified as true and complete by the appropriate recording office, in those instances where copies thereof certified by the Sponsor were delivered to the Custodian pursuant to clause (iv) above. However, pursuant to the Mortgage Loan Purchase Agreement with respect to the Mortgage Loans, the Sponsor need not cause to be recorded any assignment in any jurisdiction under the laws of which, as evidenced by an Opinion of Counsel delivered by the Sponsor to the Trustee and the Rating Agencies, the recordation of such assignment is not necessary to protect the Trustee’s interest in the related Mortgage Loan; provided, however, notwithstanding the delivery of any Opinion of Counsel, each assignment shall be submitted for recording by the Sponsor in the manner described above, at no expense to the Trust or the Trustee, upon the earliest to occur of: (i) direction by the Holders of Certificates evidencing at least 25% of the Voting Rights, (ii) the occurrence of a Event of Default, (iii) the occurrence of a bankruptcy, insolvency or foreclosure relating to the Sponsor, (iv) the occurrence of a servicing transfer as described in Section 7.02 hereof and (v) if the Sponsor is not the Master Servicer and with respect to any one assignment, the occurrence of a bankruptcy, insolvency or foreclosure relating to the Mortgagor under the related Mortgage.
Notwithstanding anything to the contrary contained in this Section 2.01, in those instances where the public recording office retains the original Mortgage after it has been recorded, the Sponsor shall be deemed to have satisfied its obligations hereunder upon delivery to the Custodian of a copy of such Mortgage certified by the public recording office to be a true and complete copy of the recorded original thereof.
If any Assignment is lost or returned unrecorded to the Custodian because of any defect therein, the Sponsor is required, as described in the Mortgage Loan Purchase Agreement with respect to the Mortgage Loans, to prepare a substitute Assignment or cure such defect, as the case may be, and the Sponsor shall cause such Assignment to be recorded in accordance with this section.
The Sponsor is required as described in the Mortgage Loan Purchase Agreement with respect to the Mortgage Loans, to exercise its best reasonable efforts to deliver or cause to be delivered to the Custodian within 120 days of the Closing Date, with respect to the Mortgage Loans, the original or a photocopy of the title insurance policy with respect to each such Mortgage Loan assigned to the Trustee pursuant to this Section 2.01.
In connection with the assignment of any Mortgage Loan registered on the MERS® System, the Sponsor further agrees that it will cause, at the Sponsor's own expense, as of the Closing Date, the MERS® System to indicate that such Mortgage Loans have been assigned by the Sponsor to the Trustee in accordance with this Agreement for the benefit of the Certificateholders and the Certificate Insurer by including (or deleting, in the case of Mortgage Loans which are repurchased in accordance with this Agreement) in such computer files (a) the code in the field which identifies the specific Trustee and (b) the code in the field “Pool Field” which identifies the series of the Certificates issued in connection with such Mortgage Loans. The Depositor further agrees that it will not, and will not permit the Master Servicer to, and the Master Servicer agrees that it will not, alter the codes referenced in this paragraph with respect to any Mortgage Loan during the term of this Agreement unless and until such Mortgage Loan is repurchased in accordance with the terms of this Agreement.
All original documents relating to the Mortgage Loans which are not delivered to the Custodian are and shall be held by the Master Servicer in trust for the benefit of the Trustee on behalf of the Certificateholders and the Certificate Insurer.
Except as may otherwise expressly be provided herein, none of the Depositor, the Master Servicer or the Trustee shall (and the Master Servicer shall ensure that no Sub-Servicer shall) assign, sell, dispose of or transfer any interest in the Trust Fund or any portion thereof, or cause the Trust Fund or any portion thereof to be subject to any lien, claim, mortgage, security interest, pledge or other encumbrance.
It is intended that the conveyance of the Mortgage Loans by the Depositor to the Trustee as provided in this Section be, and be construed as, a sale of the Mortgage Loans as provided for in this Section 2.01 by the Depositor to the Trustee for the benefit of the Certificateholders and the Certificate Insurer. It is, further, not intended that such conveyance be deemed a pledge of the Mortgage Loans by the Depositor to the Trustee to secure a debt or other obligation of the Depositor. However, in the event that the Mortgage Loans are held to be property of the Depositor, or if for any reason this Agreement is held or deemed to create a security interest in the Mortgage Loans, then it is intended that, (a) this Agreement shall also be deemed to be a security agreement within the meaning of Articles 8 and 9 of the New York Uniform Commercial Code and the Uniform Commercial Code of any other applicable jurisdiction; (b) the conveyance provided for in this Section shall be deemed to be (1) a grant by the Depositor to the Trustee of a security interest in all of the Depositor's right (including the power to convey title thereto), title and interest, whether now owned or hereafter acquired, in and to (A) the Mortgage Loans, including the Mortgage Notes, the Mortgages, any related Insurance Policies and all other documents in the related Mortgage Files, (B) all amounts payable to the holders of the Mortgage Loans in accordance with the terms thereof and (C) all proceeds of the conversion, voluntary or involuntary, of the foregoing into cash, instruments, securities or other property, including without limitation all amounts from time to time held or invested in the Certificate Account or the Custodial Account, whether in the form of cash, instruments, securities or other property and (2) an assignment by the Depositor to the Trustee of any security interest in any and all of the Sponsor's right (including the power to convey title thereto), title and interest, whether now owned or hereafter acquired, in and to the property described in the foregoing clauses (1)(A) through (C); (c) the possession by the Trustee or any other Custodian or agent of the Trustee of Mortgage Notes and such other items of property as constitute instruments, money, negotiable documents or chattel paper shall be deemed to be “possession by the secured party” or possession by a purchaser or a person designated by such secured party, for purposes of perfecting the security interest pursuant to the New York Uniform Commercial Code and the Uniform Commercial Code of any other applicable jurisdiction (including, without limitation, Sections 9-115, 9-305, 8-102, 8-301, 8-501 and 8-503 thereof); and (d) notifications to persons holding such property, and acknowledgments, receipts or confirmations from persons holding such property, shall be deemed notifications to, or acknowledgments, receipts or confirmations from, financial intermediaries, bailees or agents (as applicable) of the Trustee for the purpose of perfecting such security interest under applicable law. The Depositor and the Trustee 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 Agreement.
Concurrently with the execution of this Agreement, the Interest Rate Swap Agreement shall be delivered to the Trustee. In connection therewith, the Company hereby directs the Trustee (not in its individual capacity, but solely in its capacity as such) to execute and deliver the Interest Rate Swap Agreement.
Section 2.02. | Acceptance of the Trust Fund by the Trustee. |
The Custodian, with respect to the Mortgage Files held by it, acknowledges receipt (subject to any exceptions noted in the Initial Certification described below) on behalf of the Trustee, of 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 the Mortgage Files, and that it holds or will hold such other assets included in the definition of “Trust Fund” (to the extent delivered or assigned to the Trustee), in trust for the exclusive use and benefit of all present and future Certificateholders.
The Custodian agrees, for the benefit of the Certificateholders and the Certificate Insurer, to review or cause to be reviewed on its behalf, each Mortgage File on or before the Closing Date to ascertain that all documents required to be delivered to it are in its possession, and the Custodian agrees to execute and deliver, or cause to be executed and delivered, to the Certificate Insurer, the Depositor and the Master Servicer on the Closing Date, with respect to each Mortgage Loan, an Initial Certification in the form annexed hereto as Exhibit C to the effect that, as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or any Mortgage Loan specifically identified in such certification as not covered by such certification), (i) all documents required to be delivered to it pursuant to this Agreement with respect to such Mortgage Loan are in its possession, (ii) such documents have been reviewed by it and appear regular on their face and relate to such Mortgage Loan and (iii) based on its examination and only as to the foregoing documents, the information set forth in items (i), (ii), (iii)(A) and (iv) of the definition of the “Mortgage Loan Schedule” accurately reflects information set forth in the Mortgage File. None of the Custodian, the Trustee or the Master Servicer shall be under any duty to determine whether any Mortgage File should include any of the documents specified in clause (vi) or (vii) of Section 2.01. None of the Custodian, the Trustee or the Master Servicer shall be under any duty or obligation to inspect, review or examine said documents, instruments, certificates or other papers to determine that the same are genuine, enforceable or appropriate for the represented purpose or that they have actually been recorded, or they are in recordable form or that they are other than what they purport to be on their face.
Within 90 days of the Closing Date, with respect to the Mortgage Loans, the Trustee, or the Custodian on its behalf, shall deliver to the Certificate Insurer, the Depositor and the Master Servicer a Final Certification in the form annexed hereto as Exhibit D evidencing the completeness of the Mortgage Files, with any applicable exceptions noted thereon, with respect to all of the Mortgage Loans.
If in the process of reviewing the Mortgage Files and preparing the certifications referred to above the Custodian finds any document or documents constituting a part of a Mortgage File to be missing or defective in any material respect, the Custodian shall promptly notify the Sponsor, the Master Servicer, the Certificate Insurer, the Trustee (if not the Custodian) and the Depositor. The Trustee shall promptly notify the Sponsor of such defect and request that the Sponsor cure any such defect within 60 days from the date on which the Sponsor was notified of such defect, and if the Sponsor does not cure such defect in all material respects during such period, request on behalf of the Certificateholders that the Sponsor purchase such Mortgage Loan from the Trust Fund at the Purchase Price within 90 days after the date on which the Sponsor was notified of such defect; provided that if such defect would cause the Mortgage Loan to be other than a “qualified mortgage” as defined in Section 860G(a)(3) of the Code, any such cure or repurchase must occur within 90 days from the date such breach was discovered. It is understood and agreed that the obligation of the Sponsor to cure a material defect in, or purchase any Mortgage Loan as to which a material defect in a constituent document exists shall constitute the sole remedy respecting such defect available to Certificateholders, the Certificate Insurer or the Trustee on behalf of Certificateholders. The Purchase Price for the purchased Mortgage Loan shall be deposited or caused to be deposited upon receipt by the Master Servicer in the Custodial Account and, upon receipt by the Trustee of written notification of such deposit signed by a Servicing Officer, the Custodian shall release or cause to be released to the Sponsor the related Mortgage File and shall execute and deliver such instruments of transfer or assignment, in each case without recourse, as the Sponsor shall require as necessary to vest in the Sponsor ownership of any Mortgage Loan released pursuant hereto and at such time the Trustee and the Custodian shall have no further responsibility with respect to the related Mortgage File. In furtherance of the foregoing, if the Sponsor is not a member of MERS and the Mortgage is registered on the MERS® System, the Master Servicer, at its own expense and without any right of reimbursement, shall cause MERS to execute and deliver an assignment of the Mortgage in recordable form to transfer the Mortgage from MERS to the Sponsor and shall cause such Mortgage to be removed from registration on the MERS® System in accordance with MERS' rules and regulations.
Section 2.03. | Representations, Warranties and Covenants of the Master Servicer and the Depositor. |
(a) The Master Servicer hereby represents and warrants to and covenants with the Depositor and the Trustee for the benefit of Certificateholders and the Certificate Insurer that:
(i) The Master Servicer is, and throughout the term hereof shall remain, a corporation duly organized, validly existing and in good standing under the laws of the state of its incorporation (except as otherwise permitted pursuant to Section 6.02), the Master Servicer is, and shall remain, in compliance with the laws of each state in which any Mortgaged Property is located to the extent necessary to perform its obligations under this Agreement, and the Master Servicer is, and shall remain, approved to sell mortgage loans to and service mortgage loans for Fannie Mae and Freddie Mac;
(ii) The execution and delivery of this Agreement by the Master Servicer, and the performance and compliance with the terms of this Agreement by the Master Servicer, will not violate the Master Servicer's articles of incorporation or bylaws or constitute a default (or an event which, with notice or lapse of time, or both, would constitute a default) under, or result in the breach of, any material agreement or other instrument to which it is a party or which is applicable to it or any of its assets;
(iii) The Master Servicer has the full power and authority to enter into and consummate all transactions contemplated by this Agreement, has duly authorized the execution, delivery and performance of this Agreement, and has duly executed and delivered this Agreement;
(iv) This Agreement, assuming due authorization, execution and delivery by the Depositor and the Trustee, constitutes a valid, legal and binding obligation of the Master Servicer, enforceable against the Master Servicer in accordance with the terms hereof, subject to (A) applicable bankruptcy, insolvency, reorganization, moratorium and other laws affecting the enforcement of creditors' rights generally, and (B) general principles of equity, regardless of whether such enforcement is considered in a proceeding in equity or at law;
(v) The Master Servicer is not in violation of, and its execution and delivery of this Agreement and its performance and compliance with the terms of this Agreement will not constitute a violation of, any law, any order or decree of any court or arbiter, or any order, regulation or demand of any federal, state or local governmental or regulatory authority, which violation is likely to affect materially and adversely either the ability of the Master Servicer to perform its obligations under this Agreement or the financial condition of the Master Servicer;
(vi) No litigation is pending (other than litigation with respect to which pleadings or documents have been filed with a court, but not served on the Master Servicer) or, to the best of the Master Servicer's knowledge, threatened against the Master Servicer which would prohibit its entering into this Agreement or performing its obligations under this Agreement or is likely to affect materially and adversely either the ability of the Master Servicer to perform its obligations under this Agreement or the financial condition of the Master Servicer;
(vii) The Master Servicer will comply in all material respects in the performance of this Agreement with all reasonable rules and requirements of each insurer under each Insurance Policy;
(viii) The execution of this Agreement and the performance of the Master Servicer's obligations hereunder do not require any license, consent or approval of any state or federal court, agency, regulatory authority or other governmental body having jurisdiction over the Master Servicer, other than such as have been obtained;
(ix) No information, certificate of an officer, statement furnished in writing or report delivered to the Depositor, any affiliate of the Depositor or the Trustee by the Master Servicer in its capacity as Master Servicer, and not in its capacity as a Sponsor hereunder, will, to the knowledge of the Master Servicer, contain any untrue statement of a material fact;
(x) The Master Servicer will not waive any Prepayment Charge unless it is waived in accordance with the standard set forth in Section 3.01; and
(xi) The Master Servicer is a member of MERS in good standing, and will comply in all material respects with the rules and procedures of MERS in connection with the servicing of the Mortgage Loans that are registered with MERS.
It is understood and agreed that the representations, warranties and covenants set forth in this Section 2.03(a) shall survive the execution and delivery of this Agreement, and shall inure to the benefit of the Depositor, the Trustee, the Certificate Insurer and the Certificateholders. Upon discovery by the Depositor, the Trustee, the Certificate Insurer or the Master Servicer of a breach of any of the foregoing representations, warranties and covenants that materially and adversely affects the interests of the Depositor or the Trustee, the party discovering such breach shall give prompt written notice to the other parties. Notwithstanding the foregoing, within 90 days of the earlier of discovery by the Master Servicer or receipt of notice by the Master Servicer of the breach of the covenant of the Master Servicer set forth in Section 2.03(x) above which materially and adversely affects the interests of the Holders of the Class P Certificates in any Prepayment Charge, the Master Servicer shall remedy such breach as follows: the Master Servicer shall pay the amount of such waived Prepayment Charge, for the benefit of the Holders of the Class P Certificates, by depositing such amount into the Custodial Account (net of any amount actually collected by the Master Servicer in respect of such Prepayment Charge and remitted by the Master Servicer, for the benefit of the Holders of the Class P Certificates, in respect of such Prepayment Charge, into the Custodial Account). The foregoing shall not, however, limit any remedies available to the Certificateholders, the Depositor, the Certificate Insurer or the Trustee on behalf of the Certificateholders, pursuant to the Mortgage Loan Purchase Agreement respecting a breach of any of the representations, warranties and covenants contained in the Mortgage Loan Purchase Agreement.
(b) The Depositor hereby represents and warrants to the Master Servicer and the Trustee for the benefit of Certificateholders and the Certificate Insurer that as of the Closing Date, the representations and warranties of the Sponsor with respect to the Mortgage Loans and the remedies therefor that are contained in the Mortgage Loan Purchase Agreement are as set forth in Exhibit I hereto.
It is understood and agreed that the representations and warranties set forth in this Section 2.03(b) shall survive delivery of the respective Mortgage Files to the Custodian, on behalf of the Trustee.
Upon discovery by either the Depositor, the Master Servicer, the Certificate Insurer or the Trustee of a breach of any representation or warranty set forth in this Section 2.03 which materially and adversely affects the interests of the Certificateholders or the Certificate Insurer in any Mortgage Loan, the party discovering such breach shall give prompt written notice to the other parties.
Section 2.04. | Representations and Warranties of the Sponsor. |
The Depositor hereby assigns to the Trustee for the benefit of Certificateholders and the Certificate Insurer all of its rights (but none of its obligations) in, to and under the Mortgage Loan Purchase Agreement. Insofar as the Mortgage Loan Purchase Agreement relates to such representations and warranties and any remedies provided thereunder for any breach of such representations and warranties, such right, title and interest may be enforced by the Trustee on behalf of the Certificateholders. Upon the discovery by the Depositor, the Master Servicer, the Certificate Insurer or the Trustee of a breach of any of the representations and warranties made in the Mortgage Loan Purchase Agreement in respect of any Mortgage Loan which materially and adversely affects the interests of the Certificateholders or the Certificate Insurer in such Mortgage Loan, the party discovering such breach shall give prompt written notice to the other parties. The Trustee shall promptly notify the Sponsor of such breach and request that the Sponsor shall, within 90 days from the date that the Sponsor was notified or otherwise obtained knowledge of such breach, either (i) cure such breach in all material respects or (ii) purchase such Mortgage Loan from the Trust Fund at the Purchase Price and in the manner set forth in Section 2.02; provided that if such breach would cause the Mortgage Loan to be other than a “qualified mortgage” as defined in Section 860G(a)(3) of the Code, any such cure or repurchase must occur within 90 days from the date such breach was discovered. However, in the case of a breach under the Mortgage Loan Purchase Agreement, subject to the approval of the Depositor the Sponsor shall have the option to substitute a Qualified Substitute Mortgage Loan or Loans for such Mortgage Loan if such substitution occurs within two years following the Closing Date, except that if the breach would cause the Mortgage Loan to be other than a “qualified mortgage” as defined in Section 860G(a)(3) of the Code, any such substitution must occur within 90 days from the date the breach was discovered if such 90 day period expires before two years following the Closing Date. In the event that the Sponsor elects to substitute a Qualified Substitute Mortgage Loan or Loans for a Deleted Mortgage Loan pursuant to this Section 2.04, the Trustee shall enforce the obligation of the Sponsor under the Mortgage Loan Purchase Agreement to deliver to the Trustee and the Master Servicer, as appropriate, with respect to such Qualified Substitute Mortgage Loan or Loans, the original Mortgage Note, the Mortgage, an Assignment of the Mortgage in recordable form, and such other documents and agreements as are required by Section 2.01, with the Mortgage Note endorsed as required by Section 2.01. No substitution will be made in any calendar month after the Determination Date for such month. Monthly Payments due with respect to Qualified Substitute Mortgage Loans in the month of substitution, to the extent received by the Master Servicer or any Sub-Servicer, shall not be part of the Trust Fund and will be retained by the Master Servicer and remitted by the Master Servicer to the Sponsor on the next succeeding Distribution Date. For the month of substitution, distributions to Certificateholders will include the Monthly Payment due on a Deleted Mortgage Loan for such month and thereafter the Sponsor shall be entitled to retain all amounts received in respect of such Deleted Mortgage Loan. The Depositor shall amend or cause to be amended the Mortgage Loan Schedule for the benefit of the Certificateholders and the Certificate Insurer to reflect the removal of such Deleted Mortgage Loan and the substitution of the Qualified Substitute Mortgage Loan or Loans and the Depositor shall deliver the amended Mortgage Loan Schedule to the Trustee. Upon such substitution, the Qualified Substitute Mortgage Loan or Loans shall be subject to the terms of this Agreement in all respects, the Sponsor shall be deemed to have made the representations and warranties with respect to the Qualified Substitute Mortgage Loan contained in the Mortgage Loan Purchase Agreement as of the date of substitution, and the Depositor shall be deemed to have made with respect to any Qualified Substitute Mortgage Loan or Loans, as of the date of substitution, the representations and warranties set forth in Exhibit I hereof (other than representations (xiv), (xvi), (xxix) and (xxxiii) through (xli)).
In connection with the substitution of one or more Qualified Substitute Mortgage Loans for one or more Deleted Mortgage Loans, the Master Servicer will determine the amount (the “Substitution Adjustment”), if any, by which the aggregate principal balance of all such Qualified Substitute Mortgage Loans as of the date of substitution is less than the aggregate Stated Principal Balance of all such Deleted Mortgage Loans (in each case after application of the principal portion of the Monthly Payments due in the month of substitution that are to be distributed to Certificateholders in the month of substitution). The Trustee shall enforce the obligation of the Sponsor under the Mortgage Loan Purchase Agreement to provide the Master Servicer on the day of substitution for immediate deposit into the Custodial Account the amount of such shortfall, without any reimbursement therefor. In accordance with the Mortgage Loan Purchase Agreement, the Sponsor shall give notice in writing to the Trustee of such event, which notice shall be accompanied by an Officers’ Certificate as to the calculation of such shortfall and by an Opinion of Counsel to the effect that such substitution will not cause (a) any federal tax to be imposed on REMIC 1, REMIC 2 or REMIC 3, including without limitation, any federal tax imposed on “prohibited transactions” under Section 860F(a)(1) of the Code or on “contributions after the startup date” under Section 860G(d)(1) of the Code or (b) any of REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC at any time that any Certificate is outstanding. The costs of any substitution as described above, including any related assignments, opinions or other documentation in connection therewith shall be borne by the Sponsor.
Except as expressly set forth herein none of the Trustee or the Master Servicer is under any obligation to discover any breach of the above-mentioned representations and warranties. It is understood and agreed that the obligation of the Sponsor to cure such breach, purchase or to substitute for such Mortgage Loan as to which such a breach has occurred and is continuing shall constitute the sole remedy respecting such breach available to Certificateholders or the Trustee on behalf of Certificateholders.
Section 2.05. | Issuance of Certificates; Conveyance of REMIC Regular Interests and Acceptance of REMIC 2 and REMIC 3 by the Trustee. |
(a) The Trustee acknowledges the assignment to it of the Mortgage Loans and the delivery to it or to a Custodian on its behalf of the Mortgage Files, subject to the provisions of Sections 2.01 and 2.02, together with 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 request of the Depositor executed by an officer of the Depositor, has executed, authenticated and delivered to or upon the order of the Depositor, the Certificates in authorized denominations. The interests evidenced by the Certificates, constitute the entire beneficial ownership interest in the Trust Fund.
(b) The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all the right, title and interest of the Depositor in and to the REMIC 1 Regular Interests for the benefit of the holders of the REMIC 2 Regular Interests and Holders of the Class R Certificates (in respect of the Class R-2 Interest). The Trustee acknowledges receipt of the REMIC 1 Regular Interests (which are uncertificated) and declares that it holds and will hold the same in trust for the exclusive use and benefit of the holders of the REMIC 2 Regular Interests and Holders of the Class R Certificates (in respect of the Class R-2 Interest). The interests evidenced by the Class R-2 Interest, together with the REMIC 2 Regular Interests, constitute the entire beneficial ownership interest in REMIC 2.
(c) The Depositor, concurrently with the execution and delivery hereof, does hereby transfer, assign, set over and otherwise convey in trust to the Trustee without recourse all the right, title and interest of the Depositor in and to the REMIC 2 Regular Interests for the benefit of the holders of the REMIC 3 Regular Interests and Holders of the Class R Certificates (in respect of the Class R-3 Interest). The Trustee acknowledges receipt of the REMIC 2 Regular Interests (which are uncertificated) and declares that it holds and will hold the same in trust for the exclusive use and benefit of the holders of the REMIC 3 Regular Interests and Holders of the Class R Certificates (in respect of the Class R-3 Interest). The interests evidenced by the Class R-3 Interest, together with the REMIC 3 Regular Interests, constitute the entire beneficial ownership interest in REMIC 3.
(d) In exchange for the REMIC 2 Regular Interests and, concurrently with the assignment to the Trustee thereof, pursuant to the written request of the Depositor executed by an officer of the Depositor, the Trustee has executed, authenticated and delivered to or upon the order of the Depositor, the Regular Certificates in authorized denominations evidencing (together with the Class R-3 Interest and the Class IO Interest) the entire beneficial ownership interest in REMIC 3.
(e) Concurrently with (i) the assignment and delivery to the Trustee of REMIC 1 (including the Residual Interest therein represented by the Class R-1 Interest) and the acceptance by the Trustee thereof, (ii) the assignment and delivery to the Trustee of REMIC 2 (including the Residual Interest therein represented by the Class R-2 Interest), and (iii) the assignment and delivery to the Trustee of REMIC 3 (including the Residual Interest therein represented by the Class R-3 Interest), and the acceptance by the Trustee thereof, the Trustee, from and pursuant to the written request of the Depositor executed by an officer of the Depositor, has executed, authenticated and delivered to or upon the order of the Depositor, the Class R Certificates in authorized denominations evidencing the Class R-1 Interest, Class R-2 Interest and Class R-3 Interest.
Section 2.06. | Purposes and Powers of the Trust. |
The purpose of the common law trust, as created hereunder, is to engage in the following activities:
(a) acquire and hold the Mortgage Loans and the other assets of the Trust Fund and the proceeds therefrom;
(b) to issue the Certificates sold to the Depositor in exchange for the Mortgage Loans;
(c) to make payments on the Certificates;
(d) to engage in those activities that are necessary, suitable or convenient to accomplish the foregoing or are incidental thereto or connected therewith; and
(e) subject to compliance with this Agreement, to engage in such other activities as may be required in connection with conservation of the Trust Fund and the making of distributions to the Certificateholders.
The trust is hereby authorized to engage in the foregoing activities. The Trustee shall not knowingly and explicity cause the trust to engage in any activity other than in connection with the foregoing or other than as required or authorized by the terms of this Agreement while any Certificate is outstanding, and this Section 2.06 may not be amended, without the consent of the Certificateholders evidencing 51% or more of the aggregate voting rights of the Certificates.
ARTICLE III
ADMINISTRATION AND SERVICING
OF THE TRUST FUND
Section 3.01. | Master Servicer to Act as Master Servicer. |
The Master Servicer shall supervise, or take such actions as are necessary to ensure, the servicing and administration of the Mortgage Loans and any REO Property in accordance with this Agreement and its normal servicing practices, which generally shall conform to the standards (i) of the Servicing Guide, if Impac Funding Corporation is Master Servicer, or (ii) if Impac Funding Corporation is not the Master Servicer, of an institution prudently servicing mortgage loans for its own account and shall have full authority to do anything it reasonably deems appropriate or desirable in connection with such servicing and administration. To the extent consistent with the foregoing, the Master Servicer shall waive (or permit a Sub-Servicer to waive) a Prepayment Charge only if such waiver would maximize recovery of total proceeds taking into account the value of such Prepayment Charge and related Mortgage Loan and doing so is standard and customary in servicing mortgage loans similar to the Mortgage Loans (including any waiver of a Prepayment Charge in connection with a refinancing of a Mortgage Loan that is related to a default or a reasonably foreseeable default), and in no event will it waive a Prepayment Charge in connection with a refinancing of a Mortgage Loan that is not related to a default or a reasonably foreseeable default.
The Master Servicer may perform its responsibilities relating to servicing through other agents or independent contractors, but shall not thereby be released from any of its responsibilities as hereinafter set forth. The authority of the Master Servicer, in its capacity as master servicer, and any Sub-Servicer acting on its behalf, shall include, without limitation, the power to (i) consult with and advise any Sub-Servicer regarding administration of a related Mortgage Loan, (ii) approve any recommendation by a Sub-Servicer to foreclose on a related Mortgage Loan, (iii) supervise the filing and collection of insurance claims and take or cause to be taken such actions on behalf of the insured Person thereunder as shall be reasonably necessary to prevent the denial of coverage thereunder, and (iv) effectuate foreclosure or other conversion of the ownership of the Mortgaged Property securing a related Mortgage Loan, including the employment of attorneys, the institution of legal proceedings, the collection of deficiency judgments, the acceptance of compromise proposals, the filing of claims under any Insurance Policy and any other matter pertaining to a delinquent Mortgage Loan. The authority of the Master Servicer shall include, in addition, the power on behalf of the Certificateholders, the Trustee or any of them to (i) execute and deliver customary consents or waivers and other instruments and documents, (ii) consent to transfer of any related Mortgaged Property and assumptions of the related Mortgage Notes and Security Instruments (in the manner provided in this Agreement) and (iii) collect any Insurance Proceeds and Liquidation Proceeds. If permitted under applicable law without prejudicing any rights of the Trust Fund with respect to any Mortgage Loan, the Master Servicer, with such documentation as local law requires, acting in its own name, may pursue claims on behalf of the Trust Fund. Without limiting the generality of the foregoing, the Master Servicer and any Sub-Servicer acting on its behalf may, and is hereby authorized, and empowered by the Trustee to, execute and deliver, on behalf of itself, the Certificateholders or the Trustee or any of them, any instruments of satisfaction, cancellation, partial or full release, discharge and all other comparable instruments, with respect to the Mortgage Loans, the Insurance Policies and the accounts related thereto, and the Mortgaged Properties. The Master Servicer may exercise this power in its own name or in the name of a Sub-Servicer.
Subject to Section 3.16, the Trustee shall execute, at the written request of the Master Servicer, and furnish to the Master Servicer and any Sub-Servicer such documents as are necessary or appropriate to enable the Master Servicer or any Sub-Servicer to carry out their servicing and administrative duties hereunder, and the Trustee hereby grants to the Master Servicer a power of attorney to carry out such duties. The Trustee shall not be liable for the actions of the Master Servicer or any Sub-Servicers under such powers of attorney.
In accordance with the standards of the preceding paragraph, the Master Servicer shall advance or cause to be advanced funds as necessary for the purpose of effecting the payment of taxes and assessments on the Mortgaged Properties, which advances shall be reimbursable in the first instance from related collections from the Mortgagors pursuant to Section 3.09, and further as provided in Section 3.11; provided that the Master Servicer shall not be obligated to make such advance if, in its reasonable good faith judgment, the Master Servicer determines that such advance to be a Nonrecoverable Advance.
The Master Servicer is authorized and empowered by the Trustee, on behalf of the Certificateholders and the Trustee, in its own name or in the name of any Sub-Servicer, when the Master Servicer or such Sub-Servicer, as the case may be, believes it is appropriate in its best judgment to register any Mortgage Loan on the MERS® System, or cause the removal from the registration of any Mortgage Loan on the MERS® System, to execute and deliver, on behalf of the Trustee and the Certificateholders or any of them, any and all instruments of assignment and other comparable instruments with respect to such assignment or re-recording of a Mortgage in the name of MERS, solely as nominee for the Trustee and its successors and assigns. Any expenses incurred in connection with the actions described in the preceding sentence shall be borne by the Master Servicer in accordance with Section 3.17, with no right of reimbursement; provided, that if, as a result of MERS discontinuing or becoming unable to continue operations in connection with the MERS System, it becomes necessary to remove any Mortgage Loan from registration on the MERS System and to arrange for the assignment of the related Mortgages to the Trustee, then any related expenses shall be reimbursable to the Master Servicer from the Trust Fund.
Notwithstanding anything in this Agreement to the contrary, the Master Servicer shall not (unless the Mortgagor is in default with respect to the Mortgage Loan or such default is, in the judgment of the Master Servicer, reasonably foreseeable) make or permit any modification, waiver or amendment of any term of any Mortgage Loan that would both (i) effect an exchange or reissuance of such Mortgage Loan under Section 1001 of the Code (or Treasury regulations promulgated thereunder) and (ii) cause any of REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC under the Code or the imposition of any tax on “prohibited transactions” or “contributions” after the startup date under the REMIC Provisions.
The relationship of the Master Servicer (and of any successor to the Master Servicer under this Agreement) to the Trustee under this Agreement is intended by the parties to be that of an independent contractor and not that of a joint venturer, partner or agent.
Section 3.02. | Sub-Servicing Agreements Between Master Servicer and Sub-Servicers. |
(a) The Master Servicer may enter into Sub-Servicing Agreements with Sub-Servicers for the servicing and administration of the Mortgage Loans and for the performance of any and all other activities of the Master Servicer hereunder; provided, however, that such agreements would not result in a withdrawal or a downgrading by Standard & Poor's of its rating on any Class of Certificates. Each Sub-Servicer shall be either (i) an institution the accounts of which are insured by the FDIC or (ii) another entity that engages in the business of originating or servicing mortgage loans comparable to the Mortgage Loans, and in either case shall be authorized to transact business in the state or states in which the related Mortgaged Properties it is to service are situated, if and to the extent required by applicable law to enable the Sub-Servicer to perform its obligations hereunder and under the Sub-Servicing Agreement, and in either case shall be a Freddie Mac or Fannie Mae approved mortgage servicer. Any Sub-Servicing Agreement entered into by the Master Servicer shall include the provision that such Agreement may be immediately terminated (x) with cause and without any termination fee by any Master Servicer hereunder or (y) without cause in which case the Master Servicer shall be responsible for any termination fee or penalty resulting therefrom. In addition, each Sub-Servicing Agreement shall provide for servicing of the Mortgage Loans consistent with the terms of this Agreement. The Master Servicer and the Sub-Servicers may enter into Sub-Servicing Agreements and make amendments to the Sub-Servicing Agreements or enter into different forms of Sub-Servicing Agreements providing for, among other things, the delegation by the Master Servicer to a Sub-Servicer of additional duties regarding the administration of the Mortgage Loans; provided, however, that any such amendments or different forms shall be consistent with and not violate the provisions of this Agreement, and that no such amendment or different form shall be made or entered into which could be reasonably expected to be materially adverse to the interests of the Certificateholders, without the consent of the Holders of Certificates entitled to at least 51% of the Voting Rights. The parties hereto acknowledge that the initial Sub-Servicers shall be Countrywide and GMAC.
The Master Servicer has entered into a separate Sub-Servicing Agreement with each of Countrywide Home Loans Servicing LP and GMAC for the servicing and administration of certain of the Mortgage Loans and may enter into additional Sub-Servicing Agreements with Sub-Servicers for the servicing and administration of certain of the Mortgage Loans.
(b) As part of its servicing activities hereunder, the Master Servicer, for the benefit of the Trustee, the Certificate Insurer and the Certificateholders, shall enforce the obligations of each Sub-Servicer under the related Sub-Servicing Agreement. Such enforcement, including, without limitation, the legal prosecution of claims, termination of Sub-Servicing Agreements and the pursuit of other appropriate remedies, shall be in such form and carried out to such an extent and at such time as the Master Servicer, in its good faith business judgment, would require were it the owner of the Mortgage Loans. The Master Servicer shall pay the costs of such enforcement at its own expense, but shall be reimbursed therefor only (i) from a general recovery resulting from such enforcement only to the extent, if any, that such recovery exceeds all amounts due in respect of the Mortgage Loan or (ii) from a specific recovery of costs, expenses or attorneys' fees against the party against whom such enforcement is directed.
(c) [Reserved].
(d) The Master Servicer represents that it will cause any Sub-Servicer to accurately and fully report its borrower credit files to all three credit repositories in a timely manner.
Section 3.03. | Successor Sub-Servicers. |
The Master Servicer shall be entitled to terminate any Sub-Servicing Agreement and the rights and obligations of any Sub-Servicer pursuant to any Sub-Servicing Agreement in accordance with the terms and conditions of such Sub-Servicing Agreement. In the event of termination of any Sub-Servicer, all servicing obligations of such Sub-Servicer shall be assumed simultaneously by the Master Servicer without any act or deed on the part of such Sub-Servicer or the Master Servicer, and the Master Servicer either shall service directly the Mortgage Loans or shall enter into a Sub-Servicing Agreement with a successor Sub-Servicer which qualifies under Section 3.02.
Section 3.04. | Liability of the Master Servicer. |
Notwithstanding any Sub-Servicing Agreement, any of the provisions of this Agreement relating to agreements or arrangements between the Master Servicer and a Sub-Servicer or reference to actions taken through a Sub-Servicer or otherwise, the Master Servicer shall under all circumstances remain obligated and primarily liable to the Trustee and Certificateholders for the servicing and administering of the Mortgage Loans and any REO Property in accordance with the provisions of Article III without diminution of such obligation or liability by virtue of such Sub-Servicing Agreements or arrangements or by virtue of indemnification from the Sub-Servicer and to the same extent and under the same terms and conditions as if the Master Servicer alone were servicing and administering the Mortgage Loans. For purposes of this Agreement, the Master Servicer shall be deemed to have received payments on Mortgage Loans when the Sub-Servicer has received such payments. The Master Servicer shall be entitled to enter into any agreement with a Sub-Servicer for indemnification of the Master Servicer by such Sub-Servicer and nothing contained in this Agreement shall be deemed to limit or modify such indemnification.
Section 3.05. | No Contractual Relationship Between Sub-Servicers and Trustee or Certificateholders. |
Any Sub-Servicing Agreement that may be entered into and any transactions or services relating to the Mortgage Loans involving a Sub-Servicer in its capacity as such and not as an originator shall be deemed to be between the Sub-Servicer and the Master Servicer alone, and the Trustee and Certificateholders shall not be deemed parties thereto and shall have no claims, rights, obligations, duties or liabilities with respect to the Sub-Servicer except as set forth in Section 3.06, 3.17 and 4.03. The Master Servicer (or Sub-Servicers) shall be liable for the payment of any franchise taxes which may be assessed by the California Franchise Tax Board in connection with the activities of the Trust under this Agreement.
Section 3.06. | Assumption or Termination of Sub-Servicing Agreements by Trustee. |
(a) If the Trustee or its designee shall assume the master servicing obligations of the Master Servicer in accordance with Section 7.02 below, the Trustee, to the extent necessary to permit the Trustee to carry out the provisions of Section 7.02 with respect to the Mortgage Loans, shall succeed to all of the rights and obligations of the Master Servicer under each of the Sub-Servicing Agreements. In such event, the Trustee or its designee as the successor master servicer shall be deemed to have assumed all of the Master Servicer's rights and obligations therein and to have replaced the Master Servicer as a party to such Sub-Servicing Agreements to the same extent as if such Sub-Servicing Agreements had been assigned to the Trustee or its designee as a successor master servicer, except that the Trustee or its designee as a successor master servicer shall not be deemed to have assumed any obligations or liabilities of the Master Servicer arising prior to such assumption (other than the obligation to make any Advances hereunder) and the Master Servicer shall not thereby be relieved of any liability or obligations under such Sub-Servicing Agreements arising prior to such assumption. Nothing in the foregoing shall be deemed to entitle the Trustee or its designee as a successor master servicer at any time to receive any portion of the servicing compensation provided under Section 3.17 except for such portion as the Master Servicer would be entitled to receive.
(b) In the event that the Trustee or its designee as successor master servicer for the Trustee assumes the servicing obligations of the Master Servicer under Section 7.02, upon the reasonable request of the Trustee or such designee as successor master servicer the Master Servicer shall at its own expense deliver to the Trustee, or at its written request to such designee, photocopies of all documents, files and records, electronic or otherwise, relating to the Sub-Servicing Agreements and the related Mortgage Loans or REO Property then being serviced and an accounting of amounts collected and held by it, if any, and will otherwise cooperate and use its reasonable efforts to effect the orderly and efficient transfer of the Sub-Servicing Agreements, or responsibilities hereunder to the Trustee, or at its written request to such designee as successor master servicer.
Section 3.07. | Collection of Certain Mortgage Loan Payments. |
(a) The Master Servicer will coordinate and monitor remittances by Sub-Servicers to the Master Servicer with respect to the Mortgage Loans in accordance with this Agreement.
(b) The Master Servicer shall make its reasonable efforts to collect or cause to be collected all payments required under the terms and provisions of the Mortgage Loans and shall follow, and use its reasonable efforts to cause Sub-Servicers to follow, collection procedures comparable to the collection procedures of prudent mortgage lenders servicing mortgage loans for their own account to the extent such procedures shall be consistent with this Agreement. Consistent with the foregoing, the Master Servicer may in its discretion (i) waive or permit to be waived any late payment charge, assumption fee, or any penalty interest in connection with the prepayment of a Mortgage Loan and (ii) suspend or reduce or permit to be suspended or reduced regular monthly payments for a period of up to six months, or arrange or permit an arrangement with a Mortgagor for a scheduled liquidation of delinquencies. In the event the Master Servicer shall consent to the deferment of the due dates for payments due on a Mortgage Note, the Master Servicer shall nonetheless make an Advance or shall cause the related Sub-Servicer to make an Advance to the same extent as if such installment were due, owing and delinquent and had not been deferred through liquidation of the Mortgaged Property; provided, however, that the obligation of the Master Servicer or related Sub-Servicer to make an Advance shall apply only to the extent that such Advances are not Nonrecoverable Advances.
(c) On each Determination Date, with respect to each Mortgage Loan for which during the related Prepayment Period the Master Servicer has determined that all amounts which it expects to recover from or on account of each such Mortgage Loan have been recovered and that no further Liquidation Proceeds will be received in connection therewith, the Master Servicer shall provide to the Trustee a certificate of a Servicing Officer that such Mortgage Loan became a Liquidated Mortgage Loan in a Cash Liquidation or REO Disposition.
The Master Servicer shall make reasonable efforts to collect all payments called for under the terms and provisions of the Mortgage Loans, and shall, to the extent such procedures shall be consistent with this Agreement and the terms and provisions of any related Insurance Policy, follow such collection procedures as it would follow with respect to mortgage loans comparable to the Mortgage Loans and held for its own account. The Master Servicer shall not be required to institute or join in litigation with respect to collection of any payment (whether under a Mortgage, Mortgage Note, Primary Hazard Insurance Policy or otherwise or against any public or governmental authority with respect to a taking or condemnation) if it reasonably believes that it is prohibited by applicable law from enforcing the provision of the Mortgage or other instrument pursuant to which such payment is required. The Master Servicer shall be responsible for preparing and distributing all information statements relating to payments on the Mortgage Loans, in accordance with all applicable federal and state tax laws and regulations.
Section 3.08. | Sub-Servicing Accounts. |
In those cases where a Sub-Servicer is servicing a Mortgage Loan pursuant to a Sub-Servicing Agreement, the Sub-Servicer will be required to establish and maintain one or more accounts (collectively, the “Sub-Servicing Account”). The Sub-Servicing Account shall be an Eligible Account and shall otherwise be acceptable to the Master Servicer. All amounts held in a Sub-Servicing Account shall be held in trust for the Trustee for the benefit of the Certificateholders and the Certificate Insurer. Any investment of funds held in such an account shall be in Permitted Investments maturing not later than the Business Day immediately preceding the next Sub-Servicer Remittance Date. The Sub-Servicer will be required to deposit into the Sub-Servicing Account no later than two Business Days after receipt all proceeds of Mortgage Loans received by the Sub-Servicer, less its servicing compensation and any unreimbursed expenses and advances, to the extent permitted by the Sub-Servicing Agreement. On each Sub-Servicer Remittance Date the Sub-Servicer will be required to remit to the Master Servicer for deposit in the Custodial Account all funds held in the Sub-Servicing Account with respect to any Mortgage Loan as of the Sub-Servicer Remittance Date, after deducting from such remittance an amount equal to the servicing compensation (including interest on Permitted Investments) and unreimbursed expenses and advances to which it is then entitled pursuant to the related Sub-Servicing Agreement, to the extent not previously paid to or retained by it. In addition, on each Sub-Servicer Remittance Date the Sub-Servicer will be required to remit to the Master Servicer any amounts required to be advanced pursuant to the related Sub-Servicing Agreement. The Sub-Servicer will also be required to remit to the Master Servicer, within five Business Days of receipt, the proceeds of any Principal Prepayment made by the Mortgagor, and, on each Sub-Servicer Remittance Date, the amount of any Insurance Proceeds or Liquidation Proceeds received during the related Prepayment Period.
Section 3.09. | Collection of Taxes, Assessments and Similar Items; Servicing Accounts. |
The Master Servicer and the Sub-Servicers shall establish and maintain one or more accounts (the “Servicing Accounts”), and shall deposit and retain therein all collections from the Mortgagors (or related advances from Sub-Servicers) for the payment of taxes, assessments, Primary Hazard Insurance Policy premiums, and comparable items for the account of the Mortgagors, to the extent that the Master Servicer customarily escrows for such amounts. Withdrawals of amounts so collected from a Servicing Account may be made only to (i) effect payment of taxes, assessments, Primary Hazard Insurance Policy premiums and comparable items; (ii) reimburse the Master Servicer (or a Sub-Servicer to the extent provided in the related Sub-Servicing Agreement) out of related collections for any payments made pursuant to Sections 3.01 (with respect to taxes and assessments), and 3.13 (with respect to Primary Hazard Insurance Policies); (iii) refund to Mortgagors any sums as may be determined to be overages; (iv) payment of investment income to the extent provided in the mortgage loan documentation or (v) clear and terminate the Servicing Account at the termination of this Agreement pursuant to Section 9.01. As part of its servicing duties, the Master Servicer or Sub-Servicers shall, if and to the extent required by law, pay to the Mortgagors interest on funds in Servicing Accounts from its or their own funds, without any reimbursement therefor.
Section 3.10. | Custodial Account. |
(a) The Master Servicer shall establish and maintain one or more accounts (collectively, the “Custodial Account”) in which the Master Servicer shall deposit or cause to be deposited on a daily basis, or as and when received and identified from the Sub-Servicers, the following payments and collections received or made by or on behalf of it subsequent to the Cut-off Date with respect to the Mortgage Loans, or payments received by it prior to the Cut-off Date but allocable to a period subsequent thereto (other than in respect of principal and interest on the Mortgage Loans due on or before the Cut-off Date):
(i) all payments (including advances by a Sub-Servicer) on account of principal, including Principal Prepayments, on the Mortgage Loans;
(ii) all payments (including advances by a Sub-Servicer) on account of interest on the Mortgage Loans, net of any portion thereof retained by the Master Servicer or any Sub-Servicer as Servicing Fees;
(iii) all Insurance Proceeds, other than proceeds that represent reimbursement of costs and expenses incurred by the Master Servicer or any Sub-Servicer in connection with presenting claims under the related Insurance Policies, Liquidation Proceeds and REO Proceeds;
(iv) all proceeds of any Mortgage Loan or REO Property repurchased or purchased in accordance with Sections 2.02, 2.04, 3.14 or 9.01; and all amounts required to be deposited in connection with the substitution of a Qualified Substitute Mortgage Loan pursuant to Section 2.04; and
(v) any amounts required to be deposited pursuant to Section 3.12, 3.13, 3.15 or 3.22.
The foregoing requirements for deposit in the Custodial Account shall be exclusive. In the event the Master Servicer shall deposit in the Custodial Account any amount not required to be deposited therein, it may withdraw such amount from the Custodial Account, any provision herein to the contrary notwithstanding. The Custodial Account shall be maintained as a segregated account, separate and apart from trust funds created for mortgage pass-through certificates of other series, and the other accounts of the Master Servicer.
(b) Funds in the Custodial Account may be invested in Permitted Investments in accordance with the provisions set forth in Section 3.12. The Master Servicer shall give notice to the Trustee and the Depositor of the location of the Custodial Account after any change thereof.
Section 3.11. | Permitted Withdrawals From the Custodial Account. |
The Master Servicer may, from time to time as provided herein, make withdrawals from the Custodial Account of amounts on deposit therein pursuant to Section 3.10 that are attributable to the Mortgage Loans for the following purposes:
(i) to make deposits into the Certificate Account in the amounts and in the manner provided for in Section 4.01;
(ii) to pay to itself, the Depositor, the Sponsor or any other appropriate person, as the case may be, with respect to each Mortgage Loan that has previously been purchased or repurchased pursuant to Sections 2.02, 2.04, 3.14 or 9.01 all amounts received thereon and not yet distributed as of the date of purchase or repurchase;
(iii) to reimburse itself or any Sub-Servicer for Advances not previously reimbursed, the Master Servicer's or any Sub-Servicer's right to reimbursement pursuant to this clause (iii) being limited to amounts received which represent Late Collections (net of the related Servicing Fees) of Monthly Payments on Mortgage Loans with respect to which such Advances were made and as further provided in Section 3.15;
(iv) to reimburse or pay itself, the Trustee or the Depositor for expenses incurred by or reimbursable to the Master Servicer, the Trustee or the Depositor pursuant to Sections 3.22, 6.03, 8.05 or 10.01(g), except as otherwise provided in such Sections hereof;
(v) to reimburse itself or any Sub-Servicer for costs and expenses incurred by or reimbursable to it relating to the prosecution of any claims pursuant to Section 3.13 that are in excess of the amounts so recovered;
(vi) to reimburse itself or any Sub-Servicer for unpaid Master Servicing Fees, Sub-Servicing Fees and unreimbursed Servicing Advances, the Master Servicer's or any Sub-Servicer's right to reimbursement pursuant to this clause (vi) with respect to any Mortgage Loan being limited to late recoveries of the payments for which such advances were made pursuant to Section 3.01 or Section 3.09 and any other related Late Collections and as further provided in Section 3.15;
(vii) to pay itself as servicing compensation (in addition to the Master Servicing Fee and Sub-Servicing Fee), on or after each Distribution Date, any interest or investment income earned on funds deposited in the Custodial Account for the period ending on such Distribution Date;
(viii) to reimburse itself or any Sub-Servicer for any Advance or Servicing Advance previously made, after a Realized Loss has been allocated with respect to the related Mortgage Loan if the Advance or Servicing Advance was not reimbursed pursuant to clauses (iii) and (vi);
(ix) to pay Radian the premium under the PMI Insurer Policies;
(x) to clear and terminate the Custodial Account at the termination of this Agreement pursuant to Section 9.01; and
(xi) to reimburse itself or any Sub-Servicer from general collections for any Advance or Servicing Advance made that has been deemed by the Master Servicer to be a Nonrecoverable Advance.
The Master Servicer shall keep and maintain separate accounting records on a Mortgage Loan by Mortgage Loan basis, for the purpose of justifying any withdrawal from the Custodial Account pursuant to such subclauses (ii) through (x). Reconciliations will be prepared for the Custodial Account within 45 Calendar days after the bank statement cut-off date. All items requiring reconciliation will be resolved within 90 calendar days of their original identification.
Section 3.12. | Permitted Investments. |
Any institution maintaining the Custodial Account shall at the direction of the Master Servicer invest the funds in such account in Permitted Investments, each of which shall mature not later than (i) 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 and shall not be sold or disposed of prior to its maturity. All income and gain realized from any such investment as well as any interest earned on deposits in the Custodial Account shall be for the benefit of the Master Servicer. The Master Servicer shall deposit in the Custodial Account an amount equal to the amount of any loss incurred in respect of any such investment immediately upon realization of such loss without right of reimbursement.
The Trustee or its Affiliates are permitted to receive additional compensation that could be deemed to be in the Trustee’s economic self-interest for (i) serving as investment adviser, administrator, shareholder servicing agent, custodian or sub-custodian with respect to certain of the Permitted Investments, (ii) using Affiliates to effect transactions in certain Permitted Investments and (iii) effecting transactions in certain Permitted Investments.
Funds on deposit in the Net WAC Shortfall Reserve Fund may be invested in Permitted Investments in accordance with this Section 3.12 subject to any limitations set forth in Section 4.08 (with respect to the Net WAC Shortfall Reserve Fund) and any investment earnings or interest paid shall accrue to the Trustee and the Trustee shall deposit in the related account from its own funds the amount of any loss incurred on Permitted Investments in such account.
Section 3.13. Maintenance of Primary Hazard Insurance.
The Master Servicer shall cause to be maintained for each Mortgage Loan primary hazard insurance by a Qualified Insurer or other insurer satisfactory to the Rating Agencies with extended coverage on the related Mortgaged Property in an amount equal to the lesser of (i) 100% of the replacement value of the improvements, as determined by the insurance company, on such Mortgaged Property or (ii) the unpaid principal balance of the Mortgage Loan. The Master Servicer shall also cause to be maintained on property acquired upon foreclosure, or deed in lieu of foreclosure, of any Mortgage Loan, fire insurance with extended coverage in an amount equal to the replacement value of the improvements thereon. Any costs incurred in maintaining any insurance described in this Section 3.13 (other than any deductible described in the last paragraph hereof) shall be recoverable as a Servicing Advance. The Master Servicer shall not be obligated to advance any amounts pursuant to this Section 3.13 if, in its good faith judgment, the Master Servicer determines that such advance would be a Nonrecoverable Advance. Pursuant to Section 3.10, any amounts collected by the Master Servicer under any such policies (other than amounts to be applied to the restoration or repair of the related Mortgaged Property or property thus acquired or amounts released to the Mortgagor in accordance with the Master Servicer’s normal servicing procedures) shall be deposited in the Custodial Account, subject to withdrawal pursuant to Section 3.11. Any cost incurred by the Master Servicer in maintaining any such insurance shall not, for the purpose of calculating monthly distributions to Certificateholders, be added to the amount owing under the Mortgage Loan, notwithstanding that the terms of the Mortgage Loan so permit. It is understood and agreed that no earthquake or other additional insurance is to be required of any Mortgagor or maintained on property acquired in respect of a Mortgage Loan other than pursuant to such applicable laws and regulations as shall at any time be in force and as shall require such additional insurance.
The Master Servicer shall, or shall cause the related Sub-Servicer to, exercise its best reasonable efforts to maintain and keep in full force and effect each Primary Insurance Policy by a Qualified Insurer, or other insurer satisfactory to the Rating Agencies, with respect to each first lien Mortgage Loan as to which as of the Cut-Off Date such a Primary Insurance Policy was in effect (or, in the case of a Qualified Substitute Mortgage Loan, the date of substitution) and the original principal amount of the related Mortgage Note exceeded 80% of the Collateral Value in an amount at least equal to the excess of such original principal amount over 75% of such Collateral Value until the principal amount of any such first lien Mortgage Loan is reduced below 80% of the Collateral Value or, based upon a new appraisal, the principal amount of such first lien Mortgage Loan represents less than 80% of the new appraised value. The Master Servicer shall, or shall cause the related Sub-Servicer to, effect the timely payment of the premium on each Primary Insurance Policy. The Master Servicer and the related Sub-Servicer shall have the power to substitute for any Primary Insurance Policy another substantially equivalent policy issued by another Qualified Insurer, provided, that, such substitution shall be subject to the condition that it will not cause the ratings on the Certificates to be downgraded or withdrawn, as evidenced in writing from each Rating Agency.
The Master Servicer shall cooperate with the PMI Insurer and shall use its best efforts to furnish all reasonable aid, evidence and information in the possession of the Master Servicer or to which the Master Servicer has access with respect to any PMI Mortgage Loan.
In the event of a default by PMI Insurer under the PMI Insurer Policy (a “Replacement Event”), the Master Servicer shall use its best efforts to obtain a substitute lender-paid primary mortgage insurance policy (a “Substitute PMI Policy”), with the approval of the Certificate Insurer; provided, however, that the Master Servicer shall not be obligated, and shall have no liability for failing, to obtain a Substitute PMI Policy unless such Substitute PMI Policy can be obtained on the following terms and conditions: (i) the Certificates shall be rated no lower than the rating assigned by each Rating Agency to the Certificates immediately prior to such Replacement Event, as evidenced by a letter from each Rating Agency addressed to the Company, the Master Servicer and the Trustee, (ii) the timing and mechanism for drawing on such new Substitute PMI Policy shall be reasonably acceptable to the Master Servicer and the Trustee and (iii) the premiums under the proposed Substitute PMI Policy shall not exceed such premiums under the existing PMI Insurer Policy.
With respect to the PMI Mortgage Loans covered by a PMI Insurer Policy, the Master Servicer will confirm with PMI Insurer, and PMI Insurer will certify to the Trustee, on or before November 1, 2006, that the Mortgage Loans indicated on the Mortgage Loan Schedule as being covered by PMI Insurer Policy are so covered.
No earthquake or other additional insurance is to be required of any Mortgagor or maintained on property acquired with respect to a security instrument other than pursuant to such applicable laws and regulations as shall at any time be in force and shall require such additional insurance. When, at the time of origination of the Mortgage Loan or at any subsequent time, the Mortgaged Property is located in a federally designated special flood hazard area, the Master Servicer shall cause with respect to the Mortgage Loans and each REO Property flood insurance (to the extent available and in accordance with mortgage servicing industry practice) to be maintained. Such flood insurance shall cover the Mortgaged Property, including all items taken into account in arriving at the Collateral Value on which the Mortgage Loan was based, and shall be in an amount equal to the lesser of (i) the Stated Principal Balance of the related Mortgage Loan and (ii) the minimum amount required under the terms of coverage to compensate for any damage or loss on a replacement cost basis, but not more than the maximum amount of such insurance available for the related Mortgaged Property under either the regular or emergency programs of the National Flood Insurance Program (assuming that the area in which such Mortgaged Property is located is participating in such program). Unless applicable state law requires a higher deductible, the deductible on such flood insurance may not exceed $1,000 or 1% of the applicable amount of coverage, whichever is less.
In the event that the Master Servicer shall obtain and maintain a blanket fire insurance policy with extended coverage insuring against hazard losses on all of the Mortgage Loans, it shall conclusively be deemed to have satisfied its obligations as set forth in the first two sentences of this Section 3.13, it being understood and agreed that such policy may contain a deductible clause, in which case the Master Servicer shall, in the event that there shall not have been maintained on the related Mortgaged Property a policy complying with the first two sentences of this Section 3.13 and there shall have been a loss which would have been covered by such policy, deposit in the Certificate Account from its own funds the amount not otherwise payable under the blanket policy because of such deductible clause. Any such deposit by the Master Servicer shall be made on the Certificate Account Deposit Date next preceding the Distribution Date which occurs in the month following the month in which payments under any such policy would have been deposited in the Custodial Account. Any such deposit shall not be deemed Servicing Advances and the Master Servicer shall not be entitled to reimbursement therefor. In connection with its activities as administrator and servicer of the Mortgage Loans, the Master Servicer agrees to present, on behalf of itself, the Trustee and Certificateholders, claims under any such blanket policy.
Section 3.14. | Enforcement of Due-on-Sale Clauses; Assumption Agreements. |
The Master Servicer will, to the extent it has knowledge of any conveyance or prospective conveyance by any Mortgagor of the Mortgaged Property (whether by absolute conveyance or by contract of sale, and whether or not the Mortgagor remains or is to remain liable under the Mortgage Note or the Mortgage), exercise or cause to be exercised its rights to accelerate the maturity of such Mortgage Loan under any “due-on-sale” clause applicable thereto; provided, however, that the Master Servicer shall not exercise any such rights if it reasonably believes that it is prohibited by law from doing so. The Master Servicer or the related Sub-Servicer may repurchase a Mortgage Loan at the Purchase Price when the Master Servicer requires acceleration of the Mortgage Loan, but only if the Master Servicer is satisfied, as evidenced by an Officer's Certificate delivered to the Trustee, that either (i) such Mortgage Loan is in default or default is reasonably foreseeable or (ii) if such Mortgage Loan is not in default or default is not reasonably foreseeable, such repurchase will have no adverse tax consequences for the Trust Fund or any Certificateholder. If the Master Servicer is unable to enforce such “due-on-sale” clause (as provided in the second preceding sentence) or if no “due-on-sale” clause is applicable, the Master Servicer or the Sub-Servicer is authorized to enter into an assumption and modification agreement with the Person to whom such property has been conveyed or is proposed to be conveyed, pursuant to which such Person becomes liable under the Mortgage Note and, to the extent permitted by applicable state law, the Mortgagor remains liable thereon; provided, however, that the Master Servicer shall not enter into any assumption and modification agreement if the coverage provided under the Primary Insurance Policy, if any, would be impaired by doing so. The Master Servicer shall notify the Trustee, whenever possible, before the completion of such assumption agreement, and shall forward to the Custodian the original copy of such assumption agreement, which copy shall be added by the Custodian 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. In connection with any such assumption agreement, the interest rate on the related Mortgage Loan shall not be changed and no other material alterations in the Mortgage Loan shall be made unless such material alteration would not cause any of REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC for federal income tax purposes, as evidenced by an Opinion of Counsel. The Master Servicer is also 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 the Mortgagor and becomes liable under the Mortgage Note. Any fee collected by or on behalf of the Master Servicer for entering into an assumption or substitution of liability agreement will be retained by or on behalf of the Master Servicer as additional servicing compensation. In connection with any such assumption, no material term of the Mortgage Note (including but not limited to the Mortgage Rate, the amount of the Monthly Payment and any other term affecting the amount or timing of payment on the Mortgage Loan) may be changed. The Master Servicer shall not enter into any substitution or assumption if such substitution or assumption shall (i) both constitute a “significant modification” effecting an exchange or reissuance of such Mortgage Loan under the Code (or Treasury regulations promulgated thereunder) and cause any of REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC under the REMIC Provisions or (ii) cause the imposition of any tax on “prohibited transactions” or “contributions” after the Startup Day under the REMIC Provisions. The Master Servicer shall notify the Trustee that any such substitution or assumption agreement has been completed and shall forward to the Custodian the original copy of such substitution or assumption agreement, which copy shall be added to the related Mortgage File and 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. A portion equal to up to 2% of the Collateral Value of the related Mortgage Loan, of any fee or additional interest collected by the related Sub-Servicer for consenting in any such conveyance or entering into any such assumption agreement may be retained by the related Sub-Servicer as additional servicing compensation.
Notwithstanding the foregoing paragraph or any other provision of this Agreement, the Master 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 that the Master Servicer may be restricted by law from preventing, for any reason whatsoever. For purposes of this Section 3.14, the term “assumption” is deemed to also include a sale of a Mortgaged Property that is not accompanied by an assumption or substitution of liability agreement.
Section 3.15. | Realization Upon Defaulted Mortgage Loans. |
The Master Servicer shall exercise reasonable efforts, consistent with the procedures that the Master Servicer would use in servicing loans for its own account, to foreclose upon or otherwise comparably convert (which may include an REO Acquisition) the ownership of properties securing such of the Mortgage Loans as come into and continue in default and as to which no satisfactory arrangements can be made for collection of delinquent payments pursuant to Section 3.07, and which are not released from the Trust Fund pursuant to any other provision hereof. The Master Servicer shall use reasonable efforts to realize proceeds from such defaulted Mortgage Loans in such manner (including short sales and passing through to the Trust Fund less than the full amount it expects to receive from the related Mortgage Loan) as will maximize the receipt of principal and interest by Certificateholders, taking into account, among other things, the timing of foreclosure proceedings. The foregoing is subject to the provisions that, in any case in which Mortgaged Property shall have suffered damage from an Uninsured Cause, the Master Servicer shall not be required to expend its own funds toward the restoration of such property unless it shall determine in its sole discretion (i) that such restoration will increase the net proceeds of liquidation of the related Mortgage Loan to Certificateholders and the Certificate Insurer after reimbursement to itself for such expenses, and (ii) that such expenses will be recoverable by the Master Servicer through Insurance Proceeds or Liquidation Proceeds from the related Mortgaged Property, as contemplated in Section 3.11. The Master Servicer shall be responsible for all other costs and expenses incurred by it in any such proceedings; provided, however, that it shall be entitled to reimbursement thereof from the related property, as contemplated in Section 3.11.
The proceeds of any Cash Liquidation or REO Disposition, as well as any recovery resulting from a partial collection of Insurance Proceeds or Liquidation Proceeds or any income from an REO Property, will be deposited into the Custodial Account and applied in the following order of priority: first, to reimburse the Master Servicer or any Sub-Servicer for any related unreimbursed Servicing Advances, pursuant to Section 3.11(vi) or 3.22; second, to accrued and unpaid interest on the Mortgage Loan or REO Imputed Interest, at the Mortgage Rate, to the date of the Cash Liquidation or REO Disposition, or to the Due Date prior to the Distribution Date on which such amounts are to be distributed if not in connection with a Cash Liquidation or REO Disposition; and third, as a recovery of principal of the Mortgage Loan. If the amount of the recovery so allocated to interest is less than a full recovery thereof, that amount will be allocated as follows: first, to unpaid Master Servicing Fees or Sub-Servicing Fees; and second, to interest at the Net Mortgage Rate. The portion of the recovery so allocated to unpaid Master Servicing Fees or Sub-Servicing Fees shall be reimbursed to the Master Servicer or any Sub-Servicer pursuant to Section 3.11(vi). The portions of the recovery so allocated to interest at the Net Mortgage Rate and to principal of the Mortgage Loan shall be applied as follows: first, to reimburse the Master Servicer or any Sub-Servicer for any related unreimbursed Advances in accordance with Section 3.11(iii) or 3.22, second, payment to the PMI Insurer in accordance with Sections 3.11(ix) and third, for payment to the Trustee and distribution to the Certificateholders in accordance with the provisions of Section 4.01, subject to Section 3.22 with respect to certain recoveries from an REO Disposition constituting Excess Proceeds. To the extent the Master Servicer receives additional recoveries following a Cash Liquidation, the amount of the Realized Loss will be restated, and the additional recoveries will be passed through the Trust Fund as Liquidation Proceeds.
The Master Servicer, on behalf of the Trust, may also, in its discretion, as an alternative to foreclosure, sell defaulted Mortgage Loans at fair market value to third-parties, if the Master Servicer reasonably believes that such sale would maximize proceeds to the Certificateholders in the aggregate (on a present value basis) with respect to that Mortgage Loan.
Section 3.16. | Trustee to Cooperate; Release of Mortgage Files. |
Upon the payment in full of any Mortgage Loan, or the receipt by the Master Servicer of a notification that payment in full shall be escrowed in a manner customary for such purposes, the Master Servicer will immediately notify the Trustee by a certification (which certification shall include a statement to the effect that all amounts received or to be received in connection with such payment which are required to be deposited in the Custodial Account pursuant to Section 3.10 have been or will be so deposited) of a Servicing Officer and shall request delivery to it of the Mortgage File in the form of the Request for Release attached hereto as Exhibit F-2. Upon receipt by the Custodian of such certification and request, such Custodian shall promptly release the related Mortgage File to the Master Servicer. Subject to the receipt by the Master Servicer of the proceeds of such payment in full and the payment of all related fees and expenses, the Master Servicer shall arrange for the release to the Mortgagor of the original canceled Mortgage Note. In connection with the satisfaction of any MOM Loan, the Master Servicer is authorized to cause the removal from the registration on the MERS® System of such Mortgage. All other documents in the Mortgage File shall be retained by the Master Servicer to the extent required by applicable law. The Master Servicer shall provide for preparation of the appropriate instrument of satisfaction covering any Mortgage Loan which pays in full and the Trustee shall cooperate in the execution and return of such instrument to provide for its delivery or recording as may be required. No expenses incurred in connection with any instrument of satisfaction or deed of reconveyance shall be chargeable to the Custodial Account or the Certificate Account.
From time to time and as appropriate for the servicing or foreclosure of any Mortgage Loan, including, for this purpose, collection under any insurance policy relating to the Mortgage Loan, the Custodian shall, upon request of the Master Servicer and delivery to the Custodian of a Request for Release in the form attached hereto as Exhibit F-1, release the related Mortgage File to the Master Servicer and the Trustee shall execute such documents as the Master Servicer shall prepare and request as being necessary to the prosecution of any such proceedings. Such Request for Release shall obligate the Master Servicer to return each document previously requested from the Mortgage File to the Custodian when the need therefor by the Master Servicer no longer exists; and in any event within 21 days of the Master Servicer's receipt thereof, unless the Mortgage Loan has been liquidated and the Liquidation Proceeds relating to the Mortgage Loan have been deposited in the Custodial Account or the Mortgage File or such document has been delivered to an attorney, or to a public trustee or other public official as required by law, for purposes of initiating or pursuing legal action or other proceedings for the foreclosure of the Mortgaged Property either judicially or non-judicially, and the Master Servicer has delivered to the Trustee a certificate of a Servicing Officer certifying as to the name and address of the Person to which such Mortgage File or such document was delivered and the purpose or purposes of such delivery. Upon receipt of a Request for Release stating that such Mortgage Loan was liquidated and that all amounts received or to be received in connection with such liquidation which are required to be deposited into the Custodial Account have been or will be so deposited, or that such Mortgage Loan has become an REO Property, a copy of the Request for Release shall be released by the Trustee to the Master Servicer.
Upon written request of a Servicing Officer, the Trustee shall execute and deliver to the Master Servicer any court pleadings, requests for trustee’s sale or other documents prepared by the Master Servicer that are necessary to the foreclosure or trustee’s sale in respect of a Mortgaged Property or to any legal action brought to obtain judgment against any Mortgagor on the Mortgage Note or Mortgage or to obtain a deficiency judgment, or to enforce any other remedies or rights provided by the Mortgage Note or Mortgage or otherwise available at law or in equity. Each such request that such pleadings or documents be executed by the Trustee shall include a certification signed by a Servicing Officer as to the reason such documents or pleadings are required and that the execution and delivery thereof by the Trustee will not invalidate or otherwise affect the lien of the Mortgage, except for the termination of such a lien upon completion of the foreclosure or trustee’s sale.
Section 3.17. | Servicing Compensation. |
As compensation for its activities hereunder, the Master Servicer shall be entitled to withhold and retain, from deposits to the Custodial Account of amounts representing payments or recoveries of interest, the Master Servicing Fees and Sub-Servicing Fees with respect to each Mortgage Loan (less any portion of such amounts retained by any Sub-Servicer). In addition, the Master Servicer shall be entitled to recover unpaid Master Servicing Fees and Sub-Servicing Fees out of related Late Collections to the extent permitted in Section 3.11.
Each Sub-Servicing Agreement shall permit the related Sub-Servicer to retain the Sub-Servicer Fees from collections on the related Mortgage Loans, or shall provide that the Sub-Servicer be paid directly by the Master Servicer from collections on the related Mortgage Loans. To the extent the Master Servicer directly services a Mortgage Loan, the Master Servicer shall be entitled to retain the Sub-Servicing Fees for that Mortgage Loan.
The Master Servicer also shall be entitled pursuant to Section 3.11 to receive from the Custodial Account as additional servicing compensation interest or other income earned on deposits therein, subject to Section 3.23, as well as any assumption fees, late payment charges and reconveyance fees. The Master Servicer shall not be entitled to retain any Prepayment Charges. Any Prepayment Charges shall be paid to the Holders of the Class P Certificates. The Master Servicer shall be required to pay all expenses incurred by it in connection with its servicing activities hereunder (including payment of the premiums for any blanket policy insuring against hazard losses pursuant to Section 3.13 and servicing compensation of the Sub-Servicer to the extent not retained by it), and shall not be entitled to reimbursement therefor except as specifically provided in Section 3.11. The Master Servicing Fee may not be transferred in whole or in part except in connection with the transfer of all of the Master Servicer's responsibilities and obligations under this Agreement.
Section 3.18. | Maintenance of Certain Servicing Policies. |
The Master Servicer shall obtain and maintain at its own expense and shall cause each Sub-Servicer to obtain and maintain for the duration of this Agreement a blanket fidelity bond and an errors and omissions insurance policy covering the Master Servicer's and such Sub-Servicer's officers, employees and other persons acting on its behalf in connection with its activities under this Agreement. The amount of coverage shall be at least equal to the coverage maintained by the Master Servicer or Sub-Servicer in order to be acceptable to Fannie Mae or Freddie Mac to service loans for it or otherwise in an amount as is commercially available at a cost that is generally not regarded as excessive by industry standards. The Master Servicer shall promptly notify the Trustee in writing of any material change in the terms of such bond or policy. The Master Servicer shall provide annually to the Trustee a certificate of insurance that such bond and policy are in effect. If any such bond or policy ceases to be in effect, the Master Servicer shall, to the extent possible, give the Trustee ten days' notice prior to any such cessation and shall use its reasonable best efforts to obtain a comparable replacement bond or policy, as the case may be.
Section 3.19. | Annual Statement as to Compliance. |
Not later than March 22nd of each calendar year beginning in 2007, the Master Servicer at its own expense shall deliver to the Trustee via e-mail (DBSEC.Notifications@db.com), and shall deliver (or otherwise make available) to the Ceritificate Insurer, a certificate (an “Annual Statement of Compliance”) signed by a Servicing Officer stating, as to the signers thereof, that (i) a review of the activities of the Master Servicer during the preceding calendar year and of performance under this Agreement or other applicable servicing agreement has been made under such officers’ supervision, (ii) to the best of such officers’ knowledge, based on such review, the Master Servicer has fulfilled all its obligations under this Agreement or other applicable servicing agreement in all material respects for such year or portion thereof, or, if there has been a failure to fulfill any such obligation in any material respect, specifying each such failure known to such officer and the nature and status thereof. Such Annual Statement of Compliance shall contain no restrictions or limitations on its use. In the event that the Master Servicer has delegated any servicing responsibilities with respect to the Mortgage Loans to a Sub-Servicer, the Master Servicer shall deliver a similar Annual Statement of Compliance by that Sub-Servicer to the Trustee and the Certificate Insurer as described above as and when required with respect to the Master Servicer.
Failure of the Master Servicer to timely comply with this Section 3.19 shall be deemed an Event of Default, and the Trustee may, in addition to whatever rights the Trustee may have under this Agreement and at law or equity or to damages, including injunctive relief and specific performance, upon notice immediately terminate all the rights and obligations of the Master Servicer under this Agreement and in and to the Mortgage Loans and the proceeds thereof without compensating the Master Servicer for the same. This paragraph shall supersede any other provision in this Agreement or any other agreement to the contrary.
Section 3.20. | Assessments of Compliance and Attestation Reports. |
Pursuant to Rules 13a-18 and 15d-18 of the Exchange Act and Item 1122(a) of Regulation AB, the Master Servicer shall deliver to the Trustee via e-mail (DBSEC.Notifications@db.com) and shall deliver (or otherwise make available) to the Certificate Insurer on or before March 22nd of each calendar year beginning in 2007, a report regarding the Master Servicer’s assessment of compliance (an “Assessment of Compliance”) with the applicable Servicing Criteria (as set forth in Exhibit N) during the preceding calendar year. The Assessment of Compliance must contain the following:
(a) A statement by such officer of its responsibility for assessing compliance with the Servicing Criteria applicable to the Master Servicer;
(b) A statement by such officer that such officer used the Servicing Criteria, and which will also be attached to the Assement of Compliance, to assess compliance with the Servicing Criteria applicable to the Master Servicer;
(c) An assessment by such officer of the Master Servicer’s compliance with the applicable Servicing Criteria for the period consisting of the preceding calendar year, including disclosure of any material instance of noncompliance with respect thereto during such period, which assessment shall be based on the activities it performs with respect to asset-backed securities transactions taken as a whole involving the Master Servicer, that are backed by the same asset type as the Mortgage Loans;
(d) A statement that a registered public accounting firm has issued an attestation report on the Master Servicer’s Assessment of Compliance for the period consisting of the preceding calendar year; and
(e) A statement as to which of the Servicing Criteria, if any, are not applicable to the Master Servicer, which statement shall be based on the activities it performs with respect to asset-backed securities transactions taken as a whole involving the Master Servicer, that are backed by the same asset type as the Mortgage Loans.
Such report at a minimum shall address each of the Servicing Criteria specified on Exhibit N hereto which are indicated as applicable to the Master Servicer.
On or before March 22nd of each calendar year beginning in 2007, the Master Servicer shall furnish to the Trustee and the Certificate Insurer a report (an “Attestation Report”) by a registered public accounting firm that attests to, and reports on, the Assessment of Compliance made by the Master Servicer, as required by Rules 13a-18 and 15d-18 of the Exchange Act and Item 1122(b) of Regulation AB, which Attestation Report must be made in accordance with standards for attestation reports issued or adopted by the Public Company Accounting Oversight Board.
The Master Servicer shall cause any Sub-Servicer and each subcontractor determined by the Master Servicer to be “participating in the servicing function” within the meaning of Item 1122 of Regulation AB, to deliver to the Trustee, the Certificate Insurer and the Depositor an Assessment of Compliance and Attestation Report as and when provided above.
Such Assessment of Compliance, as to any Sub-Servicer, shall address each of the Servicing Criteria applicable to the Sub-Servicer. Notwithstanding the foregoing, as to any subcontractor determined by the Master Servicer to be “participating in the servicing function,” an Assessment of Compliance is not required to be delivered unless it is required as part of a Form 10-K with respect to the Trust Fund.
Failure of the Master Servicer to timely comply with this Section 3.20 (taking into account the cure period if permitted as set forth in the preceding paragraph) shall be deemed an Event of Default, and the Trustee may, in addition to whatever rights the Trustee may have under this Agreement and at law or equity or to damages, including injunctive relief and specific performance, give notice to Certificateholders that they have ten Business Days to object. If no such objection is received, the Trustee shall immediately terminate all the rights and obligations of the Master Servicer under this Agreement and in and to the Mortgage Loans and the proceeds thereof without compensating the Master Servicer for the same (other than as provided herein with respect to unreimbursed Advances or Servicing Advances or accrued and unpaid Servicing Fees). This paragraph shall supercede any other provision in this Agreement or any other agreement to the contrary.
The Trustee shall also provide an Assessment of Compliance (with respect to items (a) - (d) but not (e) above) and Attestation Report, as and when provided above, which shall at a minimum address each of the Servicing Criteria specified on Exhibit N hereto which are indicated as applicable to the “trustee”. Notwithstanding the foregoing, as to any trustee, an Assessment of Compliance is not required to be delivered unless it is required as part of a Form 10-K with respect to the Trust Fund.
Section 3.21. | Access to Certain Documentation. |
The Master Servicer shall provide, and shall cause any Sub-Servicer to provide, to the Trustee and the Certificate Insurer, access to the documentation in their possession regarding the related Mortgage Loans and REO Properties and to the Certificateholders, the FDIC, and the supervisory agents and examiners of the FDIC (to which the Trustee shall also provide) access to the documentation regarding the related Mortgage Loans required by applicable regulations, such access being afforded without charge but only upon reasonable request and during normal business hours at the offices of the Master Servicer or the Sub-Servicers that are designated by these entities; provided, however, that, unless otherwise required by law, the Trustee, the Custodian, the Master Servicer or the Sub-Servicer shall not be required to provide access to such documentation if the provision thereof would violate the legal right to privacy of any Mortgagor. The Master Servicer and the Sub-Servicers shall allow representatives of the above entities to photocopy any of the documentation and shall provide equipment for that purpose at a charge that covers their own actual out-of-pocket costs. The Master Servicer shall designate a Servicing Officer to provide certain information regarding the Mortgage Loans.
Section 3.22. | Title, Conservation and Disposition of REO Property. |
This Section shall apply only to REO Properties acquired for the account of REMIC 1 and shall not apply to any REO Property relating to a Mortgage Loan which was purchased or repurchased from REMIC 1 pursuant to Sections 2.02, 2.04 or 3.14. In the event that title to any such REO Property is acquired, the deed or certificate of sale shall be issued to the Trustee, or to its nominee, on behalf of the Certificateholders. The Master Servicer, on behalf of REMIC 1, shall either sell any REO Property before the close of the third taxable year following the taxable year in which REMIC 1 acquires ownership of such REO Property for purposes of Section 860G(a)(8) of the Code or, at the expense of REMIC 1, request, more than 60 days before the day on which the three-year grace period would otherwise expire an extension of the three-year grace period, unless the Master Servicer has delivered to the Trustee and the Certificate Insurer an Opinion of Counsel (which shall not be at the expense of the Trustee or the Certificate Insurer), addressed to the Trustee, the Certificate Insurer and the Master Servicer, to the effect that the holding by REMIC 1 of such REO Property subsequent to the close of the third taxable year following the taxable year in which REMIC 1 acquires ownership of such REO Property will not result in the imposition on REMIC 1 of taxes on “prohibited transactions” thereof, as defined in Section 860F of the Code, or cause any of REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC under the REMIC Provisions or comparable provisions of the laws of the State of California at any time that any Certificates are outstanding. The Master Servicer shall manage, conserve, protect and operate each REO Property for the Certificateholders 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) or result in the receipt by any of REMIC 1, REMIC 2 or REMIC 3 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. Pursuant to its efforts to sell such REO Property, the Master Servicer shall either itself or through an agent selected by the Master Servicer protect and conserve such REO Property in the same manner and to such extent as is customary in the locality where such REO Property is located and may, incident to its conservation and protection of the interests of the Certificateholders, rent the same, or any part thereof, as the Master Servicer deems to be in the best interest of the Certificateholders for the period prior to the sale of such REO Property.
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).
The Master Servicer shall segregate and hold all funds collected and received in connection with the operation of any REO Property separate and apart from its own funds and general assets. The Master Servicer shall deposit, or cause to be deposited, on a daily basis in the Custodial Account all revenues received with respect to the REO Properties, net of any directly related expenses incurred or withdraw therefrom funds necessary for the proper operation, management and maintenance of the REO Property.
If as of the date of acquisition of title to any REO Property there remain outstanding unreimbursed Servicing Advances with respect to such REO Property or any outstanding Advances allocated thereto the Master Servicer, upon an REO Disposition, shall be entitled to reimbursement for any related unreimbursed Servicing Advances and any unreimbursed related Advances as well as any unpaid Master Servicing Fees or Sub-Servicing Fees from proceeds received in connection with the REO Disposition, as further provided in Section 3.15. The Master Servicer shall not be obligated to advance any amounts with respect to an REO Property if such advance would constitute a Nonrecoverable Advance.
The REO Disposition shall be carried out by the Master Servicer at such price and upon such terms and conditions as the Master Servicer shall determine.
The Master Servicer shall deposit the proceeds from the REO Disposition, net of any payment to the Master Servicer as provided above, in the Custodial Account upon receipt thereof for distribution in accordance with Section 4.01; provided, that any such net proceeds received by the Master Servicer which are in excess of the applicable Stated Principal Balance plus all unpaid REO Imputed Interest thereon through the last day of the month in which the REO Disposition occurred (“Excess Proceeds”) shall be retained by the Master Servicer as additional servicing compensation.
With respect to any Mortgage Loan as to which the Master Servicer has received notice of, or has actual knowledge of, the presence of any toxic or hazardous substance on the Mortgaged Property, the Master Servicer shall not, on behalf of the Trustee, either (i) obtain title to the related Mortgaged Property as a result of or in lieu of foreclosure or otherwise, or (ii) otherwise acquire possession of, the related Mortgaged Property, unless the Master Servicer has, at least 30 days prior to taking such action, obtained and delivered to the Trustee an environmental audit report prepared by a Person who regularly conducts environmental audits using customary industry standards. The Master Servicer shall take such action as it deems to be in the best economic interest of the Trust Fund (other than proceeding against the Mortgaged Property) and is hereby authorized at such time as it deems appropriate to release such Mortgaged Property from the lien of the related Mortgage.
The cost of the environmental audit report contemplated by this Section 3.22 shall be advanced by the Master Servicer as an expense of the Trust Fund, and the Master Servicer shall be reimbursed therefor from the Custodial Account as provided in Section 3.11, any such right of reimbursement being prior to the rights of the Certificateholders to receive any amount in the Custodial Account.
If the Master Servicer determines, as described above, that it is in the best economic interest of the Trust Fund to take such actions as are necessary to bring any such Mortgaged Property in 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 Master Servicer shall take such action as it deems to be in the best economic interest of the Trust Fund. The cost of any such compliance, containment, clean-up or remediation shall be advanced by the Master Servicer as an expense of the Trust Fund, and the Master Servicer shall be entitled to be reimbursed therefor from the Custodial Account as provided in Section 3.11, any such right of reimbursement being prior to the rights of the Certificateholders to receive any amount in the Custodial Account.
Section 3.23. | Additional Obligations of the Master Servicer. |
On each Certificate Account Deposit Date, the Master Servicer shall deliver to the Trustee for deposit in the Certificate Account from its own funds and without any right of reimbursement therefor, a total amount equal to the amount of Compensating Interest for the related Distribution Date.
Section 3.24. | Additional Obligations of the Depositor. |
The Depositor agrees that on or prior to the tenth day after the Closing Date, the Depositor shall provide the Trustee with a written notification, substantially in the form of Exhibit J attached hereto, relating to each Class of Certificates, setting forth (i) in the case of each Class of such Certificates, (a) if less than 10% of the aggregate Certificate Principal Balance of such Class of Certificates has been sold as of such date, the value calculated pursuant to clause (b)(iii) of Exhibit J hereto, or, (b) if 10% or more of such Class of Certificates has been sold as of such date but no single price is paid for at least 10% of the aggregate Certificate Principal Balance of such Class of Certificates, then the weighted average price at which the Certificates of such Class were sold and the aggregate percentage of Certificates of such Class sold, (c) the first single price at which at least 10% of the aggregate Certificate Principal Balance of such Class of Certificates was sold, or (d) if any Certificates of each Class of Certificates are retained by the Depositor or an affiliate corporation, or are delivered to the Sponsor, the fair market value of such Certificates as of the Closing Date, (ii) the Prepayment Assumption used in pricing the Certificates, and (iii) such other information as to matters of fact as the Trustee may reasonably request to enable it to comply with its reporting requirements with respect to each Class of such Certificates to the extent such information can in the good faith judgment of the Depositor be determined by it.
Section 3.25. | Exchange Act Reporting. |
(a) The Trustee (to the extent any information requested by the Depositor is actually in the possession of the Trustee) and the Master Servicer shall fully cooperate with the Depositor in connection with the Trust’s satisfying the reporting requirements under the Exchange Act as may be requested by the Depositor pursuant to Section 3.26.
(b) (i) Within 12 calendar days after each Distribution Date, the Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“EDGAR”), a Distribution Report on Form 10-D, signed by the Depositor, with a copy of the monthly statement to be furnished by the Trustee to the Certificateholders for such Distribution Date. Any disclosure in addition to the monthly statement required to be included on the Form 10-D (“Additional Form 10-D Disclosure”) shall be determined and prepared by the entity that is indicated in Exhibit O as the responsible party for providing that information, if other than the Trustee, and the Trustee will have no duty or liability to verify the accuracy or sufficiency of any such Additional Form 10-D Disclosure and the Trustee shall have no liability with respect to any failure to properly prepare or file such Form 10-D resulting from or relating to the Trustee’s inability or failure to obtain any information in a timely manner from the party responsible for delivery of such Additional Form 10-D Disclosure.
Within 3 calendar days after the related Distribution Date, each entity that is indicated in Exhibit O as the responsible party for providing Additional Form 10-D Disclosure shall be required to provide to the Trustee via e-mail (DBSEC.Notifications@db.com), the Depositor and the Certificate Insurer, to the extent known by a responsible party thereof, clearly identifying which item of Form 10-D the information relates to, any Additional Form 10-D Disclosure, if applicable. The Trustee shall compile the information provided to it, prepare the Form 10-D and forward the Form 10-D to the Depositor for verification. The Depositor will approve, as to form and substance, or disapprove, as the case may be, the Form 10-D. No later than three Business Days prior to the 10th calendar day after the related Distribution Date, an officer of the Depositor shall sign the Form 10-D and return an electronic or fax copy of such signed Form 10-D (with an original executed hard copy to follow by overnight mail) to the Trustee. The Trustee shall have no liability with respect to any failure to properly file any Form 10-D resulting from or relating to the Depositor’s failure to timely comply with the provisions of this section.
(ii) Within four (4) Business Days after the occurrence of an event requiring disclosure on Form 8-K (each such event, a “Reportable Event”), the Depositor shall prepare and file any Form 8-K, as required by the Exchange Act, in addition to the initial Form 8-K in connection with the issuance of the Certificates. Any disclosure or information related to a Reportable Event or that is otherwise required to be included on Form 8-K (“Form 8-K Disclosure Information”) shall be determined and prepared by the entity that is indicated in Exhibit O as the responsible party for providing that information.
For so long as the Trust is subject to the Exchange Act reporting requirements, no later than the end of business on the second Business Day after the occurrence of a Reportable Event, the entity that is indicated in Exhibit O as the responsible party for providing Form 8-K Disclosure Information shall be required to provide to the Depositor, to the extent known by a responsible officer thereof, the form and substance of any Form 8-K Disclosure Information, if applicable. The Depositor shall compile the information provided to it, and prepare and file the Form 8-K, which shall be signed by an officer of the Depositor.
(iii) Prior to January 30 of the first year in which the Trustee is able to do so under applicable law, the Trustee shall, in accordance with industry standards, file a Form 15 Suspension Notice with respect to the Trust Fund, if applicable. On or before (x) March 15, 2007 and (y) unless and until a Form 15 Suspension Notice shall have been filed, on or before April 15 of each year thereafter, the Master Servicer shall provide the Trustee and Certificate Insurer with an Annual Compliance Statement, together with a copy of the Assessment of Compliance and Attestation Report to be delivered by the Master Servicer pursuant to Sections 3.19 and 3.20 (including with respect to any Sub-Servicer or any subcontractor, if required to be filed). Prior to (x) March 30, 2007 and (y) unless and until a Form 15 Suspension Notice shall have been filed, March 30 of each year thereafter, the Trustee shall file a Form 10-K, in substance as required by applicable law or applicable Securities and Exchange Commission staff’s interpretations and conforming to industry standards, with respect to the Trust Fund. Such Form 10-K shall include the Assessment of Compliance, Attestation Report, Annual Compliance Statements and other documentation provided by the Master Servicer pursuant to Sections 3.19 and 3.20 (including with respect to any Sub-Servicer or subcontractor, if required to be filed) and Section 3.20 with respect to the Trustee, and the Form 10-K certification in the form attached hereto as Exhibit L-1 (the “Certification”) signed by the senior officer of the Depositor in charge of securitization. The Trustee shall receive the items described in the preceding sentence no later than March 15 of each calendar year prior to the filing deadline for the Form 10-K.
Any disclosure or information in addition to that described in the preceding paragraph that is required to be included on Form 10-K (“Additional Form 10-K Disclosure”) shall be determined and prepared by the entity that is indicated in Exhibit O as the responsible party for providing that information, if other than the Trustee, and the Trustee will have no duty or liability to verify the accuracy or sufficiency of any such Additional Form 10-K Disclosure.
If information, data and exhibits to be included in the Form 10-K 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 timely obtain any information from any other party.
On or prior to (x) March 15, 2007 and (y) unless and until a Form 15 Suspension Notice shall have been filed, prior to March 15 of each year thereafter, each entity that is indicated in Exhibit O as the responsible party for providing Additional Form 10-K Disclosure shall be required to provide to the Trustee via e-mail (DBSEC.Notifications@db.com), the Certificate Insurer and the Depositor, to the extent known by a responsible party thereof, the form and substance of any Additional Form 10-K Disclosure Information, if applicable. The Trustee shall compile the information provided to it, prepare the Form 10-K and forward the Form 10-K to the Depositor for verification. The Depositor will approve, as to form and substance, or disapprove, as the case may be, the Form 10-K by no later than March 25 of the relevant year (or the immediately preceding Business Day if March 25 is not a Business Day), an officer of the Depositor shall sign the Form 10-K and return an electronic or fax copy of such signed Form 10-K (with an original executed hard copy to follow by overnight mail) to the Trustee.
The Master Servicer shall be responsible for determining the pool concentration applicable to any Sub-Servicer to which the Master Servicer delegated any of its responsibilities with respect to the Mortgage Loans at any time, for purposes of disclosure as required by Items 1117 and 1119 of Regulation AB. The Trustee will provide electronic or paper copies of all Form 10-D, 8-K and 10-K filings free of charge to any Certificateholder upon request. Any expenses incurred by the Trustee in connection with the previous sentence shall be reimbursable to the Trustee out of the Trust Fund. The Trustee shall have no liability with respect to any failure to properly file any Form 10-K resulting from or relating to the Depositor’s failure to timely comply with the provisions of this section.
The Trustee shall sign a certification (in the form attached hereto as Exhibit L-3) for the benefit of the Depositor and its officers, directors and Affiliates in respect of items 1 through 3 of the Certification (provided, however, that the Trustee shall not undertake an analysis of the Attestation Report attached as an exhibit to the Form 10-K), and the Master Servicer shall sign a certification (the “Master Servicer Certification) solely with respect to the Master Servicer (in the form attached hereto as Exhibit L-2) for the benefit of the Depositor, the Trustee and each Person, if any, who “controls” the Depositor or the Trustee within the meaning of the Securities Act of 1933, as amended, and their respective officers and directors. Each such certification shall be delivered to the Depositor and the Trustee by March 15th of each year (or if not a Business Day, the immediately preceding Business Day). The Certification attached hereto as Exhibit L-1 shall be delivered to the Trustee by March 20th for filing on or prior to March 30th of each year (or if not a Business Day, the immediately preceding Business Day).
The Trustee will have no duty to verify the accuracy or sufficiency of any information not prepared by it included in any Form 10-D, Form 10-K or Form 8-K. The Trustee shall have no liability with respect to any failure to properly prepare or file any Form 10- D or Form 10-K resulting from or relating to the Trustee’s inability or failure to obtain any information in a timely manner from the party responsible for delivery of such disclosure information. The Trustee shall have no liability with respect to any failure to properly file any Form l0-D or 10-K resulting from or relating to the Depositor’s failure to timely comply with the provisions of this section. Nothing herein shall be construed to require the Trustee or any officer, director or Affiliate thereof to sign any Form 10-D, Form 10-K or Form 8-K.
(c) (A) The Trustee shall indemnify and hold harmless the Depositor, the Master Servicer and their respective 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 material misstatement or omission in the Assessment of Compliance delivered by the Trustee pursuant to Section 3.20 and (B) the Master Servicer shall indemnify and hold harmless the Depositor, the Trustee and their respective officers, directors and Affiliates from and against any actual 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 (i) the failure of the Master Servicer to timely deliver the Master Servicer Certification or (ii) any material misstatement or omission in the Statement as to Compliance delivered by the Master Servicer pursuant to Section 3.19 or any Sub-Servicer pursuant to Section 3.20, the Assessment of Compliance delivered by the Master Servicer or any Sub-Servicer pursuant to Section 3.20 or the Master Servicer Certification. If the indemnification provided for herein is unavailable or insufficient to hold harmless the Depositor, then the Master Servicer agrees that it shall contribute to the amount paid or payable by the Depositor and the Trustee as a result of the losses, claims, damages or liabilities of the Depositor and the Trustee in such proportion as is appropriate to reflect the relative fault of the Depositor and the Trustee on the one hand and the Master Servicer on the other in connection with the Master Servicer Certification and the related obligations of the Master Servicer under this Section 3.25.
Upon any filing with the Securities and Exchange Commission, the Trustee shall promptly deliver to the Depositor a copy of any such executed report, statement or information.
Section 3.26. | Intention of the Parties and Interpretation. |
Each of the parties acknowledges and agrees that the purpose of Sections 3.19, 3.20 and 3.25 of this Agreement is to facilitate compliance by the Sponsor and the Depositor with the provisions of Regulation AB. Therefore, each of the parties agrees that (a) the obligations of the parties hereunder shall be interpreted in such a manner as to accomplish that purpose, (b) the parties’ obligations hereunder will be supplemented and modified as necessary to be consistent with any such amendments, interpretive advice or guidance, convention or consensus among active participants in the asset-backed securities markets, advice of counsel, or otherwise in respect of the requirements of Regulation AB, (c) the parties shall comply with requests made by the Sponsor or the Depositor for delivery of additional or different information as the Sponsor or the Depositor may determine in good faith is necessary to comply with the provisions of Regulation AB, and (d) no amendment of this Agreement shall be required to effect any such changes in the parties’ obligations as are necessary to accommodate evolving interpretations of the provisions of Regulation AB.
Section 3.27. | Optional Purchase of Certain Mortgage Loans. |
The Master Servicer will have the option, at any one time, to purchase 1.00% (and in any case, at least 5 Mortgage Loans) of the Mortgage Loans, by aggregate Stated Principal Balance of the Mortgage Loans as of such date, from the Trustee at the Purchase Price; provided, however, that the Mortgage Loans that may be purchased by the Master Servicer pursuant to this Section 3.27 will be selected by the Master Servicer in its sole discretion. If at any time the Master Servicer makes a payment to the Certificate Account covering the amount of the Purchase Price for such a Mortgage Loan, and the Master Servicer provides to the Trustee a certification signed by a Servicing Officer stating that the amount of such payment has been deposited in the Certificate Account, then the Trustee shall execute the assignment of such Mortgage Loan at the request of the Master Servicer without recourse to the Master Servicer which shall succeed to all the Trustee’s right, title and interest in and to such Mortgage Loan, and all security and documents relative thereto. Such assignment shall be an assignment outright and not for security. The Master Servicer will thereupon own such Mortgage, and all such security and documents, free of any further obligation to the Trustee or the Certificateholders with respect thereto. Any tax on “prohibited transactions” (as defined in Section 860F(a)(2) of the Code) imposed on any REMIC relating to the exercise of the option provided in this Section 3.27 shall in no event be payable by the Trustee.
ARTICLE IV
PAYMENTS TO CERTIFICATEHOLDERS
Section 4.01. | Distributions. |
(a) The Trustee shall establish and maintain a Certificate Account, in which the Master Servicer shall cause to be deposited on behalf of the Trustee on or before 5:00 P.M. New York time on each Certificate Account Deposit Date by wire transfer of immediately available funds an amount equal to the sum of (i) any Advance for the immediately succeeding Distribution Date, (ii) any amount required to be deposited in the Certificate Account pursuant to Sections 3.11, 3.13 or 3.23, (iii) all other amounts constituting the Available Distribution Amount for the immediately succeeding Distribution Date, (iv) an amount equal to the Policy Premium payable on such Distribution Date, (v) amounts payable by the trust to the Supplemental Interest Trust in respect of Net Swap Payments and Swap Termination Payments other than Swap Termination Payments resulting from a Swap Provider Trigger Event and (vi) any amounts on deposit in the Custodial Account representing Prepayment Charges collected by the Master Servicer (and any Master Servicer Prepayment Charge Payment Amounts paid by, or collected on behalf of the Trust Fund by, the Master Servicer or any Sub-Servicer), other than any such Prepayment Charges or Master Servicer Prepayment Charge Payment Amounts relating to Principal Prepayments that occurred after the end of the related Prepayment Period.
On each Distribution Date, prior to making any other distributions referred to in Section 4.01 herein, the Trustee shall withdraw from the Certificate Account and pay itself any income earned on retention of amounts on deposit in the Certificate Account for such Distribution Date and any other amounts payable to it hereunder.
On each Distribution Date, prior to making any other distributions referred to in Section 4.01 herein (other than the amounts referred to in the previous paragraph), the Trustee shall withdraw from the Certificate Account and pay to the Certificate Insurer, by wire transfer of immediately available funds, the Policy Premium for such Distribution Date. The Trustee shall deposit any amounts received from the Certificate Insurer pursuant to the Certificate Guaranty Insurance Policy into the Insurance Account. The amount necessary to pay any Insured Amount shall be distributed on the immediately following Distribution Date as part of the Available Distribution Amount.
On each Distribution Date the Trustee shall distribute to each Certificateholder of record as of the next preceding Record Date (other than as provided in Section 9.01 respecting the final distribution) either in immediately available funds (by wire transfer or otherwise) to the account of such Certificateholder at a bank or other entity having appropriate facilities therefor, if such Certificateholder has so notified the Trustee at least 5 Business Days prior to the related Record Date, or otherwise by check mailed to such Certificateholder at the address of such Holder appearing in the Certificate Register, such Certificateholder's share (based on the aggregate of the Percentage Interests represented by Certificates of the applicable Class held by such Holder) of the amounts required to be distributed to such Holder pursuant to this Section 4.01.
Net Swap Payments and Swap Termination Payments (other than Swap Termination Payments resulting from a Swap Provider Trigger Event) payable by the Supplemental Interest Trust to the Swap Provider pursuant to the Interest Rate Swap Agreement shall be deducted (without duplication) from the interest collections in the Available Distribution Amount, and to the extent of any such remaining amounts due, from the principal collections in the Available Distribution Amount, prior to any distributions to the Certificateholders. On each Distribution Date, such amounts will be remitted to the Supplemental Interest Trust, first to make any Net Swap Payment owed to the Swap Provider pursuant to the Interest Rate Swap Agreement for such Distribution Date and for prior Distribution Dates, and second to make any Swap Termination Payment (not due to a Swap Provider Trigger Event) owed to the Swap Provider pursuant to the Interest Rate Swap Agreement for such Distribution Date and for prior Distribution Dates. 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 Offered Certificates and shall be paid as set forth in Section 4.01(e)(vi).
(b) On each Distribution Date, the Trustee shall withdraw from the Certificate Account that portion of Available Distribution Amount for such Distribution Date consisting of the Interest Remittance Amount and the Insured Amount, if any, for such Distribution Date, and make the following disbursements and transfers in the order of priority described below, in each case to the extent of the Interest Remittance Amount for such Class for such Distribution Date:
(i) to the Holders of the Class A Certificates, pro rata, the Monthly Interest Distributable Amount and any Unpaid Interest Shortfall Amount for each such Class for such Distribution Date (with the interest portion of any Insured Amount used to pay the related Monthly Interest Distributable Amount and any Unpaid Interest Shortfall Amount solely on the Class A-1 Certificates); and
(ii) from the remaining Interest Remittance Amount, 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 and Class B Certificates, in that order, the Monthly Interest Distributable Amount for each such Class for such Distribution Date.
(c) On each Distribution Date (i) prior to the Stepdown Date or (ii) on or after the Stepdown Date if a Trigger Event is in effect, the Trustee shall withdraw from the Certificate Account an amount equal to the Principal Distribution Amount and distribute to the Holders of the Class A, Class M and Class B Certificates, distributions in respect of principal to the extent of the Principal Distribution Amount remaining for such Distribution Date:
(i) concurrently on a pro rata basis, among (a) the Holders of the Class A-1 Certificates, (b) the Holders of the Class A-2 Certificates and Class A-2M Certificates and (c) to the Holders of the Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6, Class A-6M and Class A-7 Certificates (based on (1) the Certificate Principal Balance of the Class A-1 Certificates in the case of clause (a), (2) the aggregate Certificate Principal Balance of the Class A-2 Certificates and Class A-2M Certificates in the case of clause (b) and (3) the aggregate Certificate Principal Balance of the Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6, Class A-6M and Class A-7 Certificates in the case of clause (c)), with such amounts between (a), (b) and (c) being further allocated as follows:
(a) to the Class A-1 Certificates, until the Certificate Principal Balance of such class is reduced to zero (with the principal portion of any Insured Amount used to pay principal solely on the Class A-1 Certificates);
(b) concurrently, to the Class A-2 Certificates and Class A-2M Certificates, pro rata, based on the Certificate Principal Balance thereof, until the Certificate Principal Balances of such classes are reduced to zero; and
(c) sequentially to (i) the Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6 and Class A-6M Certificates and then to (ii) the Class A-7 Certificates in the following manner and order of priority:
(i) first, concurrently, pro rata among (a) the Class A-3 Certificates and Class A-3M Certificates and (b) the Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6 and Class A-6M Certificates (based on (1) the aggregate Certificate Principal Balance of the Class A-3 Certificates and Class A-3M Certificates in the case of clause (a) and (2) the aggregate Certificate Principal Balance of the Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6 and Class A-6M Certificates in the case of clause (b)), with such amounts between (a) and (b) being further allocated as follows:
(a) concurrently, to the Class A-3 Certificates and Class A-3M Certificates, pro rata, based on the Certificate Principal Balance thereof, until the Certificate Principal Balances thereof are reduced to zero; and
(b) in the following order of priority:
(1) first, concurrently, to the Class A-4 Certificates and Class A-4M Certificates, pro rata, based on the Certificate Principal Balances thereof, until the Certificate Principal Balances thereof are reduced to zero;
(2) second, concurrently, to the Class A-5 Certificates and Class A-5M Certificates, pro rata, based on the Certificate Principal Balances thereof, until the Certificate Principal Balances thereof are reduced to zero;
(3) third, concurrently, to the Class A-6 Certificates and Class A-6M Certificates, pro rata, based on the Certificate Principal Balances thereof, until the Certificate Principal Balances thereof are reduced to zero; and
(ii) second, to the Class A-7 Certificates, until the Certificate Principal Balance thereof is reduced to zero; and
(ii) from the remaining Principal Distribution Amount, 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 and Class B Certificates, in that order, in each case until the Certificate Principal Balances thereof have been reduced to zero.
Except as provided below, on each distribution date (a) on or after the Stepdown Date and (b) on which a Trigger Event is not in effect, the holders of each class of Offered Certificates shall be entitled to receive distributions in respect of principal to the extent of the Principal Distribution Amount in the following amounts and order of priority:
(i) concurrently, in an amount equal to the Class A Principal Distribution Amount, pro rata among (a) the Class A-1 Certificates, (b) the Class A-2 Certificates and Class A-2M Certificates and (c) the Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6, Class A-6M and Class A-7 Certificates (based on (1) the Certificate Principal Balance of the Class A-1 Certificates in the case of clause (a), (2) the aggregate Certificate Principal Balance of the Class A-2 Certificates and Class A-2M Certificates in the case of clause (b) and (3) the aggregate Certificate Principal Balance of the Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6, Class A-6M and Class A-7 Certificates in the case of clause (c)), with such amounts between (a), (b) and (c) being further allocated as follows:
(a) to the Class A-1 Certificates, until the Certificate Principal Balance of such class is reduced to zero (with the principal portion of any Insured Amount used to pay principal solely on the Class A-1 Certificates);
(b) concurrently, to the Class A-2 Certificates and Class A-2M Certificates, pro rata, based on the Certificate Principal Balance thereof, until the Certificate Principal Balances of such classes are reduced to zero; and
(c) sequentially to (i) the Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6 and Class A-6M Certificates and then to (ii) the Class A-7 Certificates in the following manner and order of priority:
(i) first, concurrently, pro rata among (a) the Class A-3 Certificates and Class A-3M Certificates and (b) the Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6 and Class A-6M Certificates (based on (1) the aggregate Certificate Principal Balance of the Class A-3 Certificates and Class A-3M Certificates in the case of clause (a) and (2) the aggregate Certificate Principal Balance of the Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6 and Class A-6M Certificates in the case of clause (b)), with such amounts between (a) and (b) being further allocated as follows:
(a) concurrently, to the Class A-3 Certificates and Class A-3M Certificates, pro rata, based on the Certificate Principal Balance thereof, until the Certificate Principal Balances thereof are reduced to zero; and
(b) in the following order of priority:
(1) first, concurrently, to the Class A-4 Certificates and Class A-4M Certificates, pro rata, based on the Certificate Principal Balances thereof, until the Certificate Principal Balances thereof are reduced to zero;
(2) second, concurrently, to the Class A-5 Certificates and Class A-5M Certificates, pro rata, based on the Certificate Principal Balances thereof, until the Certificate Principal Balances thereof are reduced to zero;
(3) third, concurrently, to the Class A-6 Certificates and Class A-6M Certificates, pro rata, based on the Certificate Principal Balances thereof, until the Certificate Principal Balances thereof are reduced to zero; and
(ii) second, to the Class A-7 Certificates, until the Certificate Principal Balance thereof is reduced to zero; and
(ii) from the remaining Principal Distribution Amount, 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 and Class B Certificates, in that order, the Subordinated Class Principal Distribution Amount for each such class, in each case until the Certificate Principal Balances thereof have been reduced to zero.
(d) Notwithstanding the foregoing, to the extent any Net Swap Payment or Swap Termination Payment with respect to the Interest Rate Swap Agreement is payable from principal collections, Principal Distribution Amounts will be deemed paid to the most subordinate class of Certificates (other than the Class R Certificates and Class P Certificates), until the Certificate Principal Balance thereof has been reduced to zero.
(e) On each Distribution Date the Net Monthly Excess Cashflow shall be distributed in the following order of priority:
(i) to the Certificate Insurer, the aggregate of all payments, if any, made by the Certificate Insurer under the Certificate Guaranty Insurance Policy with respect to the Class A-1 Certificates, including interest thereon, to the extent not previously paid or reimbursed;
(ii) from the portion of Net Monthly Excess Cashflow otherwise distributable to each of the Class C Certificates, to the Holders of the Class A, Class M and Class B Certificates then entitled to receive distributions in respect of principal, up to an amount equal to any Extra Principal Distribution Amount, payable to such Holders as part of the Principal Distribution Amount as described under Section 4.01(c) above, as applicable;
(iii) concurrently, to the Holders of the Class A Certificates, pro rata, up to an amount equal to any Allocated Realized Loss Amount for each such class;
(iv) sequentially, to the Holders of 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 and Class B Certificates, in that order, up to an amount equal to the sum of the Unpaid Interest Shortfall Amount and the Allocated Realized Loss Amount (such amount to be applied first to cover Unpaid Interest Shortfall Amount for such class and second to cover Allocated Realized Loss Amount for such class) for each such class;
(v) from the portion of Net Monthly Excess Cashflow otherwise distributable to the Class C Certificates, to the Net WAC Shortfall Reserve Fund, (i) first, to pay the Class A, Class M and Class B Certificates, on a pro rata basis, based on the Certificate Principal Balances thereof, to the extent needed to pay any Net WAC Shortfall Amount for each such Class and to the extent such amount exceeds the amounts then on deposit in the Net WAC Shortfall Reserve Fund; provided that any Net Monthly Excess Cashflow remaining after such allocation to pay any such Net WAC Shortfall Amount based on the Certificate Principal Balances of the Class A, Class M and Class B Certificates will be distributed to each such Class of Certificates with respect to which there remains any unpaid Net WAC Shortfall Amount (after the distribution based on Certificate Principal Balances), pro rata, based on the amount of such unpaid Net WAC Shortfall Amount to the extent such amount exceeds the amounts then on deposit in the Net WAC Shortfall Reserve Fund, and (ii) second, to maintain a balance in the Net WAC Shortfall Reserve Fund equal to the Net WAC Shortfall Reserve Fund Deposit;
(vi) to the Supplemental Interest Trust for payment to the Swap Provider any Swap Termination Payments with respect to the Interest Rate Swap Agreement owed to the Swap Provider due to a Swap Provider Trigger Event not previously paid;
(vii) to the Holders of the Class C Certificates, an amount equal to the Class C Distribution Amount, reduced by amounts distributed in clauses (ii) and (v) above; and
(viii) to the Class R Certificates, any remaining amounts.
(f) On or before each Distribution Date, the Trustee shall distribute from the amounts received from the Swap Provider pursuant to the Interest Rate Swap Agreement in respect of any Net Swap Payment then on deposit in an account held by the Supplemental Interest Trust to the Class A, Class M and Class B Certificates in the following order of priority:
(i) concurrently to the Holders of the Class A Certificates, pro rata, based on entitlement, an amount equal to any Unpaid Interest Shortfall Amount for such Class or Classes, in each case, to the extent not covered by the Interest Remittance Amount on that Distribution Date and solely to the extent the Unpaid Interest Shortfall Amount is as a result of the interest portion of Realized Losses;
(ii) sequentially, to the Holders of 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 and Class B Certificates, in that order, in an amount equal to any Unpaid Interest Shortfall Amount for such Class or Classes, in each case, to the extent not covered by the Interest Remittance Amount on that Distribution Date and solely to the extent the Unpaid Interest Shortfall Amount is as a result of the interest portion of Realized Losses;
(iii) to the Holders of the Class A, Class M and Class B Certificates, an amount equal to any Extra Principal Distribution Amount, in each case, to the extent not covered by any Net Monthly Excess Cashflow on that Distribution Date and solely to the extent the payment of the Extra Principal Distribution Amount is as a result of current or prior period Realized Losses, to be included in the Principal Distribution Amount for that Distribution Date and payable to such Holders as part of the Principal Distribution Amount as described under Sections 4.01(d) and (e) above, as applicable;
(iv) to the Net WAC Reserve Fund, (i) first, to pay Net WAC Shortfall Amounts to the Holders of the Class A, Class M and Class B Certificates, on a pro rata basis, based on the aggregate amount of Net WAC Shortfall Amounts for such Class(es) of Class A, Class M and Class B Certificates remaining unpaid, in each case, to the extent not covered by the Net Monthly Excess Cashflow on that Distribution Date, and (ii) second, to maintain a balance in the Net WAC Shortfall Reserve Fund equal to the Net WAC Shortfall Reserve Fund Deposit;
(v) to the Holders of the Class A Certificates, pro rata, up to an amount equal to any Allocated Realized Loss Amount for such Class or Classes, in each case, to the extent not covered by any Net Monthly Excess Cashflow on that Distribution Date; and
(vi) sequentially to the Holders of 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 and Class B Certificates, in that order, up to an amount equal to any Allocated Realized Loss Amount for such Class or Classes, to the extent not covered by the Net Monthly Excess Cashflow on that Distribution Date.
(g) On each Distribution Date, all amounts representing Prepayment Charges in respect of the Mortgage Loans received during the related Prepayment Period and any Master Servicer Prepayment Charge Amounts paid by the Master Servicer during the related Prepayment Period will be withdrawn from the Certificate Account and distributed by the Trustee to the Holders of the Class P Certificates and shall not be available for distribution to the Holders of any other Class of Certificates. The payment of the foregoing amounts to the Holders of the Class P Certificates shall not reduce the Certificate Principal Balances thereof.
(h) Each distribution with respect to a Book-Entry Certificate shall be paid to the Depository, as Holder thereof, and the Depository shall be responsible for crediting 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. None of the Trustee, the Depositor or the Master Servicer shall have any responsibility therefor except as otherwise provided by this Agreement or applicable law.
(i) The Trustee, upon written direction of the Master Servicer, shall invest or cause the institution maintaining the Certificate Account to invest the funds in the Certificate Account in Permitted Investments designated in the name of the Trustee for the benefit of the Certificateholders, which shall mature not later than the Distribution Date next following the date of such investment and shall not be sold or disposed of prior to maturity. All income and gain realized from any such investment shall be for the benefit of the Master Servicer and shall be subject to its withdrawal or order from time to time. The amount of any losses incurred in respect of any such investments shall be deposited in the Certificate Account by the Master Servicer out of its own funds immediately as realized without any right of reimbursement.
(j) Except as otherwise provided in Section 9.01, if the Master Servicer anticipates that a final distribution with respect to any Class of Certificates will be made on the next Distribution Date, the Master Servicer shall, no later than the 15th day of the month in the month of such final distribution (or if such 15th day is not a Business Day, the Business Day immediately preceding such 15th day), notify the Trustee and the Trustee shall, no later than two (2) Business Days after such date, mail on such date to each Holder of such Class of Certificates a notice to the effect that: (i) the Trustee anticipates that the final distribution with respect to such Class of Certificates will be made on such Distribution Date but only upon presentation and surrender of such Certificates at the office of the Trustee or as otherwise specified therein, and (ii) no interest shall accrue on such Certificates from and after the end of the prior calendar month.
Any funds not distributed to any Holder or Holders of Certificates of such Class on such Distribution Date because of the failure of such Holder or Holders to tender their Certificates shall, on such date, be set aside and held in trust and credited to the account of the appropriate non-tendering Holder or Holders. If any Certificates as to which notice has been given pursuant to this Section 4.01(j) shall not have been surrendered for cancellation within six months after the time specified in such notice, the Trustee shall mail a second notice to the remaining non-tendering Certificateholders to surrender their Certificates for cancellation in order to receive the final distribution with respect thereto. If within six months after the second notice all such Certificates shall not have been surrendered for cancellation, the Trustee shall take reasonable steps as directed by the Depositor, or appoint an agent to take reasonable steps, to contact the remaining non-tendering Certificateholders concerning surrender of their Certificates. The costs and expenses of maintaining the funds in trust and of contacting such Certificateholders shall be paid out of the assets remaining in the Trust Fund. If within nine months after the second notice any such Certificates shall not have been surrendered for cancellation, the Class R Certificateholders shall be entitled to all unclaimed funds and other assets which remain subject hereto. No interest shall accrue or be payable to any Certificateholder on any amount held in trust as a result of such Certificateholder's failure to surrender its Certificate(s) for final payment thereof in accordance with this Section 4.01(j).
Section 4.02. | Statements to Certificateholders. |
(a) On each Distribution Date, based, as applicable, on information provided to it by the Master Servicer, the Trustee shall prepare and make available on the Trustee’s website, which shall initially be located at “https://www.tss.db.com/invr” (assistance in using the website can be obtained by calling the Trustee’s customer service desk at (800) 735-7777), to each Holder of the Regular Certificates, the Certificate Insurer, the Swap Provider, the Master Servicer and the Rating Agencies, a statement as to the distributions made on such Distribution Date setting forth the following:
(i) the applicable record dates, accrual periods, determination dates for calculating distributions and general distributions dates;
(ii) the total cash flows received and the general sources thereof;
(iii) the amount of any Net Swap Payment payable to the Supplemental Interest Trust, any Net Swap Payment payable to the Swap Provider, any Swap Termination Payment payable to the Supplemental Interest Trust and any Swap Termination Payment payable to the Swap Provider;
(iv) (A) the amount of the distribution made on such Distribution Date to the Holders of each Class of Regular Certificates, separately identified, allocable to principal and (B) the amount of the distribution made on such Distribution Date to the Holders of the Class P Certificates allocable to Prepayment Charges and Master Servicer Prepayment Charge Payment Amounts;
(v) the amount of the distribution made on such Distribution Date to the Holders of each Class of Regular Certificates (other than the Class P Certificates) allocable to interest, separately identified;
(vi) the Pass-Through Rate on each Class of Regular Certificates (other than the Class P Certificates) for such Distribution Date;
(vii) the aggregate amount of Advances for such Distribution Date (including the general purpose of such Advances), the aggregate amount of unreimbursed Advances at the close of business on the Distribution Date, and the general source of funds for reimbursements;
(viii) the number and Aggregate Stated Principal Balance of the Mortgage Loans as of the end of the related Due Period;
(ix) the Overcollateralization Release Amount and the Overcollateralization Deficiency Amount for such Distribution Date;
(x) the aggregate Certificate Principal Balance of each Class of Regular Certificates after giving effect to the amounts distributed on such Distribution Date (in the case of each Class of the Offered Certificates, separately identifying any reduction thereof due to the allocation of Realized Losses thereto);
(xi) the number and Stated Principal Balance of Mortgage Loans in respect of which (a) one Scheduled Payment is delinquent, (b) two Scheduled Payments are delinquent, (c) three or more Scheduled Payments are delinquent and (d) foreclosure proceedings have been commenced, in each case as of the end of the calendar month prior to such Distribution Date;
(xii) the number, aggregate principal balance and book value of any REO Properties as of the close of business on the last day of the calendar month preceding the month in which such Distribution Date occurs;
(xiii) the weighted average remaining term to maturity, weighted average Mortgage Rate and weighted average Net Mortgage Rate of the Mortgage Loans as of the close of business on the first day of the calendar month in which such Distribution Date occurs;
(xiv) the aggregate amount of Principal Prepayments made during the related Prepayment Period;
(xv) the aggregate amount of Realized Losses incurred during the related Prepayment Period and the cumulative amount of Realized Losses;
(xvi) if applicable, material modifications, extensions or waivers to Mortgage Loan terms, fees, penalties or payments during the preceding calendar month or that have become material over time;
(xvii) the aggregate amount of extraordinary Trust Fund expenses withdrawn from the Custodial Account or the Certificate Account for such Distribution Date;
(xviii) the aggregate amount of any Prepayment Interest Shortfalls for such Distribution Date, to the extent not covered by payments by the Master Servicer or a Sub-Servicer pursuant to Section 3.23, and the aggregate amount of Relief Act Interest Shortfalls for such Distribution Date;
(xix) the Monthly Interest Distributable Amount in respect of each Class of the Offered Certificates for such Distribution Date and the Unpaid Interest Shortfall Amount, if any, with respect to each Class of Offered Certificates for such Distribution Date;
(xx) (A) the Overcollateralization Target Amount, (B) the Overcollateralized Amount and (C) the amount, if any, by which the Overcollateralization Target Amount exceeds the Overcollateralized Amount, in each case after giving effect to the distribution made on the Regular Certificates on such Distribution Date;
(xxi) the aggregate amount of servicing compensation received by the Master Servicer with respect to the related Due Period and such other customary information as the Trustee deems necessary or desirable, or which a Certificateholder reasonably requests, to enable Certificateholders to prepare their tax returns;
(xxii) the aggregate of any deposits to and withdrawals from the Net WAC Shortfall Reserve Fund for such Distribution Date and the remaining amount on deposit in the Net WAC Shortfall Reserve Fund after such deposits and withdrawals;
(xxiii) the Available Distribution Amount for such Distribution Date;
(xxiv) the Insured Amount, if any, paid by the Certificate Insurer under the Certificate Guaranty Insurance Policy for such Distribution Date and the aggregate Insured Amounts for all prior Distribution Dates paid by the Certificate Insurer under the Certificate Guaranty Insurance Policy and not yet reimbursed;
(xxv) updated pool composition data including the following: average loan balance, weighted average mortgage rate, weighted average loan-to-value ratio at origination, weighted average FICO at origination, and weighted average remaining term;
(xxvi) information about any additions of, substitutions for or removal of any Mortgage Loans from the Trust Fund, and any changes in the underwriting, acquisition or selection criteria as to any Mortgage Loans added to the Trust Fund; and
(xxvii) the amount of any Net Swap Payment payable to the Supplemental Interest Trust made pursuant to the Interest Rate Swap Agreement, any Net Swap Payment payable to the Swap Provider pursuant to the fifth paragraph of Section 4.01(a), any Swap Termination Payment payable to the Supplemental Interest Trust made pursuant to the Interest Rate Swap Agreement and any Swap Termination Payment to the Swap Provider made pursuant to the fifth paragraph of Section 4.01(a) or Section 4.01(e)(vi).
In the case of information furnished pursuant to subclauses (i) and (ii) above, the amounts shall also be expressed as a dollar amount per Single Certificate.
On each Distribution Date the Trustee shall provide Bloomberg Financial Markets, L.P. (“Bloomberg”) CUSIP level factors for each Class of Certificates as of such Distribution Date, using a format and media mutually acceptable to the Trustee and Bloomberg.
Within a reasonable period of time after the end of each calendar year, the Trustee shall prepare and forward, to each Person who at any time during the calendar year was a Holder of a Certificate, a statement containing the information set forth in subclauses (i) and (ii) 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 provided by the Trustee pursuant to any requirements of the Code and regulations thereunder as from time to time are in force.
On each Distribution Date the Trustee shall prepare and make available on the Trustee’s website (or deliver at the recipient's option), to each Holder of a Class R Certificate a copy of the reports forwarded to the other Certificateholders on such Distribution Date.
Within a reasonable period of time after the end of each calendar year, the Trustee shall prepare and forward, to each Person who at any time during the calendar year was a Holder of a Class R Certificate a statement containing the information provided pursuant to the previous paragraph 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 provided by the Trustee pursuant to any requirements of the Code as from time to time are in force.
The location of the Trustee’s website and the procedures used therein are subject to change from time to time at the Trustee’s discretion. The Trustee shall have the right to change the way monthly distribution statement are distributed in order to make such distribution more convenient and/or more accessible to the above parties. The Trustee shall be entitled to conclusively rely on but shall not be responsible for the content or accuracy of any information provided by third parties for purposes of preparing the monthly statement, and may affix thereto any disclaimer it deems appropriate in its reasonable discretion (without suggesting liability on the part of any other party hereto). As a condition to access the Trustee’s website, the Trustee may require registration and the acceptance of a disclaimer. Notwithstanding anything to the contrary set forth in this Agreement, the parties hereto acknowledge that in connection with the Trustee’s preparation of the foregoing reports, the Trustee will rely solely upon the information provided to it in the Remittance Reports.
Section 4.03. | Remittance Reports; Advances by the Master Servicer. |
(a) On the Business Day following each Determination Date, the Master Servicer shall deliver to the Trustee a report, prepared as of the close of business on Business Day preceding such Determination Date (the “Remittance Report”), in the form of an electromagnetic tape or disk. The Remittance Report and any written information supplemental thereto shall include such information with respect to the Mortgage Loans that is required by the Trustee for purposes of making the calculations and preparing the statement described in Sections 4.01 and 4.02, as set forth in written specifications or guidelines issued by the Trustee from time to time. The Trustee shall have no obligation to recompute, recalculate or verify any information provided to it by the Master Servicer.
(b) The Master Servicer shall determine the aggregate amount of Advances required to be made for the related Distribution Date, which shall be in an aggregate amount equal to the sum of (1) the aggregate amount of Monthly Payments, other than Balloon Payments, (with each interest portion thereof adjusted to the Mortgage Rate less the sum of the Master Servicing Fee Rate, the Sub-Servicing Fee Rate and any applicable PMI Insurer Fee Rate, and less the amount of any reductions in the amount of interest collectable from the Mortgagor pursuant to the Relief Act, on the Outstanding Mortgage Loans as of the related Due Date, which Monthly Payments were delinquent as of the close of business as of the related Determination Date) plus (2) with respect to each Balloon Loan delinquent in respect of its Balloon Payment as of the close of business on the related Determination Date, an amount equal to the assumed Monthly Payment (net of the related Master Servicing Fees and Sub-Servicing Fees) that would have been due on the related Due Date based on the original principal amortization scheduled for such Balloon Loan until such Balloon Loan is finally liquidated; provided that no Advance shall be made if it would be a Nonrecoverable Advance. On or before 4:00 P.M. New York time on each Certificate Account Deposit Date, the Master Servicer shall either (i) deposit in the Certificate Account from its own funds, or funds received therefor from the Sub-Servicers, an amount equal to the Advances to be made by the Master Servicer or any Sub-Servicers in respect of the related Distribution Date, (ii) withdraw from amounts on deposit in the Custodial Account and deposit in the Certificate Account all or a portion of the amounts held for future distribution in discharge of any such Advance, or (iii) make advances in the form of any combination of (i) and (ii) aggregating the amount of such Advance. Any portion of the amounts held for future distribution so used shall be replaced by the Master Servicer (to the extent not previously replaced by late collections of Monthly Payments in respect of which such Advance was made) by deposit in the Certificate Account on or before 1:00 P.M. New York time on any future Certificate Account Deposit Date to the extent that funds attributable to the Mortgage Loans that are available in the Custodial Account for deposit in the Certificate Account on such Certificate Account Deposit Date shall be less than payments to Certificateholders required to be made on the following Distribution Date. The amount of any reimbursement pursuant to Section 3.11 in respect of outstanding Advances on any Distribution Date shall be allocated to specific Monthly Payments due but delinquent for previous Due Periods, which allocation shall be made, to the extent practicable, to Monthly Payments which have been delinquent for the longest period of time. Such allocations shall be conclusive for purposes of reimbursement to the Master Servicer from recoveries on related Mortgage Loans pursuant to Section 3.11. The determination by the Master Servicer that it has made a Nonrecoverable Advance or that any proposed Advance, if made, would constitute a Nonrecoverable Advance, shall be evidenced by a certificate of a Servicing Officer delivered to the Sponsor, the Certificate Insurer and the Trustee with the Remittance Report. The Trustee shall deposit all funds it receives pursuant to this Section 4.03 into the Certificate Account.
(c) In the event that the Master Servicer determines as of any Certificate Account Deposit Date that it will be unable to deposit in the Certificate Account an amount equal to the Advance required to be made for the immediately succeeding Distribution Date in the amount determined by the Master Servicer pursuant to paragraph (b) above, it shall give notice to the Trustee of its inability to Advance (such notice may be given by telecopy), not later than 4:00 P.M., New York time, on such date, specifying the portion of such amount that it will be unable to deposit. Not later than 4:00 P.M., New York time, on the earlier of (x) two Business Days following such Certificate Account Deposit Date or (y) the Business Day preceding the related Distribution Date, unless by such time the Master Servicer shall have directly or indirectly deposited in the Certificate Account the entire amount of the Advances required to be made for the related Distribution Date, pursuant to Section 7.01, the Trustee shall (a) terminate all of the rights and obligations of the Master Servicer under this Agreement in accordance with Section 7.01 and (b) assume the rights and obligations of the Master Servicer hereunder, including the obligation to deposit in the Certificate Account an amount equal to the Advance for the immediately succeeding Distribution Date.
The Master Servicer and the Sub-Servicer shall in all cases have a right prior to the Certificateholders to any particular funds on deposit in the Custodial Account from time to time for the reimbursement or payment of its Servicing Fee, Advances, Servicing Advances and any amounts reimbursable thereto in accordance with Section 3.11 of this Agreement, but only if and to the extent such amounts are to be reimbursed or paid from such particular funds on deposit in the Custodial Account pursuant to the express terms of this Agreement.
Section 4.04. | Distributions on the REMIC Regular Interests. |
(a) On each Distribution Date, the Trustee shall cause the following amounts, in the following order of priority, to be distributed by REMIC 1 to REMIC 2 on account of the REMIC 1 Regular Interests or withdrawn from the Certificate Account and distributed to the Holders of the Class R Certificates (in respect of the Class R-1 Interest), as the case may be:
(i) from the Available Distribution Amount for such Distribution Date, determined without regard to clause (ii)(2) of the definition thereof, to holders of the REMIC 1 Regular Interests, pro rata, in an amount equal to (A) the Uncertificated Accrued Interest for such REMIC 1 Regular Interests for such Distribution Date, plus (B) any amounts payable in respect thereof remaining unpaid from previous Distribution Dates;
(ii) from the Available Distribution Amount for such Distribution Date, determined without regard to clause (ii)(2) of the definition thereof, remaining after the distribution made pursuant to clause (i) above, allocated in the following manner: (i) to the extent of any such amount not constituting an Overcollateralization Release Amount, to holders of REMIC 1 Regular Interests 1-1-A through 1-81-B, starting with the lowest numerical denomination, until the Uncertificated Principal Balance of each such REMIC 1 Regular Interest is reduced to zero, provided that, for REMIC 1 Regular Interests with the same numerical denomination, such payments of principal shall be allocated pro rata between such REMIC 1 Regular Interests, and (ii) to the extent of any such amount constituting an Overcollateralization Release Amount, to the holders of REMIC 1 Regular Interest OC, until the Uncertificated Principal Balance thereof is reduced to zero;
(iii) to holders of REMIC 1 Regular Interest P-R, (A) all amounts representing Prepayment Charges received during the related Prepayment Period, and (B) on the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the related Prepayment Charge Schedule or any Distribution Date thereafter, any remaining Available Distribution Amount, until an amount equal to the initial Uncertificated Principal Balance of such REMIC 1 Regular Interest has been distributed pursuant to this clause; and
(iv) any remaining amount to the Holders of the Class R Certificates (in respect of the Class R-1 Interest).
(b) On each Distribution Date, the following amounts, in the following order of priority, shall be distributed by REMIC 2 to REMIC 3 on account of the REMIC 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:
(i) from the Available Distribution Amount for such Distribution Date, determined without regard to clause (ii)(2) of the definition thereof, to holders of REMIC 2 Regular Interest IO, in an amount equal to (A) the Uncertificated Accrued Interest for such REMIC 2 Regular Interest for such Distribution Date, plus (B) any amounts in respect thereof remaining unpaid from previous Distribution Dates;
(ii) to the extent of the the Available Distribution Amount for such Distribution Date, determined without regard to clause (ii)(2) of the definition thereof, remaining after the distribution pursuant to clause (i), to holders of each REMIC 2 Regular Interest (other than REMIC 2 Regular Interest IO), pro rata, in an amount equal to (A) the Uncertificated Accrued Interest for such REMIC 2 Regular 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 2 Regular Interest ZZ and REMIC 2 Regular Interest P shall be reduced when the REMIC 2 Overcollateralized Amount is less than the REMIC 2 Overcollateralization Target Amount, by the lesser of (x) the amount of such difference and (y) the Maximum Uncertificated Accrued Interest Deferral Amount, and such amount will be payable to holders of each REMIC 2 Regular Interest for which a Class A, Class M or Class B Certificate is the Corresponding Certificate in the same proportion as the Extra Principal Distribution Amount is allocated to the Corresponding Certificates for each such REMIC 2 Regular Interest, and the Uncertificated Principal Balance of REMIC 2 Regular Interest ZZ shall be increased by such amount;
(iii) to the extent of the the Available Distribution Amount for such Distribution Date, determined without regard to clause (ii)(2) of the definition thereof, remaining after the distributions pursuant to clauses (i) and (ii), to holders of REMIC 2 Regular Interests (other than REMIC 2 Regular Interest IO and P), allocated as follows:
(A) 98.00% of such remainder to holders of REMIC 2 Regular Interest AA, until the Uncertificated Principal Balance of such REMIC 2 Regular Interest is reduced to zero; and
(B) 2.00% of such remainder, first, to holders of each REMIC 2 Regular Interest for which a Class A, Class M or Class B Certificate is the Corresponding Certificate, in an aggregate amount equal to 1% of and in the same proportion as principal payments are allocated to the Corresponding Certificates for each such REMIC 2 Regular Interest, until the Uncertificated Principal Balances of such REMIC 2 Regular Interests are reduced to zero; and second, to the holders of REMIC 2 Regular Interest ZZ, until the Uncertificated Principal Balance of such REMIC 2 Regular Interest is reduced to zero;
(iv) to holders of REMIC 2 Regular Interest P, (A) all amounts representing Prepayment Charges distributed on REMIC 1 Regular Interest P, and (B) on the Distribution Date immediately following the expiration of the latest Prepayment Charge as identified on the related Prepayment Charge Schedule or any Distribution Date thereafter, any remaining Available Distribution Amount distributed in respect of REMIC 1 Regular Interest P, until an amount equal to the initial Uncertificated Principal Balance of such REMIC 2 Regular Interest has been distributed pursuant to this clause; and
(v) any remaining amount to the Holders of the Class R Certificates (in respect of the Class R-3 Interest).
(c) On each Distribution Date, interest shall be deemed payable from REMIC 3 to the holders of each REMIC 3 Regular Interest the ownership of which is represented by the Class A, Class M and Class B Certificates at a pass-through rate equal to the lesser of (i) the Pass-Through Rate for the Corresponding Certificate determined without regard to the related Net WAC Rate and (ii) the Net WAC Rate for the REMIC 3 Regular Interest the ownership of which is represented by the Corresponding Certificate for such Distribution Date, in each case on a principal balance equal to the Certificate Principal Balance of the Corresponding Certificate for such Distribution Date. For the avoidance of doubt, principal shall be payable to, and shortfalls, losses and prepayments shall be allocable to, the REMIC 3 Regular Interests the ownership of which is represented by the Class A, Class M and Class B Certificates as such amounts are payable and allocable to the Corresponding Certificates.
(d) On each Distribution Date, a portion of the amounts distributed pursuant to Sections 4.01(e)(ii), (v) and (vii) on such date shall be deemed distributed from REMIC 3 to Holders of the Class C Certificates in respect of the Class C Distribution Amount.
(e) On each Distribution Date, 100% of the amounts deemed distributed on REMIC 2 Regular Interest IO shall be deemed distributed by REMIC 3 in respect of the Class IO Interest for deposit into the Supplemental Interest Trust.
Section 4.05. | Allocation of Realized Losses. |
(a) All Realized Losses on the Mortgage Loans shall be allocated by the Trustee on each Distribution Date as follows: first, to Net Monthly Excess Cashflow, through a distribution of the Extra Principal Distribution Amount for that Distribution Date; second, to the Overcollateralized Amount by a reduction of the Certificate Principal Balance of the Class C Certificates, until the Certificate Principal Balance thereof has been reduced to zero; third, to the Class B Certificates, until the Certificate Principal Balance thereof has been reduced to zero; second, to the Class M-8 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; third, to the Class M-7 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; fourth, to the Class M-6 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; fifth, to the Class M-5 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; sixth, to the Class M-4 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; seventh, to the Class M-3 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; eighth, to the Class M-2 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; and ninth to the Class M-1 Certificates, until the Certificate Principal Balance thereof has been reduced to zero; thereafter, any Realized Losses on the Mortgage Loans will be allocated on any Distribution Date to the Class A-1, Class A-2, Class A-2M, Class A-3, Class A-3M, Class A-4, Class A-4M, Class A-5, Class A-5M, Class A-6, Class A-6M and Class A-7 Certificates, on a pro rata basis, based on the Certificate Principal Balances thereof, in each case in reduction of the Certificate Principal Balances thereof, until reduced to zero; provided however, that (a) any Realized Loss applied to the Class A-1 Certificates will be covered by the Certificate Guaranty Insurance Policy, (b) any Realized Loss that would have been applied to the Class A-2 Certificates will be applied to the Class A-2M Certificates until its Certificate Principal Balance has been reduced to zero, and then to the Class A-2 Certificates, (c) any Realized Loss that would have been applied to the Class A-3 Certificates will be applied to the Class A-3M Certificates until its Certificate Principal Balance has been reduced to zero, and then to the Class A-3 Certificates, (d) any Realized Loss that would have been applied to the Class A-4 Certificates will be applied to the Class A-4M Certificates until its Certificate Principal Balance has been reduced to zero, and then to the Class A-4 Certificates, (e) any Realized Loss that would have been applied to the Class A-5 Certificates will be applied to the Class A-5M Certificates until its Certificate Principal Balance has been reduced to zero, and then to the Class A-5 Certificates and (f) any Realized Loss that would have been applied to the Class A-6 Certificates will be applied to the Class A-6M Certificates until its Certificate Principal Balance has been reduced to zero, and then to the Class A-6 Certificates.
(b) Any allocation of Realized Losses to an Offered Certificate on any Distribution Date shall be made by reducing the Certificate Principal Balance thereof by the amount so allocated. Any allocation of Realized Losses to Net Monthly Excess Cashflow shall be made by reducing the amount otherwise payable in respect of the Class C Certificates pursuant to Section 4.01(e)(vii), and any allocation of Realized Losses to the Overcollateralized Amount shall be made by reducing the Certificate Principal Balance of the Class C Certificates by the amount so allocated.
(c) All Realized Losses on the Mortgage Loans shall be allocated on each Distribution Date, first, to REMIC 1 Regular Interest OC, until the Uncertificated Principal Balance thereof has been reduced to zero, and second, to REMIC 1 Regular Interest I-1-A through REMIC 1 Regular Interest 1-81-B, starting with the lowest numerical denomination, until the Uncertificated Principal Balance of each such REMIC 1 Regular Interest has been reduced to zero, provided that, for REMIC 1 Regular Interests with the same numerical denomination, such Realized Losses shall be allocated pro rata between such REMIC 1 Regular Interests, and third, to REMIC 1 Regular Interest P until the Uncertificated Principal Balance thereof has been reduced to zero.
(d) All Realized Losses on the Mortgage Loans shall be allocated by the Trustee on each Distribution Date to the following REMIC 2 Regular Interests in the specified percentages, as follows: first, to Uncertificated Accrued Interest payable to the REMIC 2 Regular Interest AA and REMIC 2 Regular Interest ZZ up to an aggregate amount equal to the REMIC 2 Interest Loss Allocation Amount (without duplication of shortfalls allocated pursuant to Section 1.03), 98.00% and 2.00%, respectively, and to the extent of any amount equal to the REMIC 2 Interest Loss Allocation Amount remaining after the foregoing allocations to REMIC 2 Regular Interests AA and ZZ, to Uncertificated Accrued Interest payable to REMIC 2 Regular Interest P to the extent of such remaining amount; second, to the Uncertificated Principal Balances of the REMIC 2 Regular Interest AA and REMIC 2 Regular Interest ZZ up to an aggregate amount equal to the REMIC 2 Principal Loss Allocation Amount, 98.00% and 2.00%, respectively; third, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest B and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest B has been reduced to zero; fourth, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest M-8 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-8 has been reduced to zero; fifth, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest M-7 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-7 has been reduced to zero; sixth, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest M-6 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-6 has been reduced to zero; seventh, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest M-5 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-5 has been reduced to zero; eighth, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest M-4 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-4 has been reduced to zero; ninth, to the Uncertificated Principal Balances of REMIC 2 Regular Interest AA, REMIC 2 Regular Interest M-3 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-3 has been reduced to zero; tenth, to the Uncertificated Principal Balances of REMIC 2 Regular Interest 1-AA, REMIC 2 Regular Interest M-2 and REMIC 2 Regular Interest 1-ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-2 has been reduced to zero; eleventh, to the Uncertificated Principal Balance of REMIC 2 Regular Interest M-1 and REMIC 2 Regular Interest ZZ, 98.00%, 1.00% and 1.00%, respectively, until the Uncertificated Principal Balance of REMIC 2 Regular Interest M-1 has been reduced to zero; and twelfth, REMIC 2 Regular Interest 1-AA, 98.00%, to the Uncertificated Principal Balances of REMIC 2 Regular Interests A-1, A-2, A-2M, A-3, A-3M, A-4, A-4M, A-5, A-5M, A-6, A-6M and A-7, 1.00% pro rata, and to the Uncertificated Principal Balance of REMIC 2 Regular Interest ZZ, 1.00%, until the Uncertificated Principal Balances of such REMIC 2 Regular Interests A-1, A-2, A-2M, A-3, A-3M, A-4, A-4M, A-5, A-5M, A-6, A-6M and A-7 have been reduced to zero, provided that (i) any such Realized Losses otherwise allocable to REMIC 2 Regular Interest A-2 shall be first allocated to REMIC 2 Regular Interest A-2M, until the Uncertificated Principal Balance thereof has been reduced to zero, (ii) any such Realized Losses otherwise allocable to REMIC 2 Regular Interest A-3 shall be first allocated to REMIC 2 Regular Interest A-3M, until the Uncertificated Principal Balance thereof has been reduced to zero, (iii) any such Realized Losses otherwise allocable to REMIC 2 Regular Interest A-4 shall be first allocated to REMIC 2 Regular Interest A-4M, until the Uncertificated Principal Balance thereof has been reduced to zero, (iv) any such Realized Losses otherwise allocable to REMIC 2 Regular Interest A-5 shall be first allocated to REMIC 2 Regular Interest A-5M, until the Uncertificated Principal Balance thereof has been reduced to zero, and (v) any such Realized Losses otherwise allocable to REMIC 2 Regular Interest A-6 shall be first allocated to REMIC 2 Regular Interest A-6M, until the Uncertificated Principal Balance thereof has been reduced to zero.
Section 4.06. | Information Reports to Be Filed by the Master Servicer. |
The Master Servicer or the Sub-Servicers shall file information reports with respect to the receipt of mortgage interest received in a trade or business, foreclosures and abandonments of any Mortgaged Property and the information returns relating to cancellation of indebtedness income with respect to any Mortgaged Property required by Sections 6050H, 6050J and 6050P of the Code, respectively, and deliver to the Trustee an Officers’ Certificate stating that such reports have been filed. Such reports shall be in form and substance sufficient to meet the reporting requirements imposed by such Sections 6050H, 6050J and 6050P of the Code.
Section 4.07. | Compliance with Withholding Requirements. |
Notwithstanding any other provision of this Agreement, the Trustee shall comply with all federal withholding requirements respecting payments to Certificateholders of interest or original issue discount on the Mortgage Loans, that the Trustee reasonably believes are applicable under the Code. The consent of Certificateholders shall not be required for such withholding. In the event the Trustee withholds any amount from interest or original issue discount payments or advances thereof to any Certificateholder pursuant to federal withholding requirements, the Trustee shall, together with its monthly report to such Certificateholders pursuant to Section 4.02 hereof, indicate such amount withheld.
Section 4.08. | Net WAC Shortfall Reserve Fund. |
(a) On the Closing Date, the Trustee shall establish and maintain in its name, in trust for the benefit of Class A, Class M and Class B Certificates, the Net WAC Shortfall Reserve Fund. In addition, on the Closing Date, the Depositor shall deposit into the Net WAC Shortfall Reserve Fund an amount equal to the Net WAC Shortfall Reserve Fund Deposit. On each Distribution Date as to which there is a Net WAC Shortfall Amount payable to any Class of Class A, Class M and Class B Certificates, the Trustee shall deposit the amounts distributable pursuant to clause (v) of Section 4.01(e) into the Net WAC Shortfall Reserve Fund, and the Trustee has been directed by the Holders of the Class C Certificates to distribute amounts then on deposit in the Net WAC Shortfall Reserve Fund to the Holders of the Class A, Class M and Class B Certificates in respect of the Net WAC Shortfall Amounts in the priorities set forth in clause (v) of Section 4.01(e). Any amount paid to the Holders of any Class A, Class M and Class B Certificates pursuant to the preceding sentence in respect of Net WAC Shortfall Amounts from amounts distributable pursuant to clause (v) of Section 4.01(e) shall be treated as distributed to the Holders of the Class C Certificates and paid by such Holders to the Holders of such Class A, Class M and Class B Certificates. Any payments to the Holders of the Class A, Class M and Class B Certificates in respect of Net WAC Shortfall Amounts pursuant to the second preceding sentence shall not be payments with respect to a Regular Interest in a REMIC within the meaning of Code Section 860G(a)(1).
(b) The Net WAC Shortfall Reserve Fund is an “outside reserve fund” within the meaning of Treasury Regulation Section 1.860G-2(h) and shall be an asset of the Trust Fund but not an asset of any REMIC. The Trustee on behalf of the Trust shall be the nominal owner of the Net WAC Shortfall Reserve Fund. The Holders of the Class C Certificates shall be the beneficial owners of the Net WAC Shortfall Reserve Fund, subject to the power of the Trustee to transfer amounts under Section 4.01. Amounts in the Net WAC Shortfall Reserve Fund shall, at the written direction of the Holders of the Class C Certificates be invested in Permitted Investments that mature no later than the Business Day prior to the next succeeding Distribution Date. In the absence of such written direction, all funds in the Net WAC Shortfall Reserve Fund shall remain uninvested. All net income and gain from such investments shall be distributed to the Holders of the Class C Certificates not as a distribution in respect of any interest in any REMIC, on each such Distribution Date. All amounts earned on amounts on deposit in the Net WAC Shortfall Reserve Fund shall be taxable to the Holders of the Class C Certificates. Any losses on such investments shall be deposited in the Net WAC Shortfall Reserve Fund by the Holders of the Class C Certificates out of their own funds immediately as realized.
Section 4.09. | Supplemental Interest Trust. |
(i) As of the Closing Date, the Trustee is directed to enter into the Swap Novation Agreement and shall establish and maintain in the name of the Trustee, the Supplemental Interest Trust for the benefit of the Swap Provider and the Holders of the Class A, Class M and Class B Certificates, on the terms and conditions set forth in the Swap Novation Agreement. The Supplemental Interest Trust shall hold the Interest Rate Swap Agreement, the Class IO Interest and the Swap Account. The Trustee shall establish an Eligible Account (the “Swap Account”) into which the Depositor shall deposit $1,000 on the Closing Date. Funds on deposit in the Swap Account shall be held separate and apart from, and shall not be commingled with, any other moneys, including, without limitation, other moneys of the Trustee or held pursuant to this Agreement.
(ii) On each Distribution Date, the Trustee shall deposit into the Swap Account amounts distributable to the Supplemental Interest Trust with respect to the Interest Rate Swap Agreement pursuant to Sections 4.01(a) (fifth paragraph) and 4.01(e)(vi) of this Agreement. In addition, the Trustee shall deposit into the Swap Account for payment to the Swap Provider any Swap Optional Termination Payment with respect to the Interest Rate Swap Agreement paid as part of the repurchase price payable under Section 9.01(a)(i) in connection with the optional repurchase of Mortgage Loans. On each Distribution Date, the Trustee shall distribute any such amounts described in the two preceding sentences to the Swap Provider pursuant to the Interest Rate Swap Agreement, first to pay any Net Swap Payment owed to the Swap Provider for such Distribution Date or remaining unpaid from prior Distribution Dates, and second to pay any Swap Termination Payment owed to the Swap Provider for such Distribution Date or remaining unpaid from prior Distribution Dates.
(iii) On each Distribution Date, the Trustee shall deposit into the Swap Account amounts received by the Supplemental Interest Trust under the Interest Rate Swap Agreement from the Swap Provider. On each Distribution Date, the Trustee shall, and the Trustee has been directed by the Holders of the Class C Certificates to, distribute from the Swap Account an amount equal to the amount of any Net Swap Payment or Swap Termination Payment received from the Swap Provider under the Interest Rate Swap Agreement, in the following order of priority:
(a) first, an amount equal to the aggregate amount required under Section 4.01(f) to be distributed on such Distribution Date, to the Class A, Class M and Class B Certificateholders in accordance with Section 4.01(f) of this Agreement, and
(b) second, any remainder, to the holder of the Class C Certificates.
(iv) The Supplemental Interest Trust constitutes an “outside reserve fund” within the meaning of Treasury Regulation Section 1.860G-2(h) and shall not be an asset of any REMIC. The Holders of the Class C Certificates shall be the beneficial owner of the Supplemental Interest Trust. The Trustee shall keep records that accurately reflect the funds on deposit in the Swap Account. The Trustee shall, at the written direction of the Holders of the Class C Certificates invest amounts on deposit in the Supplemental Interest Trust in Permitted Investments that mature no later than the Business Day prior to the next succeeding Distribution Date. In the absence of such written direction, all funds in the Supplemental Interest Trust shall remain uninvested. On each Distribution Date, the Trustee shall distribute, not as a distribution in respect of any interest in any REMIC, any income or gain earned on the invested assets in any Supplemental Interest Trust to the Holders of the Class C Certificates. All amounts earned on deposit in the Supplemental Interest Trust shall be taxable to the Holders of the Class C Certificates. Any losses on such investments shall be deposited in the Supplemental Interest Trust by the Holders of the Class C Certificates out of their own funds immediately as realized.
(v) For federal income tax purposes, amounts paid to the Supplemental Interest Trust on each Distribution Date pursuant to Sections 4.01(a) (fifth paragraph, except for the fourth sentence thereof) for payment to the Swap Provider with respect to the Interest Rate Swap Agreement shall first be deemed to be paid to the Supplemental Interest Trust in respect of the Class IO Interest to the extent of the amount distributable on such Class IO Interest on such Distribution Date, and shall then be deemed to be paid to the Supplemental Interest Trust in respect of a Class IO Distribution Amount as described below.
(vi) The Trustee shall treat the Holders of the Class A, Class M and Class B Certificates as having entered into a notional principal contract with respect to the Holders of the Class C Certificates. Pursuant to each such notional principal contract, all Holders of the Class A, Class M and Class B Certificates shall be treated as having agreed to pay, on each Distribution Date, to the Holder of the Class C Certificates an aggregate amount equal to the excess, if any, of (i) the amount payable on such Distribution Date on the REMIC 3 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, with respect to each such Certificate, (i) the amount of interest otherwise payable to the REMIC 3 Regular Interest relating to such Certificate over (ii) the amount of interest payable to such Certificate at a per annum rate equal to the Net WAC Rate, and a Class IO Distribution Amount payable from principal collections shall be allocated to the most subordinate Class of the Class A, Class M, Class B and Class C 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 C Certificates shall be treated as having agreed to pay Net WAC Shortfall Amounts to the Holders of the Class A, Class M and Class B Certificates from amounts received by the Supplemental Interest Trust pursuant to the Interest Rate Swap Agreement in accordance with the terms of this Agreement. Any payments deemed to be received by Holders of the Class A, Class M, Class B and Class C Certificates pursuant to this notional principal contract shall not be payments with respect to a Regular Interest in a REMIC within the meaning of Section 860G(a)(1) of the Code. However, any payment from the Class A, Class M and Class B 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 3 and as having been paid by such Holders to the Supplemental Interest Trust pursuant to the notional principal contract. Thus, each Class A, Class M, Class B and Class C Certificate shall be treated as representing not only ownership of a Regular Interest in REMIC 3, but also ownership of an interest in, and obligations with respect to, a notional principal contract.
(vii) Upon a Swap Early Termination other than in connection with the optional termination of the trust, the Supplemental Interest Trust Trustee at the written direction of the Depositor will use reasonable efforts to appoint a successor swap provider to replace the Swap Provider as a party under the Interest Rate Swap Agreement, or, if such a replacement is unavailable, to enter a new interest rate swap agreement on substantially similar terms as the Interest Rate Swap Agreement, in either case with a successor swap provider meeting all rating agency requirements and any third party consent requirements. If the Supplemental Interest Trust Trustee receives a Swap Termination Payment from the Swap Provider in connection with such Swap Early Termination, the Supplemental Interest Trust Trustee will apply such Swap Termination Payment to any upfront payment required to appoint the successor swap provider. If the Supplemental Interest Trust Trustee is required to pay a Swap Termination Payment to the Swap Provider in connection with such Swap Early Termination, the Supplemental Interest Trust Trustee will apply any upfront payment received from the successor swap provider to pay such Swap Termination Payment. If the Supplemental Interest Trust Trustee is unable to appoint a successor swap provider within 30 days of the Swap Early Termination, then the Supplemental Interest Trust Trustee will deposit any Swap Termination Payment received from the original Swap Provider into the Swap Account and will, on each subsequent distribution date, withdraw from the amount then remaining on deposit in the Swap Account an amount equal to the Net Swap Payment, if any, that would have been paid to the Supplemental Interest Trust Trustee by the original Swap Provider calculated in accordance with the terms of the original Interest Rate Swap Agreement, and distribute such amount to the holders of the Offered Certificates of amounts described in clauses (iii) above.
(viii) In the event that the Swap Provider fails to perform any of its obligations under the Interest Rate Swap Agreement (including, without limitation, its obligation to make any payment or transfer collateral), or breaches any of its representations and warranties thereunder, or in the event that an Event of Default, Termination Event, or Additional Termination Event (each as defined in the Interest Rate Swap Agreement) occurs with respect to the Interest Rate Swap Agreement, the Supplemental Interest Trust Trustee shall immediately, but no later than the next Business Day following such failure or breach, notify the Depositor and send any notices and make any demands, on behalf of the Supplemental Interest Trust, in accordance with the Interest Rate Swap Agreement.
In the event that the Swap Provider’s obligations are guaranteed by a third party under a guaranty relating to the Interest Rate Swap Agreement (such guaranty the “Guaranty” and such third party the “Guarantor”), then to the extent that the Swap Provider fails to make any payment by the close of business on the day it is required to make payment under the terms of the Interest Rate Swap Agreement, the Supplemental Interest Trust Trustee shall, as soon as practicable, but no later than two (2) business days after the Swap Provider’s failure to pay, demand that the Guarantor make any and all payments then required to be made by the Guarantor pursuant to such Guaranty; provided, that the Supplemental Interest Trust Trustee shall in no event be liable for any failure or delay in the performance by the Swap Provider or any Guarantor of its obligations hereunder or pursuant to the Interest Rate Swap Agreement and the Guaranty, nor for any special, indirect or consequential loss or damage of any kind whatsoever (including but not limited to lost profits) in connection therewith.
The Supplemental Interest Trust Trustee shall cause any replacement swap provider to provide a copy of the related replacement interest rate swap agreement to the Depositor.
Section 4.10. Tax Treatment of Class IO Distribution Amounts in the Event of Resecuritization of Class A, Class M or Class B Certificates.
In the event that any Class A, Class M or Class B Certificate is resecuritized in a REMIC (the “Resecuritization REMIC”), for federal income tax purposes, (i) payments on the REMIC 3 Regular Interest corresponding to such Class A, Class M or Class B Certificate shall, for the avoidance of doubt, be deemed to include the Class IO Distribution Amount, and (ii) to the extent provided in the operative documents for the Resecuritization REMIC, (a) payments on the “regular interests” issued by the Resecuritization REMIC shall be deemed to include in the aggregate such Class IO Distribution Amount, and (b) such Class IO Distribution Amount shall be deemed paid to the holder of the Class C Certificates pursuant to a notional principal contract entered into by the holders of one or more “regular interests” issued by the Resecuritization REMIC (“Resecuritization Holders”) and the Holder of the Class C Certificates. In such event, Class IO Distribution Amounts deemed paid by Resecuritization Holders under clause (b) of the immediately preceding sentence shall be paid on behalf of such holders pursuant to Section 4.09(ii) hereof.
Section 4.11. | The Certificate Guaranty Insurance Policy. |
If the Trustee determines that a Deficiency Amount exists for such Distribution Date, the Trustee shall complete the notice as set forth in the Certificate Guaranty Insurance Policy (the “Notice”) and submit such Notice in accordance with the Certificate Guaranty Insurance Policy to the Certificate Insurer no later than 12:00 P.M., New York City time, on the Business Day immediately preceding each Distribution Date, as a claim for an Insured Amount (provided that the Trustee shall submit such notice on the second Business Day immediately preceding such Distribution Date if it is able to do so) in an amount equal to such Deficiency Amount.
The Trustee shall establish and maintain the Insurance Account on behalf of the Holders of the Class A-1 Certificates. Upon receipt of an Insured Amount from the Certificate Insurer on behalf of the Class A-1 Certificateholders, the Trustee shall deposit such Insured Amount in the Insurance Account. All amounts on deposit in the Insurance Account shall remain uninvested. On each Distribution Date, the Trustee shall transfer any Insured Amount then on deposit in the Insurance Account to the Certificate Account. The Trustee shall distribute on each Distribution Date the Deficiency Amount for such Distribution Date from the Certificate Account, together with the distributions due to the Class A-1 Certificateholders on such Distribution Date, as follows: (i) the portion of any such Deficiency Amount related to the first and second sentences of the definition of Deficiency Amount shall be distributed among the Class A-1 Certificateholders on a pro rata basis in accordance with their respective shortfalls or allocations of Realized Losses, as applicable; and (ii) the portion of any such Deficiency Amount related to the third sentence of the definition of Deficiency Amount shall be distributed to the Class A-1 Certificateholders in accordance with Section 9.01(a).
The Trustee shall (i) receive as attorney-in-fact of each Class A-1 Certificateholder any Insured Amount from the Certificate Insurer and (ii) distribute such Insured Amount to such Class A-1 Certificateholders as set forth above. Insured Amounts disbursed by the Trustee from proceeds of the Certificate Guaranty Insurance Policy shall not be considered payment by the Trust Fund with respect to the Class A-1 Certificates, nor shall such disbursement of such Insured Amounts discharge the obligations of the Trust Fund with respect to the amounts thereof, and the Certificate Insurer shall become owner of such amounts to the extent covered by such Insured Amounts as the deemed assignee of such Class A-1 Certificateholders. The Trustee hereby agrees on behalf of each Class A-1 Certificateholder (and each Class A-1 Certificateholder, by its acceptance of its Class A-1 Certificates, hereby agrees) for the benefit of the Certificate Insurer that the Trustee shall recognize that to the extent the Certificate Insurer pays Insured Amounts, either directly or indirectly (as by paying through the Trustee), to the Class A-1 Certificateholders, the Certificate Insurer will be entitled to be subrogated to the rights of the Class A-1 Certificateholders to the extent of such payments.
ARTICLE V
THE CERTIFICATES
Section 5.01. | The Certificates. |
(a) The Certificates will be substantially in the respective forms annexed hereto as Exhibits A and B-1 through B-5. The Certificates will be issuable in registered form only. The Certificates (other than the Class P, Class C and Class R Certificates) will be issued in minimum denominations of $25,000 Initial Certificate Principal Balance and integral multiples of $1 in excess thereof. The Class C Certificates will be issued in minimum denominations of $1.00 Initial Notional Amount and integral multiples of $1.00 in excess thereof. The Class P Certificates and the Class R Certificates will each be issuable in minimum denominations of any Percentage Interest representing 10.00% and multiples of 0.01% in excess thereof.
Upon original issue, the Certificates shall, upon the written request of the Depositor executed by an officer of the Depositor, be executed and delivered by the Trustee, authenticated by the Trustee and delivered to or upon the order of the Depositor upon receipt by the Trustee of the documents specified in Section 2.01. The Certificates shall be executed by manual or facsimile signature on behalf of the Trustee in its capacity as trustee hereunder by a Responsible Officer. Certificates bearing the manual or facsimile signatures of individuals who were at the time they signed the proper officers of the Trustee shall bind the Trustee, notwithstanding that such individuals or any of them have ceased to hold such offices prior to the authentication and delivery of such Certificates or did not hold such offices at the date of such Certificates. No Certificate shall be entitled to any benefit under this Agreement, or be valid for any purpose, unless there appears on such Certificate a certificate of authentication substantially in the form provided for herein executed by the Trustee by manual signature, and such certificate upon any Certificate shall be conclusive evidence, and the only evidence, that such Certificate has been duly authenticated and delivered hereunder. All Certificates issued on the Closing Date shall be dated the Closing Date and any Certificates delivered thereafter shall be dated the date of their authentication.
(b) The Class A Certificates and the Subordinate Certificates shall initially be issued as one or more Certificates registered in the name of the Depository or its nominee and, except as provided below, registration of such Certificates may not be transferred by the Trustee except to another Depository that agrees to hold such Certificates for the respective Certificate Owners with Ownership Interests therein. The Certificate Owners shall hold their respective Ownership Interests in and to each of such Book-Entry Certificates through the book-entry facilities of the Depository and, except as provided below, shall not be entitled to Definitive Certificates in respect of such Ownership Interests. All transfers by Certificate Owners of their respective Ownership Interests in the Book-Entry Certificates shall be made in accordance with the procedures established by the Depository Participant or brokerage firm representing such Certificate Owner. Each Depository Participant shall transfer the Ownership Interests only in the Book-Entry Certificates of Certificate Owners it represents or of brokerage firms for which it acts as agent in accordance with the Depository's normal procedures. The Trustee shall not be required to monitor, determine or inquire as to compliance with the transfer restrictions with respect to the Book-Entry Certificates, and the Trustee shall have no liability for transfers of Ownership Interests in the Book Entry Certificates made through the book-entry facilities of the Depositary or between or among Depositary Participants or Certificate Owners, made in violation of the applicable restrictions.
The Trustee, the Master Servicer and the Depositor may for all purposes (including the making of payments due on the respective Classes of Book-Entry Certificates) deal with the Depository as the authorized representative of the Certificate Owners with respect to the respective Classes of Book-Entry Certificates for the purposes of exercising the rights of Certificateholders hereunder. The rights of Certificate Owners with respect to the respective Classes of Book-Entry Certificates shall be limited to those established by law and agreements between such Certificate Owners and the Depository Participants and brokerage firms representing such Certificate Owners. Multiple requests and directions from, and votes of, the Depository as Holder of any Class of Book-Entry Certificates with respect to any particular matter shall not be deemed inconsistent if they are made with respect to different Certificate Owners. The Trustee may establish a reasonable record date in connection with solicitations of consents from or voting by Certificateholders and shall give notice to the Depository of such record date.
If (i)(A) the Depositor advises the Trustee in writing that the Depository is no longer willing or able to properly discharge its responsibilities as Depository and (B) the Depositor is unable to locate a qualified successor or (ii) the Depositor at its option advises the Trustee in writing that it elects to terminate the book-entry system through the Depository, the Trustee shall notify all Certificate Owners, through the Depository, of the occurrence of any such event and of the availability of Definitive Certificates to Certificate Owners requesting the same. Upon surrender to the Trustee of the Book-Entry Certificates by the Depository, accompanied by registration instructions from the Depository for registration of transfer, the Trustee shall, at the expense of the Depositor, issue the Definitive Certificates. Neither the Depositor, the Master Servicer nor the Trustee shall be liable for any actions taken by the Depository or its nominee, including, without limitation, 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 and the Master Servicer shall recognize the Holders of the Definitive Certificates as Certificateholders hereunder.
(c) Each Certificate is intended to be a “security” governed by Article 8 of the Uniform Commercial Code as in effect in the State of New York and any other applicable jurisdiction, to the extent that any of such laws may be applicable.
Section 5.02. | Registration of Transfer and Exchange of Certificates. |
(a) The Trustee shall maintain a Certificate Register in which, subject to such reasonable regulations as it may prescribe, the Trustee shall provide for the registration of Certificates and of transfers and exchanges of Certificates as herein provided.
(b) Except as provided in Section 5.02(c), no transfer, sale, pledge or other disposition of a Class P, Class C or Class R Certificate shall be made unless such transfer, sale, pledge or other disposition is exempt from the registration requirements of the Securities Act of 1933, as amended (the “Act”), and any applicable state securities laws or is made in accordance with said Act and laws. In the event that a transfer of a Class P, Class C or Class R Certificate is to be made under this Section 5.02(b), (i) the Trustee shall require an Opinion of Counsel acceptable to and in form and substance satisfactory to the Trustee that such transfer shall be made pursuant to an exemption, describing the applicable exemption and the basis therefor, from said Act and laws or is being made pursuant to said Act and laws, which Opinion of Counsel shall not be an expense of the Trustee, the Depositor or the Master Servicer, provided that such Opinion of Counsel will not be required in connection with the initial transfer of any such Certificate by the Depositor or any affiliate thereof, to a non-affiliate of the Depositor and (ii) the Trustee shall require the transferee to execute a representation letter, substantially in the form of Exhibit G-1 hereto, and the Trustee shall require the transferor to execute a representation letter, substantially in the form of Exhibit G-2 hereto, each acceptable to and in form and substance satisfactory to the Trustee certifying to the Depositor and the Trustee the facts surrounding such transfer, which representation letters shall not be an expense of the Trustee, the Depositor or the Master Servicer; provided, however, that such representation letters will not be required in connection with any transfer of any such Certificate by the Depositor to an affiliate of the Depositor 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. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor and the Master Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such applicable federal and state laws.
No transfer of any Class C Certificate shall be made unless the transferee of such Class C Certificate provides to the Trustee the appropriate tax certification form (i.e., IRS Form W-9 or IRS Form W-8BEN, W-8IMY, or W-8ECI, as applicable (or any successor form thereto)), as a condition to such transfer and agrees to update such forms (i) upon expiration of any such form, (ii) as required under then applicable U.S. Treasury regulations and (iii) promptly upon learning that any IRS Form W-9 or IRS Form W-8BEN, W-8IMY, or W-8ECI, as applicable (or any successor form thereto), has become obsolete or incorrect. Upon receipt of any such tax certification form from a transferee of any Class C Certificate, the Trustee shall provide a copy of such tax certification form to the Supplemental Interest Trust Trustee. The Supplemental Interest Trust Trustee shall provide a copy of any such tax certification form to the Swap Provider.
(c) Notwithstanding the requirements of Section 5.02(b), transfers of Class P, Class C and Class R Certificates may be made in accordance with this Section 5.02(c) if the prospective transferee of a Certificate provides the Trustee and the Depositor with an investment letter substantially in the form of Exhibit G-3 attached hereto, which investment letter shall not be an expense of the Trustee, the Depositor or the Master Servicer, and which investment letter states that, among other things, such transferee is a “qualified institutional buyer” as defined under Rule 144A. Such transfers shall be deemed to have complied with the requirements of Section 5.02(b) hereof; provided, however, that no Transfer of any of the Class P, Class C and Class R Certificates may be made pursuant to this Section 5.02(c) by the Depositor. Any such Certificateholder desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee, the Depositor and the Master Servicer against any liability that may result if the transfer is not so exempt or is not made in accordance with such applicable federal and state laws.
The Trustee shall require an Opinion of Counsel, on which the Trustee, Depositor and Master Servicer may rely, from a prospective transferee prior to the transfer of any Class P, Class C and Class R Certificate to any employee benefit plan or other retirement arrangement, including individual retirement accounts and Keogh plans, that is subject to the Employee Retirement Income Security Act of 1974, as amended (“ERISA”) or Section 4975 of the Code (any of the foregoing, a “Plan”), to a trustee or other Person acting on behalf of any Plan, or to any other person who is using “plan assets” of any Plan to effect such acquisition (including any insurance company using funds in its general or separate accounts that may constitute “plan assets”). Such Opinion of Counsel must establish to the satisfaction of the Trustee that such transfer is permissible under applicable law, will not constitute or result in a prohibited transaction under Section 406 of ERISA and Section 4975 of the Code, and will not subject the Trustee, the Master Servicer or the Depositor to any obligation in addition to those undertaken in this Agreement. Neither the Depositor, the Master Servicer nor the Trustee, will be required to obtain such Opinion of Counsel on behalf of any prospective transferee.
Prior to the termination of the Supplemental Interest Trust, each beneficial owner of an Offered 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 Prohibited Transaction Exemption 2002-41 (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 of Prohibited Transaction Class Exemption (“PTCE”) 84-14, 91-38, 95-60, 90-1 or 96-23.
Each beneficial owner of a Subordinate Certificate or any interest therein which is acquired subsequent to the termination of the Supplemental Interest Trust shall 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 or a trustee or other Person acting on behalf of a Plan or using “plan assets” of a Plan to effect such acquisition (including any insurance company using funds in its general or separate accounts that may constitute “plan assets”), (ii) it has acquired and is holding such Certificate in reliance on the Exemption, and that it understands that there are certain conditions to the availability of the Exemption, including that the Certificate must be rated, at the time of purchase, not lower than “BBB-” (or its equivalent) by Standard & Poor’s, Fitch Ratings, Inc. or Moody’s, and the Certificate is so rated 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.
(d) [Reserved]
(e) (i) Each Person who has or who acquires any Ownership Interest in a Class R 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 authorized the Trustee or its designee under clause (iii)(A) below to deliver payments to a Person other than such Person and to negotiate the terms of any mandatory sale under clause (iii)(B) below and to execute all instruments of transfer and to do all other things necessary in connection with any such sale. The rights of each Person acquiring any Ownership Interest in a Class R Certificate are expressly subject to the following provisions:
(A) Each Person holding or acquiring any Ownership Interest in a Class R Certificate shall be a Permitted Transferee and shall promptly notify the Trustee of any change or impending change in its status as a Permitted Transferee.
(B) In connection with any proposed Transfer of any Ownership Interest in a Class R Certificate, the Trustee shall require delivery to it, and shall not register the Transfer of any Class R Certificate until its receipt, of (I) an affidavit and agreement (a “Transfer Affidavit and Agreement” in the form attached hereto as Exhibit G-5) from the proposed Transferee, in form and substance satisfactory to the Trustee representing and warranting, among other things, that it is a Permitted Transferee, that it is not acquiring its Ownership Interest in the Class R Certificate that is the subject of the proposed Transfer as a nominee, trustee or agent for any Person who is not a Permitted Transferee, that for so long as it retains its Ownership Interest in a Class R Certificate, it will endeavor to remain a Permitted Transferee, and that it has reviewed the provisions of this Section 5.02 and agrees to be bound by them, and (II) a certificate, in the form attached hereto as Exhibit G-4, from the Holder wishing to transfer the Class R Certificate, in form and substance satisfactory to the Trustee representing and warranting, among other things, that no purpose of the proposed Transfer is to impede the assessment or collection of tax and that it has no knowledge that the proposed transferee is not a Permitted Transferee.
(C) Notwithstanding the delivery of a Transfer Affidavit and Agreement by a proposed Transferee under clause (B) above, if a Responsible Officer of the Trustee assigned to this transaction has actual knowledge that the proposed Transferee is not a Permitted Transferee, no Transfer of an Ownership Interest in a Class R Certificate to such proposed Transferee shall be effected.
(D) Each Person holding or acquiring any Ownership Interest in a Class R Certificate shall agree (x) to require a Transfer Affidavit and Agreement from any other Person to whom such Person attempts to transfer its Ownership Interest in a Class R Certificate and (y) not to transfer its Ownership Interest unless it provides a certificate to the Trustee in the form attached hereto as Exhibit G-4.
(E) Each Person holding or acquiring an Ownership Interest in a Class R Certificate, by purchasing an Ownership Interest in such Certificate, agrees to give the Trustee written notice that it is a “pass-through interest holder” within the meaning of Temporary Treasury Regulations Section 1.67-3T(a)(2)(i)(A) immediately upon acquiring an Ownership Interest in a Class R Certificate, if it is “a pass-through interest holder”, or is holding an Ownership Interest in a Class R Certificate on behalf of a “pass-through interest holder.”
(ii) The Trustee will register the Transfer of any Class R Certificate only if it shall have received the Transfer Affidavit and Agreement in the form attached hereto as Exhibit G-5, a certificate of the Holder requesting such transfer in the form attached hereto as Exhibit G-4 and all of such other documents as shall have been reasonably required by the Trustee as a condition to such registration. Transfers of the Class R Certificates other than to Permitted Transferees are prohibited.
(iii) (A) If any Person other than a Permitted Transferee shall become a Holder of a Class R Certificate, then the last preceding Permitted Transferee shall be restored, to the extent permitted by law, to all rights and obligations as Holder thereof retroactive to the date of registration of such Transfer of such Class R Certificate. If a transfer of a Class R Certificate is disregarded pursuant to the provisions of Treasury Regulations Section 1.860E-1 or Section 1.860G-3, then the last preceding Permitted Transferee shall be restored, to the extent permitted by law, to all rights and obligations as Holder thereof retroactive to the date of registration of such transfer of such Class R Certificate. The prior Holder shall be entitled to recover from any purported Holder of a Class R Certificate that was in fact not a Permitted Transferee under this Section 5.02(e) at the time it became a Holder all payments made on such Class R Certificate. Each Holder of a Class R Certificate, by acceptance thereof, shall be deemed for all purposes to have consented to the provisions of this Section 5.02(e) and to any amendment of this Agreement deemed necessary (whether as a result of new legislation or otherwise) by counsel of the Depositor to ensure that the Class R Certificates are not transferred to any Person who is not a Permitted Transferee and that any transfer of such Class R Certificates will not cause the imposition of a tax upon the Trust or cause any such REMIC to fail to qualify as a REMIC. Neither the Trustee nor the Trustee shall be under any liability to any Person for any registration of Transfer of a Class R Certificate that is in fact not permitted by this Section 5.02 or for making any payments due on such Certificate to the Holder thereof or for taking any other action with respect to such Holder under the provisions of this Agreement.
(B) If any purported Transferee shall become a Holder of a Class R Certificate in violation of the restrictions in this Section 5.02 and to the extent that the retroactive restoration of the rights of the Holder of such Class R Certificate as described in clause (iii)(A) above shall be invalid, illegal or unenforceable, then the Trustee shall have the right, without notice to the Holder or any prior Holder of such Class R Certificate, to sell such Class R Certificate to a purchaser selected by the Trustee on such terms as the Trustee may choose. Such purported Transferee shall promptly endorse and deliver each Class R Certificate in accordance with the instructions of the Trustee. Such purchaser may be the Trustee itself. The proceeds of such sale, net of the commissions (which may include commissions payable to the Trustee), expenses and taxes due, if any, will be remitted by the Trustee to such purported Transferee. The terms and conditions of any sale under this clause (iii)(B) shall be determined in the sole discretion of the Trustee, and the Trustee shall not be liable to any Person having an Ownership Interest in a Class R Certificate as a result of its exercise of such discretion.
(iv) The Trustee shall make available to the Internal Revenue Service and those Persons specified by the REMIC Provisions, all information necessary to compute any tax imposed (A) as a result of the transfer of an ownership interest in a Class R Certificate to any Person who is a Disqualified Organization, including the information regarding “excess inclusions” of such Class R Certificates required to be provided to the Internal Revenue Service and certain Persons as described in Treasury Regulations Sections 1.860D-1(b)(5) and 1.860E-2(a)(5), and (B) as a result of any regulated investment company, real estate investment trust, common trust fund, partnership, trust, estate or organization described in Section 1381 of the Code that holds an Ownership Interest in a Class R Certificate having as among its record Holders at any time any Person who is a Disqualified Organization. The Trustee may charge and shall be entitled to reasonable compensation for providing such information as may be required from those Persons which may have had a tax imposed upon them as specified in clauses (A) and (B) of this paragraph for providing such information.
(f) Subject to the preceding paragraphs, upon surrender for registration of transfer of any Certificate at the office of the Trustee maintained for such purpose, the Trustee shall execute and the Trustee shall authenticate and deliver, in the name of the designated transferee or transferees, one or more new Certificates of the same Class of a like aggregate Percentage Interest. Every Certificate surrendered for transfer shall be accompanied by notification of the account of the designated transferee or transferees for the purpose of receiving distributions pursuant to Section 4.01 by wire transfer, if any such transferee desires and is eligible for distribution by wire transfer.
(g) At the option of the Certificateholders, Certificates may be exchanged for other Certificates of authorized denominations of the same Class of a like aggregate Percentage Interest, upon surrender of the Certificates to be exchanged at the office of the Trustee. Whenever any Certificates are so surrendered for exchange the Trustee shall execute, authenticate and deliver the Certificates which the Certificateholder making the exchange is entitled to receive. Every Certificate presented or surrendered for transfer or exchange shall (if so required by the Trustee) be duly endorsed by, or be accompanied by a written instrument of transfer in the form satisfactory to the Trustee duly executed by, the Holder thereof or his attorney duly authorized in writing. In addition, with respect to each Class R Certificate, the Holder thereof may exchange, in the manner described above, such Class R Certificate for four separate Certificates, each representing such Holder's respective Percentage Interest in the Class R-1 Interest, the Class R-2 Interest and the Class R-3 Interest, respectively, in each case that was evidenced by the Class R Certificate being exchanged.
(h) No service charge shall be made to the Certificateholders for any transfer or exchange of Certificates, but the Trustee 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.
(i) All Certificates surrendered for transfer and exchange shall be canceled and retained by the Trustee in accordance with the Trustee’s standard procedures.
Section 5.03. | Mutilated, Destroyed, Lost or Stolen Certificates. |
If (i) any mutilated Certificate is surrendered to the Trustee and the Trustee receives evidence to its satisfaction of the destruction, loss or theft of any Certificate, and (ii) there is delivered to the Trustee such security or indemnity as may be required by it to save it harmless, then, in the absence of notice to the Trustee that such Certificate has been acquired by a bona fide purchaser, the Trustee shall execute, authenticate and deliver, in exchange for or in lieu of any such mutilated, destroyed, lost or stolen Certificate, a new Certificate of the same Class and Percentage Interest. Upon the issuance of any new Certificate under this Section, the Trustee 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) connected therewith. Any replacement Certificate issued pursuant to this Section shall constitute complete and indefeasible evidence of ownership in the Trust Fund, 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 Depositor, the Master Servicer, the Trustee and any agent of any of them may treat the person 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 for all other purposes whatsoever, and neither the Depositor, the Master Servicer, the Trustee nor any agent of any of them shall be affected by notice to the contrary.
Section 5.05. | Rule 144A Information. |
For so long as any Class P, Class C and Class R are outstanding and are “restricted securities” within the meaning of Rule 144(a)(3) of the Securities Act, (1) the Depositor will provide or cause to be provided to any Holder of such Certificates and any prospective purchaser thereof designated by such a Holder, upon the request of such Holder or prospective purchaser, the information required to be provided to such Holder or prospective purchaser by Rule 144A(d)(4) under the Securities Act; and (2) the Depositor shall update such information from time to time in order to prevent such information from becoming false and misleading and will take such other actions as are necessary to ensure that the safe harbor exemption from the registration requirements of the Securities Act under Rule 144A is and will be available for resales of such Certificates conducted in accordance with Rule 144A. The Master Servicer shall cooperate with the Depositor and furnish the Depositor such information in the Master Servicer's possession as the Depositor may reasonably request.
ARTICLE VI
THE DEPOSITOR AND THE MASTER SERVICER
Section 6.01. | Liability of the Depositor and the Master Servicer. |
The Depositor and the Master Servicer each shall be liable in accordance herewith only to the extent of the obligations specifically imposed upon and undertaken by the Depositor and the Master Servicer herein. Only the Master Servicer, any successor Master Servicer or the Trustee acting as Master Servicer shall be liable with respect to the servicing of the Mortgage Loans and the REO Property for actions taken by any such Person in contravention of the Master Servicer's duties hereunder.
Section 6.02. | Merger, Consolidation or Conversion of the Depositor or the Master Servicer. |
The Depositor and the Master Servicer each will keep in full effect its existence, rights and franchises as a corporation under the laws of the state of its incorporation, and each will obtain and preserve its qualification to do business as a foreign corporation in each jurisdiction in which such qualification is or shall be necessary to protect the validity and enforceability of this Agreement, the Certificates or any of the Mortgage Loans and to perform its respective duties under this Agreement.
Any Person into which the Depositor or the Master Servicer may be merged, consolidated or converted, or any corporation resulting from any merger or consolidation to which the Depositor or the Master Servicer shall be a party, or any Person succeeding to the business of the Depositor or the Master Servicer, shall be the successor of the Depositor or the Master Servicer, 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 or surviving Person to the Master Servicer shall be qualified to sell mortgage loans to and service mortgage loans for Fannie Mae or Freddie Mac.
Section 6.03. | Limitation on Liability of the Depositor, the Master Servicer and Others. |
Neither the Depositor, the Master Servicer nor any of the directors, officers, employees or agents of the Depositor or the Master 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 Depositor or the Master Servicer (but this provision shall protect the above described persons) against any breach of warranties or representations made herein, or against any specific liability imposed on the Master Servicer pursuant to Section 3.01 or any other Section hereof; and provided further that this provision shall not protect the Depositor, the Master Servicer or any such person, against any liability which would otherwise be imposed by reason of willful misfeasance, bad faith or gross negligence in the performance of duties or by reason of reckless disregard of obligations and duties hereunder. The Depositor, the Master Servicer and any director, officer, employee or agent of the Depositor or the Master 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 Depositor, the Master Servicer and any director, officer, employee or agent of the Depositor or the Master Servicer shall be indemnified and held harmless by the Trust Fund against any loss, liability or expense incurred in connection with any legal action relating to this Agreement or the Certificates (including reasonable legal fees and disbursements of counsel), other than (a) any loss, liability or expense related to Master Servicer's servicing obligations with respect to any specific Mortgage Loan or Mortgage Loans (except as any such loss, liability or expense shall be otherwise reimbursable pursuant to this Agreement) or related to the Master Servicer's obligations under Section 3.01, or (b) any loss, liability or expense incurred by reason of willful misfeasance, bad faith or gross negligence in the performance of duties hereunder or by reason of reckless disregard of obligations and duties hereunder. Neither the Depositor nor the Master Servicer shall be under any obligation to appear in, prosecute or defend any legal action which is not incidental to its respective duties under this Agreement and which in its opinion may involve it in any expense or liability; provided, however, that the Depositor or the Master Servicer may in its sole discretion undertake any such action which it 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. In such event, the legal expenses and costs of such action and any liability resulting therefrom (except any action or liability related to the Master Servicer's obligations under Section 3.01) shall be expenses, costs and liabilities of the Trust Fund, and the Depositor and the Master Servicer shall be entitled to be reimbursed therefor from the Certificate Account as provided in Section 3.11, any such right of reimbursement being prior to the rights of Certificateholders to receive any amount in the Certificate Account.
Section 6.04. | Limitation on Resignation of the Master Servicer. |
The Master Servicer shall not resign from the obligations and duties hereby imposed on it except (a) upon appointment of a successor servicer reasonably acceptable to the Trustee and the Certificate Insurer upon receipt by the Trustee and the Certificate Insurer (unless an Insurer Default has occurred and is continuing) of a letter from each Rating Agency (obtained by the Master Servicer and at its expense) that such a resignation and appointment will not, in and of itself, result in a downgrading of the Certificates without taking the Certificate Guaranty Insurance Policy into account or (b) upon determination that its duties hereunder are no longer permissible under applicable law. Any such determination permitting the resignation of the Master Servicer shall be evidenced by an Opinion of Counsel (at the expense of the resigning Master Servicer) to such effect delivered to the Trustee and the Certificate Insurer. No such resignation shall become effective until the Trustee or a successor servicer shall have assumed the Master Servicer's responsibilities, duties, liabilities and obligations hereunder.
Section 6.05. | Sale and Assignment of Master Servicing. |
The Master Servicer may sell and assign its rights and delegate its duties and obligations in their entirety as Master Servicer under this Agreement; provided, however, that: (i) the purchaser or transferee accepting such assignment and delegation (a) shall be a Person which shall be qualified to service mortgage loans for Fannie Mae or Freddie Mac; (b) shall, in the case of successor master servicers only, have a net worth of not less than $10,000,000 (unless otherwise approved by each Rating Agency pursuant to clause (ii) below); (c) shall be reasonably satisfactory to the Trustee and the Certificate Insurer (unless an Insurer Default has occurred and is continuing) (as evidenced in a writing signed by the Trustee and the Certificate Insurer) as having a comparable servicing ability to that of the Master Servicer on the Closing Date; (d) shall execute and deliver to the Trustee and the Certificate Insurer an agreement, in form and substance reasonably satisfactory to the Trustee and the Certificate Insurer, which contains an assumption by such Person of the due and punctual performance and observance of each covenant and condition to be performed or observed by it as master servicer under this Agreement and any custodial agreement, from and after the effective date of such agreement; (ii) each Rating Agency shall be given prior written notice of the identity of the proposed successor to the Master Servicer and each Rating Agency's rating of the Certificates in effect immediately prior to such assignment, sale and delegation will not be downgraded or withdrawn as a result of such assignment, sale and delegation without taking the Certificate Guaranty Insurance Policy into account, as evidenced by a letter to such effect obtained by the Master Servicer at its expense and delivered to the Trustee; and (iii) the Master Servicer assigning and selling the master servicing shall deliver to the Trustee an Officer's Certificate and an Opinion of Counsel (at the expense of the Master Servicer), each stating that all conditions precedent to such action under this Agreement have been completed and such action is permitted by and complies with the terms of this Agreement. No such assignment or delegation shall affect any liability of the Master Servicer arising prior to the effective date thereof.
ARTICLE VII
DEFAULT
Section 7.01. | Events of Default. |
“Event of Default”, wherever used herein, means any one of the following events:
(i) any failure by the Master Servicer to deposit into the Certificate Account on each Certificate Account Deposit Date the amounts required to be deposited therein (other than an Advance) under the terms of this Agreement which continues unremedied for two (2) Business Days after such amount was required to be remitted; or
(ii) any failure on the part of the Master Servicer duly to observe or perform in any material respect any other of the covenants or agreements on the part of the Master Servicer contained in the Certificates or in this Agreement (including any breach of the Master Servicer's representations and warranties pursuant to Section 2.03(a) which materially and adversely affects the interests of the Certificateholders) which continues unremedied for a period of 60 days after the date on which written notice of such failure, requiring the same to be remedied, shall have been given to the Master Servicer by the Trustee, the Certificate Insurer or to the Master Servicer, the Certificate Insurer and the Trustee by the Holders of Certificates entitled to at least 25% of the Voting Rights; or
(iii) a decree or order of a court or agency or supervisory authority having jurisdiction in an involuntary case under any present or future federal or state bankruptcy, insolvency or similar law or the appointment of a conservator or receiver or liquidator in any insolvency, readjustment of debt, marshaling of assets and liabilities or similar proceedings, or for the winding-up or liquidation of its affairs, shall have been entered against the Master Servicer and such decree or order shall have remained in force undischarged or unstayed for a period of 60 consecutive days; or
(iv) the Master Servicer shall consent to the appointment of a conservator or receiver or liquidator in any insolvency, readjustment of debt, marshaling of assets and liabilities or similar proceedings of or relating to the Master Servicer or of or relating to all or substantially all of its property; or
(v) the Master Servicer shall admit in writing its inability to pay its debts generally as they become due, file a petition to take advantage of or otherwise voluntarily commence a case or proceeding under any applicable bankruptcy, insolvency, reorganization or other similar statute, make an assignment for the benefit of its creditors, or voluntarily suspend payment of its obligations; or
(vi) the Master Servicer shall fail to deposit in the Certificate Account on any Certificate Account Deposit Date an amount equal to any required Advance which continues unremedied for the earlier of (a) a period of two (2) Business Days or (b) the Business Day immediately preceding the Distribution Date.
If an Event of Default described in clauses (i) - (v) of this Section shall occur, then, and in each and every such case, so long as such Event of Default shall not have been remedied, the Trustee, the Certificate Insurer (unless an Insurer Default has occurred and is continuing) or the Holders of Certificates entitled to at least 51% of the Voting Rights, by notice in writing to the Master Servicer and the Swap Provider (and to the Trustee if given by such Holders of Certificates), with a copy to the Rating Agencies, may terminate all of the rights and obligations (but not the liabilities) of the Master Servicer under this Agreement and in and to the Trust Fund, other than its rights as a Certificateholder hereunder; provided, however, that the successor to the Master Servicer appointed pursuant to Section 7.02 shall have accepted the duties of Master Servicer effective upon the resignation or termination of the Master Servicer. If an Event of Default described in clause (vi) hereof shall occur, the Trustee shall, by notice to the Master Servicer, the Certificate Insurer and the Depositor, terminate all of the rights and obligations of the Master Servicer under this Agreement and in and to the Trust Fund, other than its rights as a Certificateholder hereunder; provided, however, that if the Trustee determines (in its sole discretion) that the failure by the Master Servicer to make any required Advance was due to circumstances beyond its control, and the required Advance was otherwise made, the Trustee shall not terminate the Master Servicer. On or after the receipt by the Master Servicer of such notice, all authority and power of the Master Servicer under this Agreement, whether with respect to the Certificates (other than as a Holder thereof) or the Mortgage Loans or otherwise, shall pass to and be vested in the Trustee pursuant to and under this Section, and, without limitation, the Trustee is hereby authorized and empowered to execute and deliver, on behalf of the Master 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 or assignment of the Mortgage Loans and related documents, or otherwise at the expense of the Master Servicer. The Master Servicer agrees to cooperate with (and pay any related costs and expenses of) the Trustee in effecting the termination of the Master Servicer's responsibilities and rights hereunder, including, without limitation, the transfer to the Trustee or the successor Master Servicer for administration by it of (i) the property and amounts which are then or should be part of the Trust Fund or which thereafter become part of the Trust Fund; (ii) originals or copies of all documents of the Master Servicer reasonably requested by the Trustee to enable it to assume the Master Servicer's duties thereunder; (iii) the rights and obligations of the Master Servicer under the Sub-Servicing Agreements with respect to the Mortgage Loans; and (iv) all cash amounts which shall at the time be deposited by the Master Servicer or should have been deposited to the Custodial or the Certificate Account or thereafter be received with respect to the Mortgage Loans. The Trustee shall not be deemed to have breached any obligation hereunder as a result of a failure to make or delay in making any distribution as and when required hereunder caused by the failure of the Master Servicer to remit any amounts received by it or to deliver any documents held by it with respect to the Mortgage Loans. For purposes of this Section 7.01, the Trustee shall not be deemed to have knowledge of an Event of Default unless a Responsible Officer of the Trustee has actual knowledge thereof or unless notice of any event which is in fact such an Event of Default is received by the Trustee as provided in Section 11.05 and such notice references the Certificates, the Trust Fund or this Agreement.
Section 7.02. | Trustee to Act; Appointment of Successor. |
Within 90 days of the time the Master Servicer receives a notice of termination pursuant to Section 7.01(i) - (v), the Trustee or its appointed agent shall be the successor in all respects to the Master Servicer in its capacity as Master Servicer under this Agreement and the transactions set forth or provided for herein and shall be subject thereafter to all the responsibilities, duties and liabilities relating thereto placed on the Master Servicer including the obligation to make Advances which have been or will be required to be made (except for the responsibilities, duties and liabilities contained in Section 2.03 and its obligations to deposit amounts in respect of losses pursuant to Section 3.12 and 4.01(i)) by the terms and provisions hereof; and provided further, that any failure to perform such duties or responsibilities caused by the Master Servicer's failure to provide information required by Section 4.03 shall not be considered a default by the Trustee hereunder. As compensation therefor, the Trustee shall be entitled to all funds relating to the Mortgage Loans which the Master Servicer would have been entitled to charge to the Custodial Account if the Master Servicer had continued to act hereunder. If the Trustee has become the successor to the Master Servicer in accordance with Section 6.04 or Section 7.02, then notwithstanding the above, if the Trustee shall be unwilling to so act, or shall be unable to so act, the Trustee may appoint, or petition a court of competent jurisdiction or appoint, any established housing and home finance institution, which is also a Fannie Mae- or Freddie Mac-approved mortgage servicing institution, having a net worth of not less than $10,000,000 as the successor to the Master Servicer hereunder in the assumption of all or any part of the responsibilities, duties or liabilities of the Master Servicer hereunder. Pending appointment of a successor to the Master Servicer hereunder, the Trustee shall act in such capacity as herein above provided. In connection with such appointment and assumption, the Trustee may make such arrangements for the compensation of such successor out of payments on Mortgage Loans as it and such successor shall agree; provided, however, that no such compensation shall be in excess of that permitted the Master Servicer hereunder. Each of the Sponsor, the Trustee and such successor shall take such action, consistent with this Agreement, as shall be necessary to effectuate any such succession. In no event shall the successor Master Servicer be liable for the acts or omissions of the predecessor Master Servicer.
In connection with the termination or resignation of the Master Servicer hereunder, either (i) the successor Master Servicer, including the Trustee if the Trustee is acting as successor Master Servicer, shall represent and warrant that it is a member of MERS in good standing and shall agree to comply in all material respects with the rules and procedures of MERS in connection with the servicing of the Mortgage Loans that are registered with MERS, in which case the predecessor Master Servicer shall cooperate with the successor Master Servicer in causing MERS to revise its records to reflect the transfer of servicing to the successor Master Servicer as necessary under MERS' rules and regulations, or (ii) the predecessor Master Servicer shall cooperate with the successor Master Servicer in causing MERS to execute and deliver an assignment of Mortgage in recordable form to transfer the Mortgage from MERS to the Trustee and to execute and deliver such other notices, documents and other instruments as may be necessary or desirable to effect a transfer of such Mortgage Loan or servicing of such Mortgage Loan on the MERS® System to the successor Master Servicer. The predecessor Master Servicer shall file or cause to be filed any such assignment in the appropriate recording office. The predecessor Master Servicer shall bear any and all fees of MERS, costs of preparing any assignments of Mortgage, and fees and costs of filing any assignments of Mortgage that may be required under this Section 7.02. The successor Master Servicer shall cause such assignment to be delivered to the Custodian promptly upon receipt of the original with evidence of recording thereon or a copy certified by the public recording office in which such assignment was recorded.
Any successor, including the Trustee, to the Master Servicer shall maintain in force during its term as master servicer hereunder policies and fidelity bonds to the same extent as the Master Servicer is so required pursuant to Section 3.18.
Notwithstanding anything else herein to the contrary, in no event shall the Trustee be liable for any Master Servicing Fee or Sub-Servicing Fee or for any differential in the amount of the Master Servicing Fee or Sub-Servicing Fee paid hereunder and the amount necessary to induce any successor Master Servicer or Sub-Servicer, as applicable, to act as successor Master Servicer or Sub-Servicer, as applicable, under this Agreement and the transactions set forth or provided for herein.
Section 7.03. | Notification to Certificateholders. |
(a) Upon any such termination or appointment of a successor to the Master Servicer, the Trustee shall give prompt notice thereof to Certificateholders, the Certificate Insurer and to the Rating Agencies.
(b) Within 60 days after the occurrence of any Event of Default, the Trustee shall transmit by mail to all Holders of Certificates and the Swap Provider notice of each such Event of Default hereunder known to the Trustee, unless such Event of Default shall have been cured or waived.
Section 7.04. | Waiver of Events of Default. |
The Holders representing at least 51% of the Voting Rights of Certificates affected by a default or Event of Default hereunder, may waive such default or Event of Default (other than an Event of Default set forth in Section 7.01(vi)); provided, however, that (a) a default or Event of Default under clause (i) of Section 7.01 may be waived only by all of the Holders of Certificates affected by such default or Event of Default and (b) no waiver pursuant to this Section 7.04 shall affect the Holders of Certificates in the manner set forth in the second paragraph of Section 11.01 or materially adversely affect any non-consenting Certificateholder. Upon any such waiver of a default or Event of Default by the Holders representing the requisite percentage of Voting Rights of Certificates affected by such default or Event of Default, such default or Event of Default shall cease to exist and shall be deemed to have been remedied for every purpose hereunder. No such waiver shall extend to any subsequent or other default or Event of Default or impair any right consequent thereon except to the extent expressly so waived. The Master Servicer shall give notice of any such waiver to the Rating Agencies.
Section 7.05. | List of Certificateholders. |
Upon written request of three or more Certificateholders of record, for purposes of communicating with other Certificateholders with respect to their rights under this Agreement, the Trustee will afford such Certificateholders access during business hours to the most recent list of Certificateholders held by the Trustee.
ARTICLE VIII
CONCERNING THE TRUSTEE
Section 8.01. | Duties of Trustee. |
The Trustee, prior to the occurrence of an Event of Default and after the curing or waiver of all Events of Default which may have occurred, undertakes to perform such duties and only such duties as are specifically set forth in this Agreement. If an Event of Default occurs, is continuing and has not been waived, 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 man would exercise or use under the circumstances in the conduct of his own affairs. Any permissive right of the Trustee enumerated in this Agreement shall not be construed as a duty.
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 in accordance with the requirements of this Agreement. If any such instrument is found not to conform to the requirements of this Agreement in a material manner, the Trustee shall take such action as it deems appropriate to have the instrument corrected, and if the instrument is not corrected to the Trustee’s satisfaction, the Trustee will provide notice thereof to the Certificateholders. Notwithstanding the foregoing, 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 Master Servicer hereunder or any Opinion of Counsel required hereunder.
The Trustee shall prepare and file or cause to be filed on behalf of the Trust Fund any tax return that is required with respect to REMIC 1, REMIC 2 and REMIC 3 pursuant to applicable federal, state or local tax laws.
The Trustee covenants and agrees that it shall perform its obligations hereunder in a manner so as to maintain the status of REMIC 1, REMIC 2 and REMIC 3 under the REMIC Provisions and to prevent the imposition of any federal, state or local income, prohibited transaction, contribution or other tax on any of REMIC 1, REMIC 2 or REMIC 3 to the extent that maintaining such status and avoiding such taxes are within the control of the Trustee and are reasonably within the scope of its duties under this Agreement.
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 willful misconduct; provided, however, that:
(i) Prior to the occurrence of an Event of Default, and after the curing or waiver of all such Events of Default 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 liable for an error of judgment made in good faith by a Responsible Officer or Responsible Officers of the Trustee, unless it shall be proved that the Trustee was negligent in ascertaining the pertinent facts; and
(iii) The Trustee shall not be 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 Certificate Insurer or the Holders of Certificates entitled to at least 25% of the Voting Rights relating to the time, method and place of conducting any proceeding for any remedy available to the Trustee, or exercising any trust or power conferred upon the Trustee, under this Agreement.
Section 8.02. | Certain Matters Affecting the Trustee. |
Except as otherwise provided in Section 8.01:
(a) The Trustee may conclusively rely upon and shall be fully protected in acting or refraining from acting in reliance upon any resolution, Officers’ 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;
(b) The Trustee may consult with counsel and any 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 therewith;
(c) The Trustee shall be under no obligation to exercise any of the trusts or powers vested in it by this Agreement, other than its obligation to give notice pursuant to this Agreement, or to institute, conduct or defend any litigation hereunder or in relation hereto at the request, order or direction of any of the Certificateholders, pursuant to the provisions of this Agreement, unless such Certificateholders or the Certificate Insurer (so long as no Insurer Default has occurred and is continuing) shall have offered to the Trustee security or indemnity satisfactory to it against the costs, expenses and liabilities which may be incurred therein or thereby and the Certificate Insurer (so long as no Insurer Default has occurred and is continuing) has given its consent; nothing contained herein shall, however, relieve the Trustee of the obligation, upon the occurrence of an Event of Default of which a Responsible Officer of the Trustee’s corporate trust department has actual knowledge (which has not been waived or cured), to exercise such of the rights and powers vested in it by this Agreement, and to use the same degree of care and skill in their exercise as a prudent man would exercise or use under the circumstances in the conduct of his own affairs;
(d) The Trustee shall not be 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;
(e) Prior to the occurrence of an Event of Default hereunder and after the curing or waiver of all Events of Default 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 document, unless requested in writing to do so by the Certificate Insurer (so long as no Insurer Default has occurred and is continuing) or the Holders of Certificates entitled to at least 25% of the Voting Rights with the written consent of the Certificate Insurer (so long as no Insurer Default has occurred and is continuing); 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, reasonably assured to the Trustee by the security afforded to it by the terms of this Agreement reasonable expense of every such examination shall be paid by the Certificateholders or the Certificate Insurer requesting the investigation;
(f) The Trustee may execute any of the trusts or powers hereunder or perform any duties hereunder either directly or by or through agents, nominees, custodians or attorneys appointed with due care, and shall not be responsible for any willful misconduct or negligence on the part of any agent, attorney, custodian or nominee so appointed;
(g) The Trustee shall not be required to give any bond or surety with respect to the execution of the trust created hereby or the powers granted hereunder; and
(h) Whenever in the administration of the provisions of this Agreement the Trustee shall deem it necessary or desirable that a matter be proved or established prior to taking or suffering any action to be taken hereunder, such matter (unless other evidence in respect thereof be herein specifically prescribed) may, in the absence of gross negligence or bad faith on the part of the Trustee, be deemed to be conclusively proved and established by a certificate signed and delivered to the Trustee and such certificate, in the absence of gross negligence or bad faith on the part of the Trustee, shall be full warrant to the Trustee for any action taken, suffered or omitted by it under the provisions of this Agreement upon the faith thereof.
The Trustee shall have no obligation to invest and reinvest any cash held in the absence of timely and specific written investment direction from the Master Servicer. In no event shall the Trustee be liable for the selection of investments or for investment losses incurred thereon. The Trustee shall have no liability in respect of losses incurred as a result of the liquidation of any investment incurred as a result of the liquidation of any investment prior to its stated maturity or the failure of the Master Servicer to provide timely written investment direction.
In order to comply with the laws, rules, regulations and executive orders in effect from time to time applicable to banking institutions, including those relating to the funding of terrorist activities and money laundering (“Lending Laws”), the Trustee is required to obtain, verify and record certain information relating to individuals and entities which maintain a business relationship with the Trustee. Accordingly, each of the parties agrees to provide to the Trustee upon its request from time to time such identifying information and documentation as may be available for such party in order to enable the Trustee to comply with the Lending Laws.
Section 8.03. | Trustee Not Liable for Certificates or Mortgage Loans. |
The recitals contained herein and in the Certificates (other than the signature of the Trustee, the authentication of the Trustee on the Certificates, the acknowledgments of the Trustee contained in Article II) shall be taken as the statements of the Depositor and the Trustee assumes no responsibility for their correctness. The Trustee makes no representations or warranties 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, or of MERS or the MERS® System. The Trustee shall not be accountable for the use or application by the Depositor of any of the Certificates or of the proceeds of such Certificates, or for the use or application of any funds paid to the Depositor or the Master Servicer in respect of the Mortgage Loans or deposited in or withdrawn from the Custodial Account by the Master Servicer.
Section 8.04. | Trustee May Own Certificates. |
The Trustee in its individual or any other capacity (other than as Trustee hereunder) may become the owner or pledgee of Certificates with the same rights it would have if it were not Trustee and may otherwise deal with the parties hereto.
Section 8.05. | Trustee’s Fees. |
On each Distribution Date, the Trustee shall be entitled to withdraw from the Certificate Account as compensation hereunder any amounts earned on funds in the Certificate Account. Such compensation (which shall not be limited by any provision of law in regard to the compensation of a trustee of an express trust) shall be paid for all services rendered by it in the execution of the trusts hereby created and in the exercise and performance of any of the powers and duties hereunder or of the Trustee. Except as otherwise provided in this Agreement, the Trustee and any director, officer, employee or agent of the Trustee shall be indemnified and held harmless by the Trust Fund against any claim, loss, liability, fee or expense incurred in connection with any Event of Default, any breach of this Agreement or any claim or legal action (including any pending or threatened claim or legal action), relating to the acceptance or administration of its trusts hereunder or the Trustee’s performance under the Certificates, other than any claim, loss, liability or expense (i) sustained in connection with this Agreement related to the willful misfeasance, bad faith or negligence of the Master Servicer in the performance of its duties hereunder or (ii) incurred in connection with a breach constituting willful misfeasance, bad faith or negligence of the Trustee in the performance of its duties hereunder or by reason of reckless disregard of its obligations and duties hereunder.
The Master Servicer shall indemnify the Trustee and any director, officer, employee or agent of the Trustee against any such claim or legal action (including any pending or threatened claim or legal action), loss, liability, fee or expense that may be sustained in connection with this Agreement related to the willful misfeasance, bad faith, or negligence in the performance of the Master Servicer's duties hereunder.
The provisions of this Section 8.05 shall survive the resignation or removal of the Trustee or the termination of this Agreement.
Section 8.06. | Eligibility Requirements for Trustee. |
The Trustee hereunder shall at all times be a corporation or a national banking association organized and doing business under the laws of any state or the United States of America or the District of Columbia, authorized under such laws to exercise corporate trust powers, having a combined capital and surplus of at least $50,000,000 and subject to supervision or examination by federal or state authority. In addition, the Trustee shall at all times be acceptable to the Rating Agency rating the Certificates. If such corporation 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 the combined capital and surplus of such corporation shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published. In case at any time the Trustee shall cease to be eligible in accordance with the provisions of this Section, the Trustee shall resign immediately in the manner and with the effect specified in Section 8.07. The corporation or national banking association serving as Trustee may have normal banking and trust relationships with the Sponsor and their affiliates or the Master Servicer and its affiliates; provided, however, that such corporation cannot be an affiliate of the Master Servicer other than the Trustee in its role as successor to the Master Servicer.
Section 8.07. | Resignation and Removal of the Trustee. |
The Trustee may at any time resign and be discharged from the trusts hereby created by giving written notice thereof to the Master Servicer; with a copy to the Rating Agencies and the Swap Provider; provided, that such resignation shall not be effective until successor trustee is appointed and accepts appointment in accordance with the following provisions; provided, however, that the resigning trustee shall not resign and be discharged from the trusts hereby created until such time as the Rating Agency rating the Certificates approves the successor trustee. Upon receiving such notice of resignation, the Master Servicer shall promptly appoint successor trustee who meets the eligibility requirements of Section 8.06 by written instrument, in triplicate, one copy of which instrument shall be delivered to the resigning trustee and to the successor trustee. If no successor trustee shall have been so appointed and have 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 Master Servicer, or if at any time the Trustee shall become incapable of acting, or shall be adjudged bankrupt or insolvent, or a receiver of the Trustee or of its property shall be appointed, or any public officer shall take charge or control of the Trustee or of its property or affairs for the purpose of rehabilitation, conservation or liquidation, the Master Servicer with the consent of the Certificate Insurer (so long as no Insurer Default has occurred and is continuing), which consent shall not be unreasonably withheld, may remove the Trustee and appoint successor trustee who meets the eligibility requirements of Section 8.06 by written instrument, in triplicate, which instrument shall be delivered to the Trustee so removed and to the successor trustee.
During the continuance of an Insurer Default, the Holders of Certificates entitled to at least 51% of the Voting Rights, may at any time remove the Trustee and appoint a successor trustee by written instrument or instruments, in triplicate, signed by such Holders or their attorneys-in-fact duly authorized, one complete set of which instruments shall be delivered to the Master Servicer, one complete set to the Trustee so removed and one complete set to the successor so appointed. A copy of such instrument shall be delivered to the Certificateholders and the Depositor by the Master Servicer.
Any resignation or removal of the Trustee and appointment of a successor trustee pursuant to any of the provisions of this Section 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 Master Servicer 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 the like effect as if originally named as trustee herein. The predecessor trustee shall after payment of its outstanding fees and expenses, promptly deliver to the successor trustee all assets and records of the Trust Fund held by it hereunder, and the Master Servicer and the predecessor trustee shall execute and deliver all such instruments and do such other things as may reasonably be required for more 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 unless at the time of such acceptance such successor trustee shall be eligible under the provisions of Section 8.06.
Upon acceptance of appointment by successor trustee as provided in this Section, the Master Servicer shall mail notice of the succession of such trustee hereunder to all Holders of Certificates at their addresses as shown in the Certificate Register. If the Master Servicer fails to mail such notice within ten days after acceptance of appointment by the successor trustee, the successor trustee shall cause such notice to be mailed at the expense of the Master Servicer.
Section 8.09. | Merger or Consolidation of Trustee. |
Any state bank or trust company or corporation or national banking association into which the Trustee may be merged or converted or with which it may be consolidated or any state bank or trust company or national banking association resulting from any merger, conversion or consolidation to which the Trustee shall be a party, or any state bank or trust company or corporation or national banking association succeeding to all or substantially all of the corporate trust business of the Trustee, shall be the successor of the Trustee hereunder, provided such state bank or trust company or corporation or national banking association shall be eligible under the provisions of Section 8.06 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 hereof, at any time, for the purpose of meeting any legal requirements of any jurisdiction in which any part of the Trust Fund or property securing the same may at the time be located, the Master Servicer 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 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 Fund, and to vest in such Person or Persons, in such capacity, such title to the Trust Fund, or any part thereof, and, subject to the other provisions of this Section 8.10, such powers, duties, obligations, rights and trusts as the Master Servicer and the Trustee may consider necessary or desirable. If the Master Servicer shall not have joined in such appointment within 15 days after the receipt by it of a request so to do, or in case an Event of Default shall have occurred and be continuing, the Trustee alone shall have the power to make such appointment without the Master Servicer. No co-trustee or separate trustee hereunder shall be required to meet the terms of eligibility as successor trustee under Section 8.06 hereunder and no notice to Holders of Certificates of the appointment of co-trustee(s) or separate trustee(s) shall be required under Section 8.08 hereof.
In the case of any appointment of a co-trustee or separate trustee pursuant to this Section 8.10, all rights, powers, duties and obligations conferred or imposed upon the Trustee and required to be conferred or such co-trustee shall be conferred or imposed upon and exercised or performed by the Trustee and such separate trustee or co-trustee jointly, 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 Master 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 Fund or any portion thereof in any such jurisdiction) shall be exercised and performed by such separate trustee or co-trustee at the direction of the 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.
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.
ARTICLE IX
TERMINATION
Section 9.01. | Termination Upon Repurchase or Liquidation of All Mortgage Loans or upon Purchase of Certificates. |
(a) Subject to Section 9.03, the respective obligations and responsibilities of the Depositor, the Master Servicer and the Trustee created hereby (other than the obligations of the Master Servicer to the Trustee pursuant to Section 8.05 and of the Master Servicer to provide for and the Trustee to make payments to Certificateholders as hereafter set forth) 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 hereunder following the earlier to occur of (i) the repurchase by the Master Servicer or its designee of all Mortgage Loans and each REO Property in respect thereof remaining in the Trust Fund at a price in cash equal to (a) 100% of the unpaid principal balance of each Mortgage Loan (other than one as to which a REO Property was acquired) on the day of repurchase together with accrued interest on such unpaid principal balance at the Net Mortgage Rate to the first day of the month in which the proceeds of such repurchase are to be distributed, plus (b) the appraised value of any REO Property (but not more than the unpaid principal balance of the related Mortgage Loan, together with accrued interest on that balance at the Net Mortgage Rate to the first day of the month such repurchase price is distributed), less the good faith estimate of the Master Servicer of liquidation expenses to be incurred in connection with its disposal thereof, such appraisal to be conducted by an appraiser mutually agreed upon by the Master Servicer and the Trustee at the expense of the Master Servicer, plus (c) any Swap Termination Payment (which shall include any Net Swap Payment payable for the final Distribution Date) payable to the Swap Provider pursuant to the Interest Rate Swap Agreement which remains unpaid or which is due to the exercise of such option (a “Swap Optional Termination Payment”) and plus (d) any unreimbursed amounts owed to the Certificate Insurer under the Certificate Guaranty Insurance Policy, and (ii) the final payment or other liquidation (or any Advance with respect thereto) of the last Mortgage Loan remaining in the Trust Fund (or the disposition of all REO Property in respect thereof); provided, however, that in no event shall the trust created hereby continue beyond the earlier of (i) the Distribution Date occurring in November 2036 (ii) 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 and (iii) the “latest possible maturity date” specified in the Preliminary Statements with respect to the related Regular Interests and Certificates, and provided further, that the purchase price set forth above shall be increased as is necessary, as determined by the Master Servicer, to avoid disqualification of any of REMIC 1, REMIC 2 or REMIC 3 as a REMIC. In the case of any repurchase by the Master Servicer pursuant to clause (i), the Master Servicer shall exercise reasonable efforts to cooperate fully with the Trustee in effecting such repurchase and the transfer of the Mortgage Loans and related Mortgage Files and related records to the Master Servicer.
Prior to the Master Servicer electing to cause any Optional Termination and to the extent the Interest Rate Swap Agreement is still outstanding, Impac Mortgage Holdings, Inc. shall either:
(i) if any amounts are owed to the Swap Provider pursuant to Section 10(1)(d)(iii) of the Novation Agreement (the “Derivative Supplement Amount”), either:
(a) pay to the Supplemental Interest Trust any Derivative Supplement Amount; or
(b) accept assignment of the Interest Rate Swap Agreement to the extent that Impac Mortgage Holdings, Inc. is an acceptable counterparty for the Swap Provider pursuant to the terms of the Novation Agreement;
or
(ii) if any amounts are owed to the Trustee on behalf of the Supplemental Interest pursuant to Section 10(1)(d)(iii) of the Novation Agreement, Impac Mortgage Holdings, Inc. shall either
(a) accept assignment of the Interest Rate Swap Agreement to the extent that Impac Mortgage Holdings, Inc. is an acceptable counterparty for the Swap Provider pursuant to the terms of the Novation Agreement; or
(b) instruct the Trustee on behalf of the Supplemental Interest Trust to accept from the Swap Provider any amounts that are owed to the Trustee on behalf of the Supplemental Interest Trust pursuant to Section 10(1)(d)(iii) of the Novation Agreement (provided, however, that Impac Mortgage Holdings, Inc. as assuming party under Section 10(1)(a) may elect to pay to the Trustee on behalf of the Supplemental Interest Trust the amount that would have been owed to the Trustee on behalf of the Supplemental Interest by the Swap Provider pursuant to Section 10(1)(d)(iii) of the Novation Agreement and remain facing the Swap Provider pursuant to the Novation Agreement).
Any Amounts paid to the Trustee on behalf of the Supplemental Interest Trust pursuant to (ii) above shall be distributed to the Master Servicer based on percentage interest, by the Trustee on behalf of the Supplemental Interest Trust.
The right of the Master Servicer or its designee to repurchase all Mortgage Loans pursuant to (i) above shall be conditioned upon the Aggregate Stated Principal Balance of such Mortgage Loans at the time of any such repurchase aggregating an amount equal to or less than 10% of the Cut-off Date Balance of the Mortgage Loans; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase. If such right is exercised, the Master Servicer upon such repurchase shall provide to the Trustee, notice of such exercise prior to the Determination Date in the month preceding the month of purchase and the certification required by Section 3.16.
In the case of a repurchase of Mortgage Loans and REO Property pursuant to clause (a)(i) above, only an amount equal to the repurchase price specified in such clause (a)(i) above for such Mortgage Loans and REO Property, less any Swap Optional Termination Payment and any portion of the repurchase price consisting of the unreimburesed amounts owed to the Certificate Insurer, shall be made available for distribution to the Regular Certificates and Class IO Interests. The Swap Optional Termination Payment shall be withdrawn by the Trustee from the Certificate Account and remitted to the Supplemental Interest Trust to be paid in accordance with Section 4.09(ii). The Swap Optional Termination Payment shall not be part of any REMIC and shall not be paid into any account which is part of any REMIC.
Written notice of any termination, specifying the 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 by letter to the Certificateholders and the Certificate Insurer mailed (a) in the event such notice is given in connection with the Master Servicer's election to repurchase, not earlier than the 15th day and not later than the 25th day of the month next preceding the month of such final distribution or (b) otherwise during the month of such final distribution on or before the 15th day of the month (or if such 15th day is not a Business Day, on the Business Day immediately preceding such 15th day) in such month, in each case specifying (i) the Distribution Date upon which final payment of the Certificates will be made upon presentation and surrender of Certificates at the office of the Trustee therein designated, (ii) the amount of any such final payment and (iii) that the Record Date otherwise applicable to such Distribution Date is not applicable, payments being made only upon presentation and surrender of the Certificates at the office of the Trustee therein specified. In the event such notice is given in connection with the Master Servicer or its designee's election to repurchase, the Master Servicer or its designee shall deliver to the Trustee for deposit in the Certificate Account on the Business Day immediately preceding the Distribution Date specified in such notice an amount equal to the above-described repurchase price payable out of its own funds. Upon presentation and surrender of the Certificates by the Certificateholders, the Trustee shall first, pay itself its fee for such Distribution Date (as described in Section 8.05 ) and any other amounts owing to the Trustee under this Agreement, and second, distribute to the Certificateholders and the Certificate Insurer (i) the amount otherwise distributable on such Distribution Date, if not in connection with the Master Servicer's election to repurchase, or (ii) if the Master Servicer elected to so repurchase, an amount determined as follows: with respect to each Regular Certificate, the outstanding Certificate Principal Balance thereof, plus with respect to each Regular Certificate (other than the Class P Certificates) and the Class IO Interest, one month's interest thereon at the applicable Pass-Through Rate, or otherwise distributable thereto, and any Unpaid Interest Shortfall Amount, plus with respect to each Subordinate Certificate, any unpaid Allocated Realized Loss Amount; with respect to the Class R Certificates, the Percentage Interest evidenced thereby multiplied by the difference, if any, between the above described repurchase price (as adjusted in accordance with the preceding paragraph) and the aggregate amount to be distributed to the Holders of the Regular Certificates and the Class IO Interest, subject to the priorities set forth in Section 4.01; and with respect to the Certificate Insurer, any amounts owed under the Certificate Guaranty Insurance Policy. Upon certification to the Trustee and the Custodian by a Servicing Officer, following such final deposit, the Custodian shall promptly release the Mortgage Files as directed by the Master Servicer for the remaining Mortgage Loans, and the Trustee shall execute all assignments, endorsements and other instruments required by the Master Servicer as being necessary to effectuate such transfer.
In the event that all of the Certificateholders shall not surrender their Certificates for cancellation within six months after the time specified in the above-mentioned notice, the Trustee shall give a second notice to the remaining Certificateholders to surrender their Certificates for cancellation and receive the final distribution with respect thereto. If within six months after the second notice all of the Certificates shall not have been surrendered for cancellation, the Trustee shall take reasonable steps as directed by the Depositor in writing, or appoint an agent to take reasonable steps, to contact the remaining Certificateholders concerning surrender of their Certificates, and the cost thereof shall be paid out of the funds and other assets which remain subject hereto. If within nine months after the second notice all the Certificates shall not have been surrendered for cancellation, the Class R Certificateholders shall be entitled to all unclaimed funds and other assets which remain subject hereto.
Section 9.02. | Termination of REMIC 3 and Retirement of Class R Certificates. |
REMIC 3 shall be terminated on the earlier of (i) the date on which the last distribution due on each of the REMIC 3 Regular Interests and Class R Certificates (in respect of the Class R-3 Interest) is made and (ii) the date on which it is terminated pursuant to an optional repurchase of all of the Mortgage Loans in accordance with Section 9.03. Notwithstanding anything to the contrary herein, the Class R Certificates will not be retired until the retirement of all the other Certificates.
Section 9.03. | Additional Termination Requirements. |
(a) In the event the Master Servicer repurchases the Mortgage Loans or REO Property as provided in Section 9.01, the Trust Fund shall be terminated in accordance with the following additional requirements, unless the Master Servicer, at its own expense, obtains for the Trustee an Opinion of Counsel to the effect that the failure of the Trust Fund to comply with the requirements of this Section 9.03 will not (i) result in the imposition on the Trust of taxes on “prohibited transactions,” as described in Section 860F of the Code, or (ii) cause either REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC at any time that any Certificate is outstanding:
(i) The Master Servicer shall establish a 90-day liquidation period and notify the Trustee in writing thereof, and the Trustee shall in turn specify the first day of such period in a statement attached to the Tax Return for each of REMIC 1, REMIC 2 and REMIC 3 pursuant to Treasury Regulation Section 1.860F-1. The Master Servicer and the Trustee also shall satisfy all of the requirements of a qualified liquidation for REMIC 1, REMIC 2 and REMIC 3 under Section 860F of the Code and regulations thereunder, as evidenced by an Opinion of Counsel obtained at the expense of the Master Servicer, as applicable;
(ii) During such 90-day liquidation period, and at or prior to the time of making the final payment on the Certificates, the Trustee shall sell all of the assets of REMIC 1 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, to the Holders of the Class R Certificates, all cash on hand (other than cash retained to meet claims), and REMIC 1 shall terminate at that time.
(b) By their acceptance of the Certificates, the Holders thereof hereby authorize the adoption of a 90-day liquidation period and the adoption of a plan of complete liquidation for the REMICs, which authorization shall be binding upon all successor Certificateholders.
(c) The Trustee as agent for each REMIC hereby agrees to adopt and sign the related plan of complete liquidation meeting the requirements for a qualified liquidation under Section 860F of the Code and any regulations thereunder upon the written request of the Master Servicer and the receipt of the Opinion of Counsel referred to in clause (a)(i) above and to take such other action in connection therewith as may be reasonably requested by the Master Servicer.
ARTICLE X
REMIC PROVISIONS
Section 10.01. | REMIC Administration. |
(a) The Trustee shall make an election to treat the Trust Fund as three REMICs under the Code and, if necessary, under applicable state law. Each such election will be made on Form 1066 or other appropriate federal tax or information return (including Form 8811) or any appropriate state return for the taxable year ending on the last day of the calendar year in which the Certificates are issued. For the purposes of the REMIC elections in respect of the Trust Fund, (i) the Class R-1 Interest will constitute the sole class of Residual Interests in REMIC 1, the REMIC 1 Regular Interests shall be designated as the Regular Interests in REMIC 1 (ii) the Class R-2 Interest will constitute the sole class of Residual Interests in REMIC 2, the REMIC 2 Regular Interests shall be designated as the Regular Interests in REMIC 2, and (iii) the Class R-3 Interest will constitute the sole class of Residual Interests in REMIC 3, and the REMIC 3 Regular Interests shall be designated as the Regular Interests in REMIC 3. The Master Servicer and the Trustee shall not permit the creation of any “interests” (within the meaning of Section 860G of the Code) in REMIC 1, REMIC 2 or REMIC 3 other than the REMIC 1 Regular Interests, REMIC 2 Regular Interests, REMIC 3 Regular Interests, the Class R-1 Interest, the Class R-2 Interest and the Class R-3 Interest. The Trustee will apply for an Employee Identification Number from the Internal Revenue Service via Form SS-4 or any other acceptable method for each of REMIC 1, REMIC 2 and REMIC 3.
(b) The Closing Date is hereby designated as the “startup day” of the Trust Fund within the meaning of Section 860G(a)(9) of the Code.
(c) The Trustee shall pay out of its own funds, without any right of reimbursement, any and all expenses relating to any tax audit of the REMICs (including, but not limited to, any professional fees or any administrative or judicial proceedings with respect to the REMICs that involve the Internal Revenue Service or state tax authorities), other than the expense of obtaining any tax-related Opinion of Counsel except as specified herein. The Trustee, as agent for the REMICs' Tax Matters Person, shall (i) act on behalf of the REMICs in relation to any tax matter or controversy involving the Trust Fund and (ii) represent the Trust Fund in any administrative or judicial proceeding relating to an examination or audit by any governmental taxing authority with respect thereto.
(d) The Trustee shall prepare, sign and file all of the Tax Returns (including Form 8811, which must be filed within 30 days of the Closing Date) in respect of the REMICs created hereunder. The expenses of preparing and filing such returns shall be borne by the Trustee without any right of reimbursement therefor. The Master Servicer shall provide on a timely basis to the Trustee or its designee such information with respect to the assets of the REMICs as is in its possession and reasonably required by the Trustee to enable it to perform its obligations under this Article X.
(e) The Trustee shall perform on behalf of the REMICs all reporting and other tax compliance duties that are the responsibility of the REMICs 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, as required by the Code, the REMIC Provisions or other such compliance guidance, the Trustee shall provide (i) to any Transferor of a Class R Certificate such information as is necessary for the application of any tax relating to the transfer of a Class R Certificate to any Person who is not a Permitted Transferee, (ii) to the Certificateholders such information or reports as are required by the Code or the REMIC Provisions including reports relating to interest, original issue discount and market discount or premium (using the Prepayment Assumption as required) and (iii) to the Internal Revenue Service the name, title, address and telephone number of the Person who will serve as the representative of the REMICs. The Master Servicer shall provide on a timely basis to the Trustee such information with respect to the assets of the REMICs, including, without limitation, the Mortgage Loans, as is in its possession and reasonably required by the Trustee to enable it to perform its obligations under this subsection. In addition, the Depositor shall provide or cause to be provided to the Trustee, within ten (10) days after the Closing Date, all information or data that the Trustee reasonably determines to be relevant for tax purposes as to the valuations and issue prices of the Certificates, including, without limitation, the price, yield, Prepayment Assumption and projected cash flow of the Certificates.
(f) The Trustee shall take such action and shall cause the REMICs created hereunder to take such action as shall be necessary to create or maintain the status thereof as REMICs under the REMIC Provisions (and the Master Servicer shall assist it, to the extent reasonably requested by it). The Trustee shall not take any action or cause the Trust Fund 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 the REMIC 1, REMIC 2 or REMIC 3 as REMICs or (ii) result in the imposition of a tax upon the REMICs (including but not limited to the tax on prohibited transactions as defined in Section 860F(a)(2) of the Code and the tax on contributions to a REMIC set forth in Section 860G(d) of the Code) (either such event, an “Adverse REMIC Event”) unless the Trustee has received an Opinion of Counsel, addressed to the Trustee (at the expense of the party seeking to take or not take such action, but in no event at the expense of the Trustee) to the effect that the contemplated action or omission will not, with respect to the REMICs created hereunder, endanger such status or result in the imposition of such a tax; nor shall the Master Servicer take, or fail to take, any action (whether or not authorized hereunder) as to which the Trustee has advised it in writing that it has received an Opinion of Counsel to the effect that an Adverse REMIC Event could occur with respect to the taking, or omission of, such action. In addition, prior to taking, or failing to take, any action with respect to the REMICs or the assets of the REMICs, or causing, or failing to cause, the REMICs to take any action, which is not contemplated under the terms of this Agreement, the Master Servicer will consult with the Trustee or its designee, in writing, with respect to whether the taking, or omission of, such action could cause an Adverse REMIC Event to occur with respect to any REMIC, and the Master Servicer shall not take, or fail to take, any such action, or cause, or fail to cause, any REMIC to take, any such action as to which the Trustee has advised it in writing that an Adverse REMIC Event could occur. The Trustee may consult with counsel to provide such written advice, and the cost of same shall be borne by the party seeking to take or not take the action other than as permitted by this Agreement, but in no event shall such cost be an expense of the Trustee. At all times as may be required by the Code, the Trustee will ensure that substantially all of the assets of the REMICs created hereunder will consist of “qualified mortgages” as defined in Section 860G(a)(3) of the Code and “permitted investments” as defined in Section 860G(a)(5) of the Code.
(g) In the event that any tax is imposed on “prohibited transactions” of any REMIC created hereunder as defined in Section 860F(a)(2) of the Code, on the “net income from foreclosure property” of any REMIC as defined in Section 860G(c) of the Code, on any contributions to any REMIC after the Startup Day therefor pursuant to Section 860G(d) of the Code, or any other tax is imposed by the Code or any applicable provisions of state or local tax laws, such tax shall be charged (i) to the Trustee pursuant to Section 10.03 hereof, if such tax arises out of or results from a breach by the Trustee of any of its obligations under this Article X, (ii) to the Master Servicer pursuant to Section 10.03 hereof, if such tax arises out of or results from a breach by the Master Servicer of any of its obligations under Article III or this Article X or otherwise, (iii) to the Master Servicer as provided in Section 3.05 and (iv) against amounts on deposit in the Certificate Account and shall be paid by withdrawal therefrom to the extent not required to be paid by the Master Servicer or the Trustee pursuant to another provision of this Agreement.
(h) On or before April 15 of each calendar year, commencing April 15, 2006, the Trustee shall deliver to the Master Servicer and the Rating Agency a Certificate from a Responsible Officer of the Trustee stating the Trustee’s compliance with this Article X.
(i) The Trustee shall, for federal income tax purposes, maintain books and records with respect to the REMICs on a calendar year and on an accrual basis.
(j) Following the Startup Day, the Trustee shall not accept any contributions of assets to the REMICs other than in connection with any Qualified Substitute Mortgage Loan delivered in accordance with Section 2.04 unless it shall have received an Opinion of Counsel to the effect that the inclusion of such assets in the REMICs will not cause REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as REMICs at any time that any Certificates are outstanding or subject any of REMIC 1, REMIC 2 or REMIC 3 to any tax under the REMIC Provisions or other applicable provisions of federal, state and local law or ordinances.
(k) Neither the Trustee nor the Master Servicer shall enter into any arrangement under which the REMICs will receive a fee or other compensation for services nor permit the REMICs to receive any income from assets other than “qualified mortgages” as defined in Section 860G(a)(3) of the Code or “permitted investments” as defined in Section 860G(a)(5) of the Code.
Section 10.02. | Prohibited Transactions and Activities. |
None of the Depositor, the Master Servicer or the Trustee shall (1) sell, dispose of, or substitute any property for any of, the Mortgage Loans (except in connection with (i) the foreclosure of a Mortgage Loan, including but not limited to, the acquisition or sale of a Mortgaged Property acquired by deed in lieu of foreclosure, (ii) the bankruptcy of the Trust Fund, (iii) the termination of REMIC 1, REMIC 2 or REMIC 3 pursuant to Article IX of this Agreement, (iv) a substitution pursuant to Article II of this Agreement or (v) a purchase of defective or defaulted Mortgage Loans pursuant to Article II or III of this Agreement), (2) acquire any assets for the Trust Fund (other than REO Property acquired in respect of a defaulted Mortgage Loan), (3) sell or dispose of any investments in the Custodial Account or the Certificate Account for gain, (4) accept any contributions to the REMICs after the Closing Date (other than a Qualified Substitute Mortgage Loan delivered in accordance with Section 2.04), in each case, unless it has received an Opinion of Counsel, addressed to the Trustee (at the expense of the party seeking to cause such sale, disposition, substitution, acquisition or contribution, but in no event at the expense of the Trustee) that such sale, disposition, substitution, acquisition or contribution will not (a) affect adversely the status of REMIC 1, REMIC 2 or REMIC 3 as REMICs or (b) cause the Trust Fund to be subject to a tax on “prohibited transactions” or “contributions” pursuant to the REMIC Provisions.
Section 10.03. | Master Servicer and Trustee Indemnification. |
(a) The Trustee agrees to indemnify the Trust Fund, the Depositor, and the Master Servicer for any taxes and costs including, without limitation, any reasonable attorneys' fees imposed on or incurred by the Trust Fund, the Depositor or the Master Servicer, as a result of a breach of the Trustee’s covenants set forth in this Article X.
(b) The Master Servicer agrees to indemnify the Trust Fund, the Depositor and the Trustee for any taxes and costs including, without limitation, any reasonable attorneys' fees imposed on or incurred by the Trust Fund, the Certificate Insurer, the Depositor or the Trustee, as a result of a breach of the Master Servicer's covenants set forth in Article III or this Article X, in each case with respect to compliance with the REMIC Provisions.
ARTICLE XI
MISCELLANEOUS PROVISIONS
Section 11.01. | Amendment. |
This Agreement may be amended from time to time by the Depositor, the Master Servicer and the Trustee, with the consent of the Certificate Insurer (so long as no Insurer Default has occurred and is continuing) and without the consent of any of the Certificateholders or the Swap Provider, (i) to cure any ambiguity, (ii) to correct or supplement any provisions herein which may be defective or inconsistent with any other provisions herein or to correct any error, (iii) to amend this Agreement in any respect subject to the provisions in clauses (A) and (B) below, or (iv) if such amendment, as evidenced by an Opinion of Counsel (provided by the Person requesting such amendment) delivered to the Trustee, is reasonably necessary to comply with any requirements imposed by the Code or any successor or amendatory statute or any temporary or final regulation, revenue ruling, revenue procedure or other written official announcement or interpretation relating to federal income tax laws or any proposed such action which, if made effective, would apply retroactively to the Trust Fund at least from the effective date of such amendment; provided that such action (except any amendment described in (iv) above) shall not adversely affect in any material respect the interests of any Certificateholder (other than Certificateholders who shall consent to such amendment), the Certificate Insurer (so long as no Insurer Default has occurred and is continuing) and the Swap Provider, as evidenced by (A) an Opinion of Counsel (provided by the Person requesting such amendment) delivered to the Trustee, the Certificate Insurer and the Swap Provider and (B) a letter from each Rating Agency, confirming that such amendment shall not cause it to lower its rating on any of the Certificates without taking the Certificate Guaranty Insurance Policy into account. Any such amendment to the Agreement shall not be effective unless the Master Servicer has delivered to the Trustee and the Certificate Insurer an Officer's Certificate stating that the Master Servicer, after consultation with its accountants, does not believe that the amendment will result in the Trust failing to qualify as a "qualifying special-purpose entity" as defined in Statement of Financial Accounting Standards Number 140.
This Agreement may also be amended from time to time by the Depositor, the Master Servicer and the Trustee and Holders of Certificates entitled to at least 66-2/3% of the Voting Rights 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 Holders of Certificates; provided, however, that no such amendment shall (i) reduce in any manner the amount of, or delay the timing of, payments received on Mortgage Loans which are required to be distributed on any Certificate without the consent of the Holder of such Certificate, (ii) adversely affect in any material respect the interests of the Holders of any Class of Certificates in a manner other than as described in (i), without the consent of the Holders of Certificates of such Class evidencing at least 66-2/3% of the Voting Rights of such Class, or (iii) reduce the aforesaid percentage of Certificates the Holders of which are required to consent to any such amendment, without the consent of the Holders of all Certificates then outstanding. Notwithstanding any other provision of this Agreement, for purposes of the giving or withholding of consents pursuant to this Section 11.01, Certificates registered in the name of the Sponsor or the Master Servicer or any affiliate thereof shall be entitled to Voting Rights with respect to matters described in (i), (ii) and (iii) of this paragraph.
Notwithstanding any contrary provision of this Agreement, the Trustee shall not consent to any amendment to this Agreement unless it shall have first received an Opinion of Counsel (provided by the Person requesting such amendment) to the effect that such amendment will not result in the imposition of any tax on any of REMIC 1, REMIC 2 or REMIC 3 pursuant to the REMIC Provisions or cause any of REMIC 1, REMIC 2 or REMIC 3 to fail to qualify as a REMIC at any time that any Certificates are outstanding.
Promptly after the execution of any such amendment the Trustee shall furnish a copy of such amendment or a written statement describing the amendment to each Certificateholder, with a copy to the Rating Agencies and the Swap Provider.
It shall not be necessary for the consent of Certificateholders under this Section 11.01 to approve the particular form of any proposed amendment, but 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.
Notwithstanding any of the other provisions of this Section 11.01, none of the Depositor, the Master Servicer or the Trustee shall enter into any amendment of this Agreement that is reasonably expected to have a materially adverse effect on the Swap Provider without the Swap Provider’s consent (such consent shall not be unreasonably withheld, conditioned or delayed).
Prior to executing any amendment pursuant to this Section, the Trustee shall be entitled to receive an Opinion of Counsel (provided by the Person requesting such amendment) to the effect that such amendment is authorized or permitted by this Agreement. The cost of any Opinion of Counsel delivered pursuant to this Section 11.01 shall be an expense of the party requesting such amendment, but in any case shall not be an expense of the Trustee.
The Trustee may, but shall not be obligated to, enter into any amendment pursuant to this Section that affects its rights, duties and immunities under this Agreement or otherwise.
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 Master Servicer at the expense of the Certificateholders, but only upon direction of the Depositor 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 constitute but one and the same instrument.
Section 11.03. | Limitation on Rights of Certificateholders. |
The death or incapacity of any Certificateholder shall not operate to terminate this Agreement or the Trust Fund, nor 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 Fund, nor otherwise affect the rights, obligations and liabilities of the parties hereto or any of them.
No Certificateholder shall have any right to vote (except as expressly provided for herein) or in any manner otherwise control the operation and management of the Trust Fund, 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 party 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 notice of an Event of Default, or of a default by the Sponsor or the Trustee in the performance of any obligation hereunder, and of the continuance thereof, as hereinbefore provided, and unless also the Holders of Certificates entitled to at least 51% 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, 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, 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, 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. |
This Agreement and the Certificates 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.
Section 11.05. | Notices. |
All demands, notices and direction hereunder shall be in writing and shall be deemed effective upon receipt when delivered to (a) in the case of the Depositor, 1401 Dove Street, Newport Beach, California 92660, Attention: General Counsel, or such other address as may hereafter be furnished to the other parties hereto in writing; (b) in the case of Impac Funding, 1401 Dove Avenue, Newport Beach, California 92660, Attention: General Counsel, or such other address as may hereafter be furnished to the other parties hereto in writing; (c) in the case of the Trustee, to its Corporate Trust Offices, or such other address as may hereafter be furnished to the other parties hereto in writing; (d) in the case of the Rating Agencies, Standard & Poor’s, 55 Water Street, 41st Floor, New York, NY 10041, Attention: Asset Backed Surveillance Department; and Moody’s, Moody’s Investors Service, Inc., Residential Mortgage Monitoring Department, 99 Church Street, New York, New York 10007; (e) in the case of the Certificate Insurer, Ambac Assurance Corporation, One State Street Plaza, New York, New York 10004, Attention: Consumer Asset-Backed Securities Group or such other address as may be hereafter furnished to the Depositor, the Trustee and the Master Servicer in writing by the Certificate Insurer; or (f) in the case of the Swap Provider, Lehman Brothers Special Financing Inc. 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. Any notice so mailed within the time prescribed in this Agreement shall be conclusively presumed to have been duly given, whether or not the Certificateholder receives such notice.
Section 11.06. | Severability of Provisions. |
If any one or more of the covenants, agreements, provisions or terms of this Agreement shall be for any reason whatsoever 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. | Successors and Assigns. |
The provisions of this Agreement shall be binding upon and inure to the benefit of the respective successors and assigns of the parties hereto, and all such provisions shall inure to the benefit of the Trustee, the Certificate Insurer and the Certificateholders.
Section 11.08. | Article and Section Headings. |
The article and Section headings herein are for convenience of reference only, and shall not limit or otherwise affect the meaning hereof.
Section 11.09. | Notice to Rating Agencies. |
The Trustee shall use its best efforts to promptly provide notice to each Rating Agency and the Certificate Insurer referred to below with respect to each of the following of which it has actual knowledge:
1. Any material change or amendment to this Agreement;
2. The occurrence of any Event of Default that has not been cured;
3. The resignation or termination of the Master Servicer or the Trustee;
4. The repurchase or substitution of Mortgage Loans pursuant to Section 2.04;
5. The final payment to Certificateholders; and
6. Any change in the location of the Custodial Account or the Certificate Account.
In addition, the Trustee shall promptly furnish to each Rating Agency copies of each report to Certificateholders described in Section 4.02; and the Master Servicer shall promptly furnish to each Rating Agency copies of each annual independent public accountants' servicing report received as described in Section 3.20.
Any such notice pursuant to this Section 11.09 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 (i) in the case of Standard & Poor's, 55 Water Street, 41st Floor, New York, New York 10041, Attention: Asset Backed Surveillance Department and (ii) in the case of Moody's, Residential Mortgage Monitoring Department, 99 Church Street, New York, New York 10007, or, in each case, such other address as either such Rating Agency may designate in writing to the parties thereto.
Section 11.10. | Rights of the Certificate Insurer. |
(a) The Certificate Insurer is an express third-party beneficiary of this Agreement.
(b) On each Distribution Date the Trustee shall make available to the Certificate Insurer a copy of the reports made available to the Certificateholders and the Depositor on such Distribution Date.
(c) The Trustee shall provide to the Certificate Insurer copies of any report, notice, Opinion of Counsel, Officers’ Certificate, request for consent or request for amendment to any document related hereto promptly upon the Trustee’s production or receipt thereof.
(d) Unless an Insurer Default exists, the Trustee, the Depositor and the Master Servicer shall not agree to any amendment to this Agreement without first having obtained the prior written consent of the Certificate Insurer, which consent shall not be unreasonably withheld.
Section 11.11. | Control by the Certificate Insurer. |
With respect to the Class A-1 Certificates only, the Certificate Insurer, unless an Insurer Default exists, or the Holders of a majority of the Class A-1 Certificates, if an Insurer Default exists, shall have the right (subject to the provisions of Section 11.03) to direct the time, method and place of conducting any proceeding for any remedy available to the Trustee with respect to the Class A-1 Certificates or exercising any trust or power conferred on the Trustee; provided that:
(i) such direction shall not be in conflict with any rule of law or with this Agreement:
(ii) if an Insurer Default exists, any direction to the Trustee to sell or liquidate the Trust Fund shall be by Holders of Certificates representing not less than 100% of the Certificate Principal Balance of the Certificates;
(iii) the Trustee may take any other action deemed proper by the Trustee that is not inconsistent with such direction of the Holders of Certificates representing a majority of the Certificate Principal Balance of the Certificates.
Notwithstanding the rights of Certificateholders set forth in this Section 11.11 the Trustee need not take any action that it determines might involve it in liability unless such Holders of Certificates or the Certificate Insurer shall have offered to the security or indemnity satisfactory to the Trustee, against the costs, expenses and liabilities which might be incurred by it in compliance with such request, order or direction.
The Trustee shall not be deemed to have knowledge of an Insurer Default unless a Responsible Officer of the Trustee has actual knowledge thereof or unless the Trustee received written notice of such Insurer Default.
Section 11.12. | Third Party Rights. |
The Swap Provider shall be an express third-party beneficiary of this Agreement to the extent of its express rights to receive any payments under this Agreement or any other express rights of the Swap Provider explicitly stated in this Agreement, and shall have the right to enforce such rights under this Agreement as if it were a party hereto.
IN WITNESS WHEREOF, the Depositor, the Master 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.
IMPAC SECURED ASSETS CORP., Depositor | ||
| | |
By: /s/ Gretchen Verdugo | ||
Name: Gretchen Verdugo Title: EVP, CFO |
IMPAC FUNDING CORPORATION, Master Servicer | ||
| | |
By: /s/ Nancy Pollard | ||
Name: Nancy Pollard Title: EVP |
DEUTSCHE BANK NATIONAL TRUST COMPANY, Trustee | ||
| | |
By: /s/ Marion Hogan | ||
Name: Marion Hogan Title: Associate |
| | |
By: /s/ Barbara Campbell | ||
Name: Barbara Campbell Title: Vice President |
Agreed and accepted to with respect to
its obligations under Section 9.01(a)
IMPAC MORTGAGE HOLDINGS, INC.
(solely with respect to its obligations under
Section 9.01(a))
By: /s/ Gretchen Verdugo | |||
Name: Gretchen Verdugo Title: EVP, CFO |
STATE OF CALIFORNIA | ) | |
) | ss.: | |
COUNTY OF ORANGE | ) |
On the 29th day of September, 2006, before me, a notary public in and for said State, personally appeared Gretchen Verdugo, known to me to be the Chief Financial Officer of Impac Secured Assets Corp., one of the corporations 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.
______________________
Notary Public
[Notarial Seal]
STATE OF CALIFORNIA | ) | |
) | ss.: | |
COUNTY OF ORANGE | ) |
On the 29th day of September, 2006, before me, a notary public in and for said State, personally appeared Nancy Pollard, known to me to be an Executive Vice President of Impac Funding Corporation, one of the corporations 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.
_______________________
Notary Public
[Notarial Seal]
STATE OF NEW YORK | ) | |
) | ss.: | |
COUNTY OF NEW YORK | ) |
On the 29th day of September, 2006, before me, a notary public in and for said State, personally appeared ______________, known to me to be an ______________ of Deutsche Bank National Trust Company, one of the entities that executed the within instrument, and also known to me to be the person who executed it on behalf of said entity, 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.
__________________
Notary Public
[Notarial Seal]
STATE OF NEW YORK | ) | |
) | ss.: | |
COUNTY OF NEW YORK | ) |
On the 29th day of September, 2006, before me, a notary public in and for said State, personally appeared ______________, known to me to be a _____________ of Deutsche Bank National Trust Company, one of the entities that executed the within instrument, and also known to me to be the person who executed it on behalf of said entity, 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.
_____________________
Notary Public
[Notarial Seal]
STATE OF CALIFORNIA | ) | |
) | ss.: | |
COUNTY OF ORANGE | ) |
On the 29th day of September, 2006, before me, a notary public in and for said State, personally appeared Gretchen Verdugo, known to me to be the Executive Vice President and Chief Financial Officer of Impac Mortgage Holdings, Inc., one of the corporations 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.
______________________
Notary Public
[Notarial Seal]
EXHIBIT A
FORM OF CLASS A CERTIFICATE
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS 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 (THE “CODE”).
THIS CERTIFICATE SHALL INITIALLY BE ISSUED AS ONE OR MORE CERTIFICATES REGISTERED IN THE NAME OF THE DEPOSITORY OR ITS NOMINEE AND, EXCEPT AS PROVIDED BELOW, REGISTRATION OF SUCH CERTIFICATES MAY NOT BE TRANSFERRED BY THE TRUSTEE EXCEPT TO ANOTHER DEPOSITORY THAT AGREES TO HOLD SUCH CERTIFICATES FOR THE RESPECTIVE CERTIFICATE OWNERS WITH OWNERSHIP INTERESTS THEREIN. THE CERTIFICATE OWNERS SHALL HOLD THEIR RESPECTIVE OWNERSHIP INTERESTS IN AND TO EACH OF SUCH BOOK-ENTRY CERTIFICATES THROUGH THE BOOK-ENTRY FACILITIES OF THE DEPOSITORY AND, EXCEPT AS PROVIDED BELOW, SHALL NOT BE ENTITLED TO DEFINITIVE CERTIFICATES IN RESPECT OF SUCH OWNERSHIP INTERESTS. ALL TRANSFERS BY CERTIFICATE OWNERS OF THEIR RESPECTIVE OWNERSHIP IN THE BOOK-ENTRY CERTIFICATES SHALL BE MADE IN ACCORDANCE WITH THE PROCEDURES ESTABLISHED BY THE DEPOSITORY PARTICIPANT OR BROKERAGE FIRM REPRESENTING SUCH CERTIFICATE OWNER. EACH DEPOSITORY PARTICIPANT SHALL TRANSFER THE OWNERSHIP INTERESTS ONLY IN THE BOOK-ENTRY CERTIFICATES OF CERTIFICATE OWNERS IT REPRESENTS OR OF BROKERAGE FIRMS FOR WHICH IT ACTS AS AGENT IN ACCORDANCE WITH THE DEPOSITORY'S NORMAL PROCEDURES. THE TRUSTEE SHALL NOT BE REQUIRED TO MONITOR, DETERMINE OR INQUIRE AS TO COMPLIANCE WITH THE TRANSFER RESTRICTIONS WITH RESPECT TO THE BOOK-ENTRY CERTIFICATES, AND THE TRUSTEE SHALL HAVE NO LIABILITY FOR TRANSFERS OF OWNERSHIP INTERESTS IN THE BOOK-ENTRY CERTIFICATES MADE THROUGH THE BOOK-ENTRY FACILITIES OF THE DEPOSITORY OR BETWEEN OR AMONG DEPOSITORY PARTICIPANTS OR CERTIFICATE OWNERS, MADE IN VIOLATION OF THE APPLICABLE RESTRICTIONS.
PRIOR TO THE TERMINATION OF THE SUPPLEMENTAL INTEREST TRUST, ANY TRANSFEREE SHALL BE DEEMED TO HAVE MADE THE REPRESENTATIONS IN SECTION 5.02(c) OF THE POOLING AND SERVICING AGREEMENT.
Certificate No. 1 | Adjustable Rate |
Class A-[1][2][2M][3][3M][4][4M][5][5M][6] [6M][7] Senior | |
Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2006 | Percentage Interest: 100% |
First Distribution Date: October 25, 2006 | Aggregate Initial Certificate Principal Balance of the Class A- [1][2][2M][3][3M][4][4M][5][5M][6] [6M][7] Certificates: $[_____________] |
Master Servicer: Impac Funding Corporation | Initial Certificate Principal Balance of this Certificate: $[____________] |
Assumed Final Distribution Date: November 25, 2036 | CUSIP: [_________] |
MORTGAGE PASS-THROUGH CERTIFICATE
SERIES 2006-3
evidencing a percentage interest in the distributions allocable to the Class A-[1][2][2M][3][3M][4][4M][5][5M][6][6M][7] Certificates with respect to a Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed-rate first and second lien mortgage loans formed and sold by IMPAC SECURED ASSETS CORP.
This Certificate is payable solely from the assets of the Trust Fund [and the Certificate Guaranty Insurance Policy], and does not represent an obligation of or interest in Impac Secured Assets Corp., the Master Servicer, the Trustee referred to below or any of their affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality or by Impac Secured Assets Corp., the Master Servicer, the Trustee or any of their affiliates. None of the Company, the Master Servicer or any of their affiliates will have any obligation with respect to any certificate or other obligation secured by or payable from payments on the Certificates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the aggregate Initial Certificate Principal Balance of all Class []-A-[] Certificates, both as specified above) in certain distributions with respect to the Trust Fund consisting primarily of an interest in a pool of one- to four-family adjustable-rate first lien and fixed-rate first and second lien mortgage loans (the “Mortgage Loans”), formed and sold by Impac Secured Assets Corp. (hereinafter called the “Company,” which term includes any successor entity under the Agreement referred to below). The Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as specified above (the “Agreement”) among the Company, the Master Servicer and Deutsche Bank National Trust Company, as trustee (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, a distribution 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 (the "Distribution Date”), commencing as described in the Agreement, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from the Available Funds in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount of interest and principal, if any, required to be distributed to Holders of Class A-[1][2][2M][3][3M][4][4M][5][5M][6][6M][7] Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Trustee or by a Paying Agent appointed by the Trustee either in immediately available funds (by wire transfer or otherwise) for the account of the Person entitled thereto if such Person shall have so notified the Trustee or such Paying Agent at least 5 Business Days prior to the related Record Date, or by check mailed to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register.
Notwithstanding the above, the final distribution on this Certificate will be made after due notice 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 in the City and State of New York. The Initial Certificate Principal Balance of this Certificate is set forth above. The Certificate Principal Balance hereof will be reduced to the extent of distributions allocable to principal.
This Certificate is one of a duly authorized issue of Certificates issued in several Classes designated as Mortgage Pass-Through Certificates of the Series specified hereon (herein collectively called the “Certificates”).
[Ambac Assurance Corporation, in consideration of the payment of the premium and subject to the terms of the Policy, has unconditionally and irrevocably guaranteed the payment of an amount equal to the Insured Amount (as defined in the Certificate Guaranty Insurance Policy) with respect to the Class A-1 Certificates with respect to each Distribution Date.]
The 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. In the event the Master Servicer advances funds with respect to any Mortgage Loan, such advance is reimbursable to the Master Servicer, to the extent provided in the Agreement, from related recoveries on such Mortgage Loan or from other cash that would have been distributable to Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account and/or the Certificate Account created for the benefit of Certificateholders may be made by the Master Servicer from time to time for purposes other than distributions to Certificateholders, such purposes including without limitation reimbursement to the Trustee, the Company and the Master Servicer of advances made, or certain expenses incurred, by either of them.
��
The Agreement permits, with certain exceptions therein provided, the amendment of the Agreement and the modification of the rights and obligations of the Company, the Master Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Company, the Master Servicer and the Trustee with the consent of the Holders of Certificates evidencing in the aggregate not less than 66-2/3% of the Percentage Interests of each Class of Certificates affected thereby. 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 the Certificate. The Agreement also permits the amendment thereof in certain circumstances with the consent of the Certificate Insurer and without the consent of the Holders of any of the Certificates and, in certain additional circumstances, without the consent of the Holders of certain Classes of Certificates.
Prior to the termination of the Supplemental Interest Trust, any transferee shall be deemed to have made the representations in Section 5.02(c) of the Agreement.
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, 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 authorized denominations evidencing the same Class and aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons in Classes and in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of authorized denominations evidencing the same Class and 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, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer and the Trustee and any agent of the Company, the Master Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Company, the Master Servicer, the Trustee nor any such agent shall be affected by notice to the contrary.
This Certificate shall be governed by and construed in accordance with the laws of the State of New York.
The Mortgage Loans are subject to termination in whole, but not in part, by the Master Servicer, on or after the Distribution Date on which the aggregate Stated Principal Balance of the Mortgage Loans is less than or equal to 10% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase.
Unless the certificate of authentication hereon has been executed by the Trustee, 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: September 29, 2006 | DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | |
| | |
By: | ||
Authorized Signatory |
CERTIFICATE OF AUTHENTICATION
This is one of the Class A-[1][2][2M][3][3M][4][4M][5][5M][6][6M][7] Certificates referred to in the within-mentioned Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | ||
| | |
By: | ||
Authorized Signatory |
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _____________________________________ (Please print or typewrite name and address including postal zip code of assignee) a Percentage Interest evidenced by the within Mortgage Pass-Through Certificate and hereby authorizes the transfer of registration 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 denomination and Class, to the above named assignee and deliver such Certificate to the following address:
Dated: | __________________________________ |
Signature by or on behalf of assignor | |
__________________________________ | |
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 for the account of account number ,or, if mailed by check, to Applicable statements should be mailed to .
This information is provided by , the assignee named above, or , as its agent.
EXHIBIT B-1
FORM OF CLASS M CERTIFICATE
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES [,] [AND] [THE CLASS M-1 CERTIFICATES] [,] [AND] [THE CLASS M-2 CERTIFICATES] [,] [AND] [THE CLASS M-3 CERTIFICATES] [,] [AND] [THE CLASS M-4 CERTIFICATES] [,] [AND] [THE CLASS M-5 CERTIFICATES] [,] [AND] [THE CLASS M-6 CERTIFICATES] [,] [AND] [THE CLASS M-7 CERTIFICATES] AS DESCRIBED IN THE AGREEMENT (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS 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 (THE “CODE”).
THIS CERTIFICATE SHALL INITIALLY BE ISSUED AS ONE OR MORE CERTIFICATES REGISTERED IN THE NAME OF THE DEPOSITORY OR ITS NOMINEE AND, EXCEPT AS PROVIDED BELOW, REGISTRATION OF SUCH CERTIFICATES MAY NOT BE TRANSFERRED BY THE TRUSTEE EXCEPT TO ANOTHER DEPOSITORY THAT AGREES TO HOLD SUCH CERTIFICATES FOR THE RESPECTIVE CERTIFICATE OWNERS WITH OWNERSHIP INTERESTS THEREIN. THE CERTIFICATE OWNERS SHALL HOLD THEIR RESPECTIVE OWNERSHIP INTERESTS IN AND TO EACH OF SUCH BOOK-ENTRY CERTIFICATES THROUGH THE BOOK-ENTRY FACILITIES OF THE DEPOSITORY AND, EXCEPT AS PROVIDED BELOW, SHALL NOT BE ENTITLED TO DEFINITIVE CERTIFICATES IN RESPECT OF SUCH OWNERSHIP INTERESTS. ALL TRANSFERS BY CERTIFICATE OWNERS OF THEIR RESPECTIVE OWNERSHIP IN THE BOOK-ENTRY CERTIFICATES SHALL BE MADE IN ACCORDANCE WITH THE PROCEDURES ESTABLISHED BY THE DEPOSITORY PARTICIPANT OR BROKERAGE FIRM REPRESENTING SUCH CERTIFICATE OWNER. EACH DEPOSITORY PARTICIPANT SHALL TRANSFER THE OWNERSHIP INTERESTS ONLY IN THE BOOK-ENTRY CERTIFICATES OF CERTIFICATE OWNERS IT REPRESENTS OR OF BROKERAGE FIRMS FOR WHICH IT ACTS AS AGENT IN ACCORDANCE WITH THE DEPOSITORY'S NORMAL PROCEDURES. THE TRUSTEE SHALL NOT BE REQUIRED TO MONITOR, DETERMINE OR INQUIRE AS TO COMPLIANCE WITH THE TRANSFER RESTRICTIONS WITH RESPECT TO THE BOOK-ENTRY CERTIFICATES, AND THE TRUSTEE SHALL HAVE NO LIABILITY FOR TRANSFERS OF OWNERSHIP INTERESTS IN THE BOOK-ENTRY CERTIFICATES MADE THROUGH THE BOOK-ENTRY FACILITIES OF THE DEPOSITORY OR BETWEEN OR AMONG DEPOSITORY PARTICIPANTS OR CERTIFICATE OWNERS, MADE IN VIOLATION OF THE APPLICABLE RESTRICTIONS.
ANY TRANSFEREE SHALL BE DEEMED TO HAVE MADE THE REPRESENTATION SET FORTH IN SECTION 5.02(c) OF THE POOLING AND SERVICING AGREEMENT.
Certificate No. 1 | Adjustable Rate |
Class M-[1][2][3][4][5][6] [7][8] | Aggregate Initial Certificate Principal Balance of the Class M- [1][2][3][4][5][6][7][8]Certificates: $[__________] |
Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2006 | Initial Certificate Principal Balance of this Certificate: $[__________] |
First Distribution Date: October 25, 2006 | CUSIP: [__________] |
Master Servicer: Impac Funding Corporation | |
Assumed Final Distribution Date: November 25, 2036 |
MORTGAGE PASS-THROUGH CERTIFICATE
SERIES 2006-3
evidencing a percentage interest in any distributions allocable to the Class M-[1][2][3][4][5][6][7][8] Certificates with respect to the Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans formed and sold by IMPAC SECURED ASSETS CORP.
This Certificate is payable solely from the assets of the Trust Fund, and does not represent an obligation of or interest in Impac Secured Assets Corp., the Master Servicer, the Trustee referred to below or any of their affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality or by Impac Secured Assets Corp., the Master Servicer, the Trustee or any of their affiliates. None of the Company, the Master Servicer or any of their affiliates will have any obligation with respect to any certificate or other obligation secured by or payable from payments on the Certificates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the aggregate Initial Certificate Principal Balance of all Class M-[] Certificates, both as specified above) in certain distributions with respect to a Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans (the “Mortgage Loans”), formed and sold by Impac Secured Assets Corp. (hereinafter called the “Company,” which term includes any successor entity under the Agreement referred to below). The Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as specified above (the “Agreement”) among the Company, the Master Servicer and Deutsche Bank National Trust Company, as trustee (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.
Distributions on this Certificate will be made either by the Trustee or by a Paying Agent appointed by the Trustee either in immediately available funds (by wire transfer or otherwise) for the account of the Person entitled thereto if such Person shall have so notified the Trustee or such Paying Agent at least 5 Business Days prior to the related Record Date, or by check mailed to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register.
Notwithstanding the above, the final distribution on this Certificate will be made after due notice 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 in the City and State of New York. The Initial Certificate Principal Balance of this Certificate is set forth above. The Certificate Principal Balance hereof will be reduced to the extent of the distributions allocable to principal and any Realized Losses allocable hereto.
This Certificate is one of a duly authorized issue of Certificates issued in several Classes designated as Mortgage Pass-Through Certificates of the Series specified hereon (herein collectively called the “Certificates”).
The 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. In the event the Master Servicer advances funds with respect to any Mortgage Loan, such advance is reimbursable to the Master Servicer, to the extent provided in the Agreement, from related recoveries on such Mortgage Loan or from other cash that would have been distributable to Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account and/or the Certificate Account created for the benefit of Certificateholders may be made by the Master Servicer from time to time for purposes other than distributions to Certificateholders, such purposes including without limitation reimbursement to the Trustee, the Company and the Master Servicer of advances made, or certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the amendment of the Agreement and the modification of the rights and obligations of the Company, the Master Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Company, the Master Servicer and the Trustee with the consent of the Holders of Certificates evidencing in the aggregate not less than 66-2/3% of the Percentage Interests of each Class of Certificates affected thereby. 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 the Certificate. The Agreement also permits the amendment thereof in certain circumstances with the consent of the Certificate Insurer and without the consent of the Holders of any of the Certificates and, in certain additional circumstances, without the consent of the Holders of certain Classes of Certificates.
Any transferee shall be deemed to have made the representation set forth in Section 5.02(c) of the Agreement.
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, 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 authorized denominations evidencing the same Class and aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons in Classes and in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of authorized denominations evidencing the same Class and 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, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer and the Trustee and any agent of the Company, the Master Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Company, the Master Servicer, the Trustee nor any such agent shall be affected by notice to the contrary.
This Certificate shall be governed by and construed in accordance with the laws of the State of New York.
The Mortgage Loans are subject to termination in whole, but not in part, by the Master Servicer, on or after the Distribution Date on which the aggregate Stated Principal Balance of the Mortgage Loans is less than or equal to 10% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase.
Unless the certificate of authentication hereon has been executed by the Trustee, 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: September 29, 2006 | DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | |
| | |
By: | ||
Authorized Signatory |
CERTIFICATE OF AUTHENTICATION
This is one of the Class M-[1][2][3][4][5][6][7][8] Certificates referred to in the within-mentioned Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | ||
| | |
By: | ||
Authorized Signatory |
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _____________________________________ (Please print or typewrite name and address including postal zip code of assignee) a Percentage Interest evidenced by the within Mortgage Pass-Through Certificate and hereby authorizes the transfer of registration 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 denomination and Class, to the above named assignee and deliver such Certificate to the following address:
Dated: | ___________________________________ |
Signature by or on behalf of assignor | |
_______________________________ | |
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 for the account of account number ,or, if mailed by check, to Applicable statements should be mailed to .
This information is provided by , the assignee named above, or , as its agent.
EXHIBIT B-2
FORM OF CLASS B CERTIFICATE
THIS CERTIFICATE IS SUBORDINATED IN RIGHT OF PAYMENT TO THE SENIOR CERTIFICATES [,] [AND] [THE CLASS M-1 CERTIFICATES] [,] [AND] [THE CLASS M-2 CERTIFICATES] [,] [AND] [THE CLASS M-3 CERTIFICATES] [,] [AND] [THE CLASS M-4 CERTIFICATES] [,] [AND] [THE CLASS M-5 CERTIFICATES] [,] [AND] [THE CLASS M-6 CERTIFICATES] [,] [AND] [THE CLASS M-7 CERTIFICATES] [,] [AND] [THE CLASS M-8 CERTIFICATES] AS DESCRIBED IN THE AGREEMENT (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS 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 (THE “CODE”).
THIS CERTIFICATE SHALL INITIALLY BE ISSUED AS ONE OR MORE CERTIFICATES REGISTERED IN THE NAME OF THE DEPOSITORY OR ITS NOMINEE AND, EXCEPT AS PROVIDED BELOW, REGISTRATION OF SUCH CERTIFICATES MAY NOT BE TRANSFERRED BY THE TRUSTEE EXCEPT TO ANOTHER DEPOSITORY THAT AGREES TO HOLD SUCH CERTIFICATES FOR THE RESPECTIVE CERTIFICATE OWNERS WITH OWNERSHIP INTERESTS THEREIN. THE CERTIFICATE OWNERS SHALL HOLD THEIR RESPECTIVE OWNERSHIP INTERESTS IN AND TO EACH OF SUCH BOOK-ENTRY CERTIFICATES THROUGH THE BOOK-ENTRY FACILITIES OF THE DEPOSITORY AND, EXCEPT AS PROVIDED BELOW, SHALL NOT BE ENTITLED TO DEFINITIVE CERTIFICATES IN RESPECT OF SUCH OWNERSHIP INTERESTS. ALL TRANSFERS BY CERTIFICATE OWNERS OF THEIR RESPECTIVE OWNERSHIP IN THE BOOK-ENTRY CERTIFICATES SHALL BE MADE IN ACCORDANCE WITH THE PROCEDURES ESTABLISHED BY THE DEPOSITORY PARTICIPANT OR BROKERAGE FIRM REPRESENTING SUCH CERTIFICATE OWNER. EACH DEPOSITORY PARTICIPANT SHALL TRANSFER THE OWNERSHIP INTERESTS ONLY IN THE BOOK-ENTRY CERTIFICATES OF CERTIFICATE OWNERS IT REPRESENTS OR OF BROKERAGE FIRMS FOR WHICH IT ACTS AS AGENT IN ACCORDANCE WITH THE DEPOSITORY'S NORMAL PROCEDURES. THE TRUSTEE SHALL NOT BE REQUIRED TO MONITOR, DETERMINE OR INQUIRE AS TO COMPLIANCE WITH THE TRANSFER RESTRICTIONS WITH RESPECT TO THE BOOK-ENTRY CERTIFICATES, AND THE TRUSTEE SHALL HAVE NO LIABILITY FOR TRANSFERS OF OWNERSHIP INTERESTS IN THE BOOK-ENTRY CERTIFICATES MADE THROUGH THE BOOK-ENTRY FACILITIES OF THE DEPOSITORY OR BETWEEN OR AMONG DEPOSITORY PARTICIPANTS OR CERTIFICATE OWNERS, MADE IN VIOLATION OF THE APPLICABLE RESTRICTIONS.
ANY TRANSFEREE SHALL BE DEEMED TO HAVE MADE THE REPRESENTATION SET FORTH IN SECTION 5.02(c) OF THE POOLING AND SERVICING AGREEMENT.
Certificate No. 1 | Variable Pass-Through Rate |
Class B | Aggregate Initial Certificate Principal Balance of the Class B Certificates: $[__________] |
Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2006 | Initial Certificate Principal Balance of this Certificate: $[__________] |
First Distribution Date: October 25, 2006 | CUSIP: [__________] |
Master Servicer: Impac Funding Corporation | |
Assumed Final Distribution Date: November 25, 2036 |
MORTGAGE PASS-THROUGH CERTIFICATE
SERIES 2006-3
evidencing a percentage interest in any distributions allocable to the Class B Certificates with respect to the Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans formed and sold by IMPAC SECURED ASSETS CORP.
This Certificate is payable solely from the assets of the Trust Fund, and does not represent an obligation of or interest in Impac Secured Assets Corp., the Master Servicer, the Trustee referred to below or any of their affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality or by Impac Secured Assets Corp., the Master Servicer, the Trustee or any of their affiliates. None of the Company, the Master Servicer or any of their affiliates will have any obligation with respect to any certificate or other obligation secured by or payable from payments on the Certificates.
This certifies that Cede & Co. is the registered owner of the Percentage Interest evidenced by this Certificate (obtained by dividing the Initial Certificate Principal Balance of this Certificate by the aggregate Initial Certificate Principal Balance of all Class B Certificates, both as specified above) in certain distributions with respect to a Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans (the “Mortgage Loans”), formed and sold by Impac Secured Assets Corp. (hereinafter called the “Company,” which term includes any successor entity under the Agreement referred to below). The Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as specified above (the “Agreement”) among the Company, the Master Servicer and Deutsche Bank National Trust Company, as trustee (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, a distribution 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 (the "Distribution Date”), commencing as described in the Agreement, to the Person in whose name this Certificate is registered on the Business Day immediately preceding such Distribution Date (the “Record Date”), from the Available Funds in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount of interest and principal, if any, required to be distributed to Holders of Class B Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Trustee or by a Paying Agent appointed by the Trustee either in immediately available funds (by wire transfer or otherwise) for the account of the Person entitled thereto if such Person shall have so notified the Trustee or such Paying Agent at least 5 Business Days prior to the related Record Date, or by check mailed to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register.
Notwithstanding the above, the final distribution on this Certificate will be made after due notice 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 in the City and State of New York. The Initial Certificate Principal Balance of this Certificate is set forth above. The Certificate Principal Balance hereof will be reduced to the extent of the distributions allocable to principal and any Realized Losses allocable hereto.
This Certificate is one of a duly authorized issue of Certificates issued in several Classes designated as Mortgage Pass-Through Certificates of the Series specified hereon (herein collectively called the “Certificates”).
The 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. In the event the Master Servicer advances funds with respect to any Mortgage Loan, such advance is reimbursable to the Master Servicer, to the extent provided in the Agreement, from related recoveries on such Mortgage Loan or from other cash that would have been distributable to Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account and/or the Certificate Account created for the benefit of Certificateholders may be made by the Master Servicer from time to time for purposes other than distributions to Certificateholders, such purposes including without limitation reimbursement to the Trustee, the Company and the Master Servicer of advances made, or certain expenses incurred, by either of them.
The Agreement permits, with certain exceptions therein provided, the amendment of the Agreement and the modification of the rights and obligations of the Company, the Master Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Company, the Master Servicer and the Trustee with the consent of the Holders of Certificates evidencing in the aggregate not less than 66-2/3% of the Percentage Interests of each Class of Certificates affected thereby. 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 the Certificate. The Agreement also permits the amendment thereof in certain circumstances with the consent of the Certificate Insurer and without the consent of the Holders of any of the Certificates and, in certain additional circumstances, without the consent of the Holders of certain Classes of Certificates.
Any transferee shall be deemed to have made the representation set forth in Section 5.02(c) of the Agreement.
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, 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 authorized denominations evidencing the same Class and aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons in Classes and in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of authorized denominations evidencing the same Class and 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, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer and the Trustee and any agent of the Company, the Master Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Company, the Master Servicer, the Trustee nor any such agent shall be affected by notice to the contrary.
This Certificate shall be governed by and construed in accordance with the laws of the State of New York.
The Mortgage Loans are subject to termination in whole, but not in part, by the Master Servicer, on or after the Distribution Date on which the aggregate Stated Principal Balance of the Mortgage Loans is less than or equal to 10% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase.
Unless the certificate of authentication hereon has been executed by the Trustee, 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: September 29, 2006 | DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | |
| | |
By: | ||
Authorized Signatory |
CERTIFICATE OF AUTHENTICATION
This is one of the Class B Certificates referred to in the within-mentioned Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | ||
| | |
By: | ||
Authorized Signatory |
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _____________________________________ (Please print or typewrite name and address including postal zip code of assignee) a Percentage Interest evidenced by the within Mortgage Pass-Through Certificate and hereby authorizes the transfer of registration 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 denomination and Class, to the above named assignee and deliver such Certificate to the following address:
Dated: | _____________________________________ |
Signature by or on behalf of assignor | |
_____________________________________ | |
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 for the account of account number ,or, if mailed by check, to Applicable statements should be mailed to .
This information is provided by , the assignee named above, or , as its agent.
EXHIBIT B-3
FORM OF CLASS C CERTIFICATES
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS 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 (THE “CODE”).
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR SECTION 4975 OF THE CODE SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
Certificate No. 1 | |
Class C | Aggregate Initial Notional Amount of the Class C Certificates: $_____________] |
Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2006 | Initial Notional Amount of this Certificate: $[_____________] |
First Distribution Date: October 25, 2006 | Initial Certificate Principal Balance of this Certificate $[_________] |
Master Servicer: Impac Funding Corporation | Percentage Interest of this Certificate: 100% |
Assumed Final Distribution Date: November 25, 2036 | CUSIP: [_________] |
MORTGAGE PASS-THROUGH CERTIFICATE
SERIES 2006-3
evidencing percentage interest in the distributions allocable to the Class C Certificates with respect to a Trust Fund consisting primarily of a pool of one- to four- family adjustable-rate first lien and fixed rate first and second lien mortgage loans formed and sold by IMPAC SECURED ASSETS CORP.
This Certificate is payable solely from the assets of the Trust Fund, and does not represent an obligation of or interest in Impac Secured Assets Corp., the Master Servicer, the Trustee referred to below or any of their affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality or by Impac Secured Assets Corp., the Master Servicer, the Trustee or any of their affiliates. None of the Company, the Master Servicer or any of their affiliates will have any obligation with respect to any certificate or other or obligation secured by or payable from payments on the Certificates.
This certifies that Deutsche Bank National Trust Company on behalf of the Impac NIM Trust 2006-3 Noteholders is the registered owner of the Percentage Interest evidenced by this Class C Certificate (obtained by dividing the Original Class C Certificate by the Original Class Certificate Principal Balance) in certain distributions with respect to a Trust consisting primarily of the Mortgage Loans deposited by Impac Secured Assets Corp. (the “Company”). The Trust was created pursuant to a Pooling and Servicing Agreement dated as of September 1, 2006 (the “Agreement”) among the Company, Impac Funding Corporation, as master servicer (the “Master Servicer”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”). To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Agreement. This Class C Certificate is issued under and is subject to the terms, provisions and conditions of the Agreement, to which Agreement the Holder of this Class C Certificate by virtue of the acceptance hereof assents and by which such Holder is bound.
Pursuant to the terms of the Agreement, a distribution 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 (the “Distribution Date”), commencing as described in the Agreement, to the Person in whose name this Certificate is registered at the close of business on the last Business Day of the month immediately preceding the month of such Distribution Date (the “Record Date”), from the Available Distribution Amount in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount (of interest, if any) required to be distributed to Holders of Class C Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Trustee or by a Paying Agent appointed by the Trustee either in immediately available funds (by wire transfer or otherwise) for the account of the Person entitled thereto if such Person shall have so notified the Trustee or such Paying Agent at least 5 Business Days prior to the related Record Date, or by check mailed to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register.
Notwithstanding the above, the final distribution on this Certificate will be made after due notice 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 in the City and State of New York.
This Certificate is one of a duly authorized issue of Certificates issued in several Classes designated as Mortgage Pass-Through Certificates of the Series specified hereon (herein collectively called the “Certificates”).
The 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. In the event the Master Servicer advances funds with respect to any Mortgage Loan, such advance is reimbursable to the Master Servicer, to the extent provided in the Agreement, from related recoveries on such Mortgage Loan or from other cash that would have been distributable to Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account and/or the Certificate Account created for the benefit of Certificateholders may be made by the Master Servicer from time to time for purposes other than distributions to Certificateholders, such purposes including without limitation reimbursement to the Trustee, the Company and the Master Servicer of advances made, or certain expenses incurred, by either of them.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder's prospective transferee shall each certify to the Trustee and the Company in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the act, there shall be delivered to the Trustee and the Company of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Master Servicer or the Company; or there shall be delivered to the Trustee and the Company a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Company 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 to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(c) of the Agreement.
The Agreement permits, with certain exceptions therein provided, the amendment of the Agreement and the modification of the rights and obligations of the Company, the Master Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Company, the Master Servicer and the Trustee with the consent of the Holders of Certificates evidencing in the aggregate not less than 66-2/3% of the Percentage Interests of each Class of Certificates affected thereby. 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 the Certificate. The Agreement also permits the amendment thereof in certain circumstances with the consent of the Certificate Insurer and without the consent of the Holders of any of the Certificates and, in certain additional circumstances, without the consent of the Holders of certain Classes of 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, 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 authorized denominations evidencing the same Class and aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons in Classes and in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of authorized denominations evidencing the same Class and 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, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer and the Trustee and any agent of the Company, the Master Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Company, the Master Servicer, the Trustee nor any such agent shall be affected by notice to the contrary.
This Certificate shall be governed by and construed in accordance with the laws of the State of New York.
The Mortgage Loans are subject to termination in whole, but not in part, by the Master Servicer, on or after the Distribution Date on which the aggregate Stated Principal Balance of the Mortgage Loans is less than or equal to 10% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase.
Unless the certificate of authentication hereon has been executed by the Trustee, 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: September 29, 2006 | DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | |
| | |
By: | ||
Authorized Signatory |
CERTIFICATE OF AUTHENTICATION
This is one of the Class C Certificates referred to in the within-mentioned Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | ||
| | |
By: | ||
Authorized Signatory |
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto _____________________________________ (Please print or typewrite name and address including postal zip code of assignee) a Percentage Interest evidenced by the within Mortgage Pass-Through Certificate and hereby authorizes the transfer of registration 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 denomination and Class, to the above named assignee and deliver such Certificate to the following address:
Dated: | |
Signature by or on behalf of assignor | |
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 ________________________________________________for the account of ______________ account number ___________, or, if mailed by check, to________________ _____ Applicable statements should be mailed to ______________________________________ ______________________________________________________________________________ _________.
This information is provided by __________________, the assignee named above, or ____________________, as its agent.
EXHIBIT B-4
FORM OF CLASS P CERTIFICATE
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS 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”).
THIS CERTIFICATE HAS NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”). ANY RESALE OR TRANSFER OF THIS CERTIFICATE WITHOUT REGISTRATION THEREOF UNDER THE ACT MAY ONLY BE MADE IN A TRANSACTION EXEMPTED FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND IN ACCORDANCE WITH THE PROVISIONS OF THE AGREEMENT REFERRED TO HEREIN.
NO TRANSFER OF THIS CERTIFICATE TO AN EMPLOYEE BENEFIT PLAN OR OTHER RETIREMENT ARRANGEMENT (EACH A “PLAN”) SUBJECT TO THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR SECTION 4975 OF THE CODE SHALL BE MADE EXCEPT IN COMPLIANCE WITH THE PROCEDURES DESCRIBED HEREIN.
Certificate No. 1 | |
Class P | Aggregate Initial Certificate Principal Balance of the Class P Certificates: $100.00 |
Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2006 | Initial Certificate Principal Balance of this Certificate Denomination: $100.00 |
First Distribution Date October 25, 2006 | Percentage Interest of this Certificate: 100% |
Master Servicer Impac Funding Corporation | CUSIP: [_________] |
Assumed Final Distribution Date: November 25, 2036 |
MORTGAGE PASS-THROUGH CERTIFICATE
SERIES 2006-3
evidencing a percentage interest in any distributions allocable to the Class P Certificates with respect to the Trust Fund consisting primarily of a pool of one-to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans formed and sold by IMPAC SECURED ASSETS CORP.
This Certificate is payable solely from the assets of the Trust Fund, and does not represent an obligation of or interest in Impac Secured Assets Corp., the Master Servicer, the Trustee referred to below or any of their affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality or by Impac Secured Assets Corp., the Master Servicer, the Trustee or any of their affiliates. None of the Company, the Master Servicer or any of their affiliates will have any obligation with respect to any certificate or other obligation secured by or payable from payments on the Certificates.
This certifies that Deutsche Bank National Trust Company on behalf of the Impac NIM Trust 2006-3 Noteholders is the registered owner of the Percentage Interest evidenced by this Class P Certificate (obtained by dividing the Denomination of this Class P Certificate by the Original Class Certificate Principal Balance) in certain distributions with respect to a Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans (the “Mortgage Loans”), formed and sold by Impac Secured Assets Corp. (hereinafter called the “Company,” which term includes any successor entity under the Agreement referred to below). The Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as specified above (the “Agreement”) among the Company, the Master Servicer, Deutsche Bank National Trust Company, as trustee (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, a distribution 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 (the “Distribution Date”), commencing as described in the Agreement, to the Person in whose name this Certificate is registered at the close of business on the last Business Day of the month immediately preceding the month of such Distribution Date (the “Record Date”), from the Available Distribution Amount in an amount equal to the product of the Percentage Interest evidenced by this Certificate and the amount (of Prepayment Charges and principal, if any) required to be distributed to Holders of Class P Certificates on such Distribution Date.
Distributions on this Certificate will be made either by the Trustee or by a Paying Agent appointed by the Trustee either in immediately available funds (by wire transfer or otherwise) for the account of the Person entitled thereto if such Person shall have so notified the Trustee or such Paying Agent at least 5 Business Days prior to the related Record Date, or by check mailed to the address of the Person entitled thereto, as such name and address shall appear on the Certificate Register.
Notwithstanding the above, the final distribution on this Certificate will be made after due notice 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 in the City and State of New York. The Initial Certificate Principal Balance of this Certificate is set forth above. The Certificate Principal Balance hereof will be reduced to the extent of the distributions allocable to principal allocable hereto.
This Certificate is one of a duly authorized issue of Certificates issued in several Classes designated as Mortgage Pass-Through Certificates of the Series specified hereon (herein collectively called the “Certificates”).
The 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. In the event the Master Servicer advances funds with respect to any Mortgage Loan, such advance is reimbursable to the Master Servicer, to the extent provided in the Agreement, from related recoveries on such Mortgage Loan or from other cash that would have been distributable to Certificateholders.
As provided in the Agreement, withdrawals from the Custodial Account and/or the Certificate Account created for the benefit of Certificateholders may be made by the Master Servicer from time to time for purposes other than distributions to Certificateholders, such purposes including without limitation reimbursement to the Trustee, the Company and the Master Servicer of advances made, or certain expenses incurred, by either of them.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the Act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder's prospective transferee shall each certify to the Trustee and the Company in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the Act, there shall be delivered to the Trustee and the Company of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Master Servicer or the Company; or there shall be delivered to the Trustee and the Company a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Company 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 to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(c) of the Agreement.
The Agreement permits, with certain exceptions therein provided, the amendment of the Agreement and the modification of the rights and obligations of the Company, the Master Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Company, the Master Servicer and the Trustee with the consent of the Holders of Certificates evidencing in the aggregate not less than 66-2/3% of the Percentage Interests of each Class of Certificates affected thereby. 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 the Certificate. The Agreement also permits the amendment thereof in certain circumstances with the consent of the Certificate Insurer and without the consent of the Holders of any of the Certificates and, in certain additional circumstances, without the consent of the Holders of certain Classes of 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, 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 authorized denominations evidencing the same Class and aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons in Classes and in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of authorized denominations evidencing the same Class and 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, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer and the Trustee and any agent of the Company, the Master Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Company, the Master Servicer, the Trustee nor any such agent shall be affected by notice to the contrary.
This Certificate shall be governed by and construed in accordance with the laws of the State of New York.
The Mortgage Loans are subject to termination in whole, but not in part, by the Master Servicer, on or after the Distribution Date on which the aggregate Stated Principal Balance of the Mortgage Loans is less than or equal to 10% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase.
Unless the certificate of authentication hereon has been executed by the Trustee, 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: September 29, 2006 | DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | |
| | |
By: | ||
Authorized Signatory |
CERTIFICATE OF AUTHENTICATION
This is one of the Class P Certificates referred to in the within-mentioned Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | ||
| | |
By: | ||
Authorized Signatory |
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto
(Please print or typewrite name and address including postal zip code of assignee)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee to issue a new Certificate of a like denomination and Class, to the above named assignee and deliver such Certificate to the following address:
Dated: | |
Signature by or on behalf of assignor | |
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 ________________________________________________for the account of ______________ account number ___________, or, if mailed by check, to________________ _____ Applicable statements should be mailed to ______________________________________ ______________________________________________________________________________ _________.
This information is provided by __________________, the assignee named above, or ____________________, as its agent.
EXHIBIT B-5
FORM OF CLASS R CERTIFICATE
THIS CERTIFICATE MAY NOT BE HELD BY OR TRANSFERRED TO A NON-UNITED STATES PERSON OR A DISQUALIFIED ORGANIZATION (AS DEFINED BELOW).
SOLELY FOR U.S. FEDERAL INCOME TAX PURPOSES, THIS CERTIFICATE REPRESENTS A “RESIDUAL 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 (THE “CODE”).
NO TRANSFER OF THIS CERTIFICATE MAY BE MADE TO ANY PERSON, UNLESS THE TRANSFEREE PROVIDES EITHER A CERTIFICATION PURSUANT TO SECTION 5.02(c) OF THE AGREEMENT OR AN OPINION OF COUNSEL AS PROVIDED IN SECTION 5.02(c) THAT THE PURCHASE OF THIS CERTIFICATE IS PERMISSIBLE UNDER APPLICABLE LAW, WILL NOT CONSTITUTE OR RESULT IN A NON-EXEMPT PROHIBITED TRANSACTION UNDER SECTION 406 OF THE EMPLOYEE RETIREMENT INCOME SECURITY ACT OF 1974, AS AMENDED (“ERISA”), OR SECTION 4975 OF THE CODE AND WILL NOT SUBJECT THE MASTER SERVICER, THE COMPANY OR THE TRUSTEE TO ANY OBLIGATION OR LIABILITY IN ADDITION TO THOSE UNDERTAKEN IN AGREEMENT.
THIS CLASS R CERTIFICATE HAS NO PRINCIPAL BALANCE, DOES NOT BEAR INTEREST AND WILL NOT RECEIVE ANY DISTRIBUTIONS EXCEPT AS PROVIDED HEREIN.
ANY RESALE, TRANSFER OR OTHER DISPOSITION OF THIS CERTIFICATE MAY BE MADE ONLY IF THE PROPOSED TRANSFEREE PROVIDES A TRANSFER AFFIDAVIT TO THE MASTER SERVICER AND THE TRUSTEE THAT (1) 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 HEREIN REFERRED TO AS A “DISQUALIFIED ORGANIZATION”) OR (D) AN AGENT OF A DISQUALIFIED ORGANIZATION, (2) NO PURPOSE OF SUCH TRANSFER IS TO IMPEDE THE ASSESSMENT OR COLLECTION OF TAX, (3) SUCH TRANSFEREE SATISFIES CERTAIN ADDITIONAL CONDITIONS RELATING TO THE FINANCIAL CONDITION OF THE PROPOSED TRANSFEREE AND (4) SUCH TRANSFEREE IS A UNITED STATES PERSON. NOTWITHSTANDING THE REGISTRATION IN THE CERTIFICATE REGISTER OR ANY TRANSFER, SALE OR OTHER DISPOSITION OF THIS CERTIFICATE TO A DISQUALIFIED ORGANIZATION OR AN AGENT OF A DISQUALIFIED ORGANIZATION OR A NON-UNITED STATES PERSON, 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 THIS CERTIFICATE BY ACCEPTANCE OF THIS CERTIFICATE SHALL BE DEEMED TO HAVE CONSENTED TO THE PROVISIONS OF THIS PARAGRAPH.
Certificate No. 1 | |
Class R Senior | |
Date of Pooling and Servicing Agreement and Cut-off Date: September 1, 2006 | Percentage Interest: 100% |
First Distribution Date: October 25, 2006 | |
Master Servicer: Impac Funding Corporation | |
Assumed Final Distribution Date: November 25, 2036 | CUSIP: [_________] |
Date of Pooling and Servicing
Agreement and Cut-off Date: September 1, 2006
MORTGAGE PASS-THROUGH CERTIFICATE,
SERIES 2006-3
evidencing a percentage interest in any distributions allocable to the Class R Certificates with respect to the Trust Fund consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans formed and sold by IMPAC SECURED ASSETS CORP.
This Certificate is payable solely from the assets of the Trust Fund, and does not represent an obligation of or interest in Impac Secured Assets Corp., the Master Servicer, the Trustee referred to below or any of their affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed or insured by any governmental agency or instrumentality or by Impac Secured Assets Corp., the Master Servicer, the Trustee or any of their affiliates. None of the Company, the Master Servicer or any of their affiliates will have any obligation with respect to any certificate or other obligation secured by or payable from payments on the Certificates.
This certifies that Wachovia Bank, National Association is the registered owner of the Percentage Interest evidenced by this Certificate stated above in certain distributions with respect to a Trust Fund, consisting primarily of a pool of one- to four-family adjustable-rate first lien and fixed rate first and second lien mortgage loans (the “Mortgage Loans”), formed and sold by Impac Secured Assets Corp. (hereinafter called the “Company,” which term includes any successor entity under the Agreement referred to below). The Trust Fund was created pursuant to a Pooling and Servicing Agreement dated as specified above (the “Agreement”) among the Company, the Master Servicer, Deutsche Bank National Trust Company, as trustee (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.
This Certificate does not have a principal balance or pass-through rate and will be entitled to distributions only to the Patent set forth in the Agreement. In addition, any distribution of the proceeds of any remaining assets of the Trust will be made only upon presentment and surrender of this Certificate at the office or agency maintained by the Trustee.
This Certificate is one of a duly authorized issue of Certificates issued in several Classes designated as Mortgage Pass-Through Certificates of the Series specified hereon (herein collectively called the “Certificates”).
As provided in the Agreement, withdrawals from the Custodial Account and/or the Certificate Account created for the benefit of Certificateholders may be made by the Master Servicer from time to time for purposes other than distributions to Certificateholders, such purposes including without limitation reimbursement to the Trustee, the Company and the Master Servicer of advances made, or certain expenses incurred, by either of them.
No transfer of a Certificate of this Class shall be made unless such transfer is made pursuant to an effective registration statement under the Act and any applicable state securities laws or is exempt from the registration requirements under said Act and such laws. In the event that a transfer is to be made in reliance upon an exemption from the Act and such laws, in order to assure compliance with the Act and such laws, the Certificateholder desiring to effect such transfer and such Certificateholder's prospective transferee shall each certify to the Trustee and the Company in writing the facts surrounding the transfer. In the event that such a transfer is not to be made pursuant to Rule 144A of the Act, there shall be delivered to the Trustee and the Company of an Opinion of Counsel that such transfer may be made pursuant to an exemption from the Act, which Opinion of Counsel shall not be obtained at the expense of the Trustee, the Master Servicer or the Company; or there shall be delivered to the Trustee and the Company a transferor certificate by the transferor and an investment letter shall be executed by the transferee. The Holder hereof desiring to effect such transfer shall, and does hereby agree to, indemnify the Trustee and the Company 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 to a Plan subject to ERISA or Section 4975 of the Code, any Person acting, directly or indirectly, on behalf of any such Plan or any person using Plan Assets to acquire this Certificate shall be made except in accordance with Section 5.02(c) of the Agreement.
Each Holder of this Certificate will be deemed to have agreed to be bound by the restrictions of the Agreement, including but not limited to the restrictions that (i) each person holding or acquiring any Ownership Interest in this Certificate must be a Permitted Transferee, (ii) no Ownership Interest, in this Certificate may be transferred without delivery to the Trustee of (a) a transfer affidavit of the proposed transferee and (b) a transfer certificate of the transferor, each of such documents to be in the form described in the Agreement, (iii) each person holding or acquiring any Ownership Interest in this Certificate must agree to require a transfer affidavit and to deliver a transfer certificate to the Trustee as required pursuant to the Agreement, (iv) each person holding or acquiring an Ownership Interest in this Certificate must agree not to transfer an Ownership Interest in this Certificate if it has actual knowledge that the proposed transferee is not a Permitted Transferee and (v) any attempted or purported transfer of any Ownership Interest in this Certificate in violation of such restrictions will be absolutely null and void and will vest no rights in the purported transferee. Pursuant to the Agreement, the Trustee will provide the Internal Revenue Service and any pertinent persons with the information needed to compute the tax imposed under the applicable tax laws on transfers of residual interests to disqualified organizations, if any person other than a Permitted Transferee acquires an Ownership Interest on a Class R Certificate in violation of the restrictions mentioned above.
The Agreement permits, with certain exceptions therein provided, the amendment of the Agreement and the modification of the rights and obligations of the Company, the Master Servicer and the Trustee and the rights of the Certificateholders under the Agreement at any time by the Company, the Master Servicer and the Trustee with the consent of the Holders of Certificates evidencing in the aggregate not less than 66-2/3% of the Percentage Interests of each Class of Certificates affected thereby. 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 the Certificate. The Agreement also permits the amendment thereof in certain circumstances with the consent of the Certificate Insurer and without the consent of the Holders of any of the Certificates and, in certain additional circumstances, without the consent of the Holders of certain Classes of 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, 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 authorized denominations evidencing the same Class and aggregate Percentage Interest will be issued to the designated transferee or transferees.
The Certificates are issuable only as registered Certificates without coupons in Classes and in denominations specified in the Agreement. As provided in the Agreement and subject to certain limitations therein set forth, Certificates are exchangeable for new Certificates of authorized denominations evidencing the same Class and 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, but the Trustee may require payment of a sum sufficient to cover any tax or other governmental charge payable in connection therewith.
The Company, the Master Servicer and the Trustee and any agent of the Company, the Master Servicer or the Trustee may treat the Person in whose name this Certificate is registered as the owner hereof for all purposes, and neither the Company, the Master Servicer, the Trustee nor any such agent shall be affected by notice to the contrary.
This Certificate shall be governed by and construed in accordance with the laws of the State of New York.
The Mortgage Loans are subject to termination in whole, but not in part, by the Master Servicer, on or after the Distribution Date on which the aggregate Stated Principal Balance of the Mortgage Loans is less than or equal to 10% of the aggregate Stated Principal Balance of the Mortgage Loans as of the Cut-off Date; provided, however, that no such purchase will be permitted if it would result in a draw on the Certificate Guaranty Insurance Policy, unless the Certificate Insurer consents in writing to such purchase.
Unless the certificate of authentication hereon has been executed by the Trustee, 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: September 29, 2006 | DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | |
| | |
By: | ||
Authorized Signatory |
CERTIFICATE OF AUTHENTICATION
This is one of the Class R Certificates referred to in the within-mentioned Agreement.
DEUTSCHE BANK NATIONAL TRUST COMPANY, as Trustee | ||
| | |
By: | ||
Authorized Signatory |
ASSIGNMENT
FOR VALUE RECEIVED, the undersigned hereby sell(s), assign(s) and transfer(s) unto
(Please print or typewrite name and address including postal zip code of assignee)
the Percentage Interest evidenced by the within Certificate and hereby authorizes the transfer of registration of such Percentage Interest to assignee on the Certificate Register of the Trust.
I (We) further direct the Trustee to issue a new Certificate of a like denomination and Class, to the above named assignee and deliver such Certificate to the following address:
Dated: | |
Signature by or on behalf of assignor | |
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 ________________________________________________for the account of ______________ account number ___________, or, if mailed by check, to_____________________ Applicable statements should be mailed to ______________________________________ ______________________________________________________________________________ _________.
This information is provided by __________________, the assignee named above, or ____________________, as its agent.
EXHIBIT C
FORM OF CUSTODIAN'S INITIAL CERTIFICATION
September 29, 2006
Impac Secured Assets Corp.
1401 Dove Street
Newport Beach, California 92660
Impac Funding Corporation
1401 Dove Street
Newport Beach, California 92660
Ambac Assurance Corporation
One State Street Plaza
New York, NY 10004
Re: | Pooling and Servicing Agreement, dated as of September 1, 2006 among Impac Secured Assets Corp., Impac Funding Corporation and Deutsche Bank National Trust Company, Mortgage Pass-Through Certificates, Series 2006-3 |
Ladies and Gentlemen:
In accordance with Section 2.02 of the above-captioned Pooling and Servicing Agreement, the undersigned, as Custodian, hereby certifies that as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or listed on the attachment hereto) it has reviewed the Mortgage File and the Mortgage Loan Schedule and has determined that: (i) all documents required to be included in the Mortgage File are in its possession; (ii) such documents have been reviewed by it and appear regular on their face and relate to such Mortgage Loan; and (iii) based on examination by it, and only as to such documents, the information set forth in items (iii) and (iv) of the definition or description of “Mortgage Loan Schedule” is correct.
The Custodian has made no independent examination of any documents contained in each Mortgage File beyond the review specifically required in the above-referenced Pooling and Servicing Agreement. The Custodian makes no representation that any documents specified in clause (vi) of Section 2.01 should be included in any Mortgage File. The Custodian makes no representations as to and shall not be responsible to verify: (i) the validity, legality, sufficiency, enforceability, due authorization, recordability or genuineness of any of the documents contained in each Mortgage File of any of the Mortgage Loans identified on the Mortgage Loan Schedule, (ii) the collectability, insurability, effectiveness or suitability of any such Mortgage Loan, or (iii) the existence of any assumption, modification, written assurance or substitution agreement with respect to any Mortgage File if no such documents appear in the Mortgage File delivered to the Custodian.
Capitalized words and phrases used herein shall have the respective meanings assigned to them in the above-captioned Pooling and Servicing Agreement.
[_______________________________] | |
By: ________________________________ | |
Name: | |
Title: |
EXHIBIT D
FORM OF CUSTODIAN FINAL CERTIFICATION
______________, 20__
Impac Secured Assets Corp.
1401 Dove Street
Newport Beach, California 92660
Impac Funding Corporation
1401 Dove Street
Newport Beach, California 92660
Ambac Assurance Corporation
One State Street Plaza
New York, NY 10004
Re: | Pooling and Servicing Agreement, dated as of September 1, 2006 among Impac Secured Assets Corp., Impac Funding Corporation and Deutsche Bank National Trust Company, Mortgage Pass-Through Certificates, Series 2006-3_______ |
Ladies and Gentlemen:
In accordance with Section 2.02 of the above-captioned Pooling and Servicing Agreement, the undersigned, as Custodian, hereby certifies that as to each Mortgage Loan listed in the Mortgage Loan Schedule (other than any Mortgage Loan paid in full or listed on the attachment hereto) it has received the documents set forth in Section 2.01.
The Custodian has made no independent examination of any documents contained in each Mortgage File beyond the review specifically required in the above-referenced Pooling and Servicing Agreement. The Custodian makes no representation that any documents specified in clause (vi) of Section 2.01 should be included in any Mortgage File. The Custodian makes no representations as to and shall not be responsible to verify: (i) the validity, legality, sufficiency, enforceability, due authorization, recordability or genuineness of any of the documents contained in each Mortgage File of any of the Mortgage Loans identified on the Mortgage Loan Schedule, (ii) the collectability, insurability, effectiveness or suitability of any such Mortgage Loan or (iii) the existence of any assumption, modification, written assurance or substitution agreement with respect to any Mortgage File if no such documents appear in the Mortgage File delivered to the Custodian.
Capitalized words and phrases used herein shall have the respective meanings assigned to them in the above-captioned Pooling and Servicing Agreement.
[_________________________] | |
By: ________________________________ | |
Name: | |
Title: |
EXHIBIT E
FORM OF REMITTANCE REPORT
(Provided Upon Request)
EXHIBIT F-1
REQUEST FOR RELEASE
(for Custodian)
Loan Information | ||
Name of Mortgagor: | ___________________________ | |
Master Servicer | ||
Loan No.: | ___________________________ | |
Trustee | ||
Name: | ___________________________ | |
Address: | ___________________________ | |
___________________________ | ||
Trustee | ||
Mortgage File No.: | ___________________________ |
Request for Requesting Documents (check one):
1. | Mortgage Loan Liquidated. |
(The Master Servicer hereby certifies that all proceeds of foreclosure, insurance or other liquidation have been finally received and deposited into the Custodial Account to the extent required pursuant to the Pooling and Servicing Agreement.)
2. | Mortgage Loan in Foreclosure. |
3. | Mortgage Loan Repurchased Pursuant to Section 9.01 of the Pooling and Servicing Agreement. |
4. | Mortgage Loan Repurchased Pursuant to Article II of the Pooling and Servicing Agreement. |
(The Master Servicer hereby certifies that the repurchase price has been deposited into the Custodial Account pursuant to the Pooling and Servicing Agreement.)
5. | Other (explain). |
_________________________________________________________________________ |
_________________________________________________________________________ |
_________________________________________________________________________ |
_________________________________________________________________________ |
_________________________________________________________________________ |
_________________________________________________________________________ |
The undersigned Master Servicer hereby acknowledges that it has received from the Trustee for the Holders of Mortgage Pass-Through Certificates, Series 2006-3, the documents referred to below (the “Documents”). All capitalized terms not otherwise defined in this Request for Release shall have the meanings given them in the Pooling and Servicing Agreement, dated as of September 1, 2006 (the “Pooling and Servicing Agreement”), among Impac Secured Assets Corp., Impac Funding Corporation and the Trustee.
( ) | Promissory Note dated _________________, 200_, in the original principal sum of $__________, made by __________________, payable to, or endorsed to the order of, the Trustee. |
( ) | Mortgage recorded on _________________________ as instrument no. ___________ in the County Recorders Office of the County of ______________________, State of _____________________ in book/reel/docket of official records at page/image _______________. |
( ) | Deed of Trust recorded on ____________________ as instrument no._____________ in the County Recorder's Office of the County of ______________________, State of _____________________in book/reel/docket __________________ of official records at page/image ________________. |
( ) | Assignment of Mortgage or Deed of Trust to the Trustee, recorded on _______________ as instrument no. ______________ in the County Recorder's Office of the County of ________________, State of ___________________ in book/reel/docket ____________ of official records at page/image ___________. |
( ) | Other documents, including any amendments, assignments or other assumptions of the Mortgage Note or Mortgage. |
( ) ___________________________
( ) ___________________________
( ) ___________________________
( ) ___________________________
The undersigned Master Servicer hereby acknowledges and agrees as follows:
(1) The Master Servicer shall hold and retain possession of the Documents in trust for the benefit of the Trustee, solely for the purposes provided in the Agreement.
(2) The Master Servicer shall not cause or knowingly permit the Documents to become subject to, or encumbered by, any claim, liens, security interest, charges, writs of attachment or other impositions nor shall the Master Servicer assert or seek to assert any claims or rights of setoff to or against the Documents or any proceeds thereof.
(3) The Master Servicer shall return each and every Document previously requested from the Mortgage File to the Custodian when the need therefor no longer exists, unless the Mortgage Loan relating to the Documents has been liquidated and the proceeds thereof have been remitted to the Custodial Account and except as expressly provided in the Agreement.
(4) The Documents and any proceeds thereof, including any proceeds of proceeds, coming into the possession or control of the Master Servicer shall at all times be earmarked for the account of the Trustee, and the Master Servicer shall keep the Documents and any proceeds separate and distinct from all other property in the Master Servicer's possession, custody or control.
IMPAC FUNDING CORPORATION | ||
| | |
Date: | By: ___________________________ | |
Date: _________________, 200_ | Title: __________________________ |
EXHIBIT F-2
REQUEST FOR RELEASE
[Mortgage Loans Paid in Full]
OFFICER'S CERTIFICATE AND TRUST RECEIPT
MORTGAGE PASS-THROUGH CERTIFICATES
SERIES 2006-3
_____________________________________ HEREBY CERTIFIES THAT HE/SHE IS AN OFFICER OF THE MASTER SERVICER, HOLDING THE OFFICE SET FORTH BENEATH HIS/HER SIGNATURE, AND HEREBY FURTHER CERTIFIES AS FOLLOWS:
WITH RESPECT TO THE MORTGAGE LOANS, AS THE TERM IS DEFINED IN THE POOLING AND SERVICING AGREEMENT DESCRIBED IN THE ATTACHED SCHEDULE:
ALL PAYMENTS OF PRINCIPAL, PREMIUM (IF ANY), AND INTEREST HAVE BEEN MADE.
LOAN NUMBER: _____________________ | BORROWER'S NAME: ________________ |
COUNTY: ___________________________ |
WE HEREBY CERTIFY THAT ALL AMOUNTS RECEIVED IN CONNECTION WITH SUCH PAYMENTS, WHICH ARE REQUIRED TO BE DEPOSITED IN THE CUSTODIAL ACCOUNT PURSUANT TO SECTION 3.10 OF THE POOLING AND SERVICING AGREEMENT, HAVE BEEN OR WILL BE CREDITED.
_________ ____________ | DATED: _____________________ |
// VICE PRESIDENT
// ASSISTANT VICE PRESIDENT
EXHIBIT G-1
FORM OF INVESTOR REPRESENTATION LETTER
___________,200__
Impac Secured Assets Corp.
1401 Dove Street
Newport Beach, California 92660
Deutsche Bank National Trust Company
1761 East St. Andrew Place
Santa Ana, California 92705-4934
Attention: Impac Secured Assets Corp. Series 2006-3
Re: | Impac Secured Assets Corp. Mortgage Pass-Through Certificates Series 2006-3, Class[_] |
Ladies and Gentlemen:
______________ (the “Purchaser”) intends to purchase from ______________ (the “Seller”) $_________ Initial Certificate Principal Balance of Mortgage Pass-Through Certificates, Series 2006-3, Class _____ (the “Certificates”), issued pursuant to the Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”), dated as of September 1, 2006 among Impac Secured Assets Corp., as depositor (the “Company”), Impac Funding Corporation, as master servicer, Deutsche Bank National Trust Company, as trustee (the “Trustee”). All terms used herein and not otherwise defined shall have the meanings set forth in the Pooling and Servicing Agreement. The Purchaser hereby certifies, represents and warrants to, and covenants with, the Company and the Trustee that:
1. The Purchaser understands that (a) the Certificates have not been and will not be registered or qualified under the Securities Act of 1933, as amended (the “Act”) or any state securities law, (b) the Company is not required to so register or qualify the Certificates, (c) the Certificates may be resold only if registered and qualified pursuant to the provisions of the Act or any state securities law, or if an exemption from such registration and qualification is available, (d) the Pooling and Servicing Agreement contains restrictions regarding the transfer of the Certificates and (e) the Certificates will bear a legend to the foregoing effect.
2. The Purchaser is acquiring the Certificates for its own account for investment only and not with a view to or for sale in connection with any distribution thereof in any manner that would violate the Act or any applicable state securities laws.
3. The Purchaser is (a) a substantial, sophisticated institutional investor having such knowledge and experience in financial and business matters, and, in particular, in such matters related to securities similar to the Certificates, such that it is capable of evaluating the merits and risks of investment in the Certificates, (b) able to bear the economic risks of such an investment and (c) an “accredited investor” within the meaning of Rule 501 (a) promulgated pursuant to the Act.
4. The Purchaser has been furnished with, and has had an opportunity to review (a) a copy of the Pooling and Servicing Agreement and (b) such other information concerning the Certificates, the Mortgage Loans and the Company as has been requested by the Purchaser from the Company or the Seller and is relevant to the Purchaser's decision to purchase the Certificates. The Purchaser has had any questions arising from such review answered by the Company or the Seller to the satisfaction of the Purchaser.
5. The Purchaser has not and will not nor has it authorized or will it authorize any person to (a) offer, pledge, sell, dispose of or otherwise transfer any Certificate, any interest in any Certificate or any other similar security to any person in any manner, (b) solicit any offer to buy or to accept a pledge, disposition of other transfer of any Certificate, any interest in any Certificate or any other similar security from any person in any manner, (c) otherwise approach or negotiate with respect to any Certificate, any interest in any Certificate or any other similar security with any person in any manner, (d) make any general solicitation by means of general advertising or in any other manner or (e) take any other action, that (as to any of (a) through (e) above) would constitute a distribution of any Certificate under the Act, that would render the disposition of any Certificate a violation of Section 5 of the Act or any state securities law, or that would require registration or qualification pursuant thereto. The Purchaser will not sell or otherwise transfer any of the Certificates, except in compliance with the provisions of the Pooling and Servicing Agreement.
Very truly yours, ________________________________ (Purchaser) | ||
| | |
By: ___________________________ | ||
Name: _________________________ | ||
Title: __________________________ |
EXHIBIT G-2
FORM OF TRANSFEROR REPRESENTATION LETTER
______________,200___
Impac Secured Assets Corp.
1401 Dove Street
Newport Beach, California 92660
Deutsche Bank National Trust Company
1761 East St. Andrew Place
Santa Ana, California 92705-4934
Attention: Impac Secured Assets Corp. Series 2006-3
Re: | Impac Secured Assets Corp. Mortgage Pass-Through Certificates, Series 2006-3, Class [_] |
Ladies and Gentlemen:
In connection with the sale by ___________ (the “Seller”) to ________ (the “Purchaser”) of $_________ Initial Certificate Principal Balance of Mortgage Pass-Through Certificates, Series 2006-3, Class _____ (the “Certificates”), issued pursuant to the Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”), dated as of September 1, 2006 among Impac Secured Assets Corp., as depositor (the “Company”), Impac Funding Corporation, as master servicer, Deutsche Bank National Trust Company, as trustee (the “Trustee”). The Seller hereby certifies, represents and warrants to, and covenants with, the Company and the Trustee that:
Neither the Seller nor anyone acting on its behalf has (a) offered, pledged, sold, disposed of or otherwise transferred any Certificate, any interest in any Certificate or any other similar security to any person in any manner, (b) has solicited any offer to buy or to accept a pledge, disposition or other transfer of any Certificate, any interest in any Certificate or any other similar security from any person in any manner, (c) has otherwise approached or negotiated with respect to any Certificate, any interest in any Certificate or any other similar security with any person in any manner, (d) has made any general solicitation by means of general advertising or in any other manner, or (e) has taken any other action, that (as to any of (a) through (e) above) would constitute a distribution of the Certificates under the Securities Act of 1933 (the “Act”), that would render the disposition of any Certificate a violation of Section 5 of the Act or any state securities law, or that would require registration or qualification pursuant thereto. The Seller will not act in any manner set forth in the foregoing sentence with respect to any Certificate. The Seller has not and will not sell or otherwise transfer any of the Certificates, except in compliance with the provisions of the Pooling and Servicing Agreement.
Very truly yours, ________________________________ (Seller) | ||
| | |
By: ___________________________ | ||
Name: _________________________ | ||
Title: __________________________ |
EXHIBIT G-3
FORM OF RULE 144A INVESTMENT REPRESENTATION
Description of Rule 144A Securities, including numbers:
Impac Secured Assets Corp.
Mortgage Pass-Through Certificates
Series 2006-3, Class ____, No. ____
The undersigned seller, as registered holder (the “Transferor”), intends to transfer the Rule 144A Securities described above to the undersigned buyer (the “Buyer”).
1. In connection with such transfer and in accordance with the agreements pursuant to which the Rule 144A Securities were issued, the Transferor hereby certifies the following facts: Neither the Transferor nor anyone acting on its behalf has offered, transferred, pledged, sold or otherwise disposed of the Rule 144A Securities, any interest in the Rule 144A Securities or any other similar security to, or solicited any offer to buy or accept a transfer, pledge or other disposition of the Rule 144A Securities, or otherwise approached or negotiated with respect to the Rule 144A Securities, any interest in the Rule 144A Securities 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, which would constitute a distribution of the Rule 144A Securities under the Securities Act of 1933, as amended (the “1933 Act”), or which would render the disposition of the Rule 144A Securities a violation of Section 5 of the 1933 Act or require registration pursuant thereto, and that the Transferor has not offered the Rule 144A Securities to any person other than the Buyer or another “qualified institutional buyer” as defined in Rule 144A under the 1933 Act.
2. The Buyer warrants and represents to, and covenants with, the Transferor, the Trustee and the Master Servicer pursuant to Section 5.02 of the Pooling and Servicing Agreement as follows:
a. The Buyer understands that the Rule 144A Securities have not been registered under the 1933 Act or the securities laws of any state.
b. The Buyer considers itself a substantial, sophisticated institutional investor having such knowledge and experience in financial and business matters that it is capable of evaluating the merits and risks of investment in the Rule 144A Securities.
c. The Buyer has been furnished with all information regarding the Rule 144A Securities that it has requested from the Transferor, the Trustee or the Master Servicer.
d. Neither the Buyer nor anyone acting on its behalf has offered, transferred, pledged, sold or otherwise disposed of the Rule 144A Securities, any interest in the Rule 144A Securities or any other similar security to, or solicited any offer to buy or accept a transfer, pledge or other disposition of the Rule 144A Securities, any interest in the Rule 144A Securities or any other similar security from, or otherwise approached or negotiated with respect to the Rule 144A Securities, any interest in the Rule 144A Securities 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 Rule 144A Securities under the 1933 Act or that would render the disposition of the Rule 144A Securities a violation of Section 5 of the 1933 Act or require registration pursuant thereto, nor will it act, nor has it authorized or will it authorize any person to act, in such manner with respect to the Rule 144A Securities.
e. The Buyer is a “qualified institutional buyer” as that term is defined in Rule 144 under the 1933 Act and has completed either of the forms of certification to that effect attached hereto as Annex 1 or Annex 2. The Buyer is aware that the sale to it is being made in reliance on Rule 144A. The Buyer is acquiring the Rule 144A Securities for its own account or the account of other qualified institutional buyers, understands that such Rule 144 Securities 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 1933 Act.
3. The Buyer warrants and represents to, and covenants with, the Transferor, the Servicer and the Company that either (1) the Buyer is not an employee benefit plan within the meaning of Section 3(3) of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”) (“Plan”), or a plan within the meaning of Section 4975(e)(1) of the Internal Revenue Code of 1986 (the “Code”) (also a “Plan”), and the Buyer is not directly or indirectly purchasing the Rule 144A Securities on behalf of, as investment manager of, as named fiduciary of, as trustee of, or with assets of a Plan, or (2) the Buyer has provided the Trustee with the opinion letter required by section 5.02(c) of the Pooling and Servicing Agreement.
4. This document 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 document.
IN WITNESS WHEREOF, each of the parties has executed this document as of the date set forth below.
________________________________ Print Name of Transferor | ________________________________ Print Name of Buyer |
By: ________________________________ Name: Title: | By: ________________________________ Name: Title: |
Taxpayer Identification: No. ________________________________ Date: | Taxpayer Identification: No. ________________________________ Date: |
ANNEX 1 TO EXHIBIT G-
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Buyers Other Than Registered Investment Companies]
The undersigned hereby certifies as follows in connection with the Rule 144A Investment Representation to which this Certification is attached:
1. As indicated below, the undersigned is the President, Chief Financial Officer, Senior Vice President or other executive officer of the Buyer.
2. 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 (“Rule 144A”) because (i) the Buyer owned and/or invested on a discretionary basis $____________________1 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. |
____ | 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 statement, 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. |
____ | Broker-dealer. The Buyer is a dealer registered pursuant to Section 15 of the Securities Exchange Act of 1934. |
____ | 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 Adviser. The Buyer is an investment adviser registered under the Investment Advisers Act of 1940. |
____ | SBIC. The 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. The Buyer is a business development company as defined in Section 202(a)(22) of the Investment Advisers Act of 1940. |
____ | Trust Fund. The Buyer is a trust fund whose trustee is a bank or trust company and whose participants are exclusively (a) plans 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, or (b) employee benefit plans within the meaning of Title I of the Employee Retirement Income Security Act of 1974, but is not a trust fund that includes as participants individual retirement accounts or H.R. 10 plans. |
3. 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) 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.
4. 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. 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.
5. 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.
___ | ___ | Will the Buyer be purchasing the Rule 144A | |
Yes | No | Securities only for the Buyer's own account? |
6. If the answer to the foregoing question is “no”, the Buyer agrees that, in connection with any purchase of securities sold to the Buyer for the account of a third party (including any separate account) in reliance on Rule 144A, the Buyer will only purchase for the account of a third party that at the time is a “qualified institutional buyer” within the meaning of Rule 144A. In addition, the Buyer agrees that the Buyer will not purchase securities for a third party unless the Buyer has obtained a current representation letter from such third party or taken other appropriate steps contemplated by Rule 144A to conclude that such third party independently meets the definition of “qualified institutional buyer” set forth in Rule 144A.
7. 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 Rule 144A Securities will constitute a reaffirmation of this certification as of the date of such purchase.
________________________________ Print Name of Buyer | |
By: ________________________________ Name: Title: Date: ________________________________ |
ANNEX 2 TO EXHIBIT G-3
QUALIFIED INSTITUTIONAL BUYER STATUS UNDER SEC RULE 144A
[For Buyers That Are Registered Investment Companies]
The undersigned hereby certifies as follows in connection with the Rule 144A Investment Representation to which this Certification is attached:
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 (“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, 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.
____ 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) bank deposit notes and certificates of deposit, (iii) loan participations, (iv) repurchase agreements, (v) securities owned but subject to a repurchase agreement and (vi) currency, interest rate and commodity swaps.
5. The Buyer is familiar with Rule 144A and understands that each of the parties to which this certification is made 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. The undersigned will notify each of the parties to which this certification is made of any changes in the information and conclusions herein. Until such notice, the Buyer's purchase of Rule 144A Securities will constitute a reaffirmation of this certification by the undersigned as of the date of such purchase.
________________________________ Print Name of Buyer | |
By: ________________________________ Name: Title: | |
IF AN ADVISER: | |
________________________________ Print Name of Buyer | |
Date: ________________________________ |
________________________
1 Buyer must own and/or invest on a discretionary basis at least $100,000,000 in securities unless Buyer is a dealer, and, in that case, Buyer must own and/or invest on a discretionary basis at least $10,000,000 in securities.
EXHIBIT G-4
FORM OF TRANSFEROR CERTIFICATE
______________, 200__
Impac Secured Assets Corp.
1401 Dove Street
Newport Beach, California 92660
Deutsche Bank National Trust Company
1761 East St. Andrew Place
Santa Ana, California 92705-4934
Attention: Impac Secured Assets Corp. Series 2006-3
Re: | Impac Secured Assets Corp. Mortgage Pass-Through Certificates Series 2006-3, Class R ________ |
Ladies and Gentlemen:
This letter is delivered to you in connection with the sale by ________________________ (the “Seller”) to _______________________________________ (the “Purchaser”) of a ____% Percentage Interest in the Mortgage Pass-Through Certificates, Series 2006-3, Class R “Certificates”), issued pursuant to Section 5.02 of the Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”), dated as of September 1, 2006, among Impac Secured Assets Corp., as depositor (the “Company”), Impac Funding Corporation, as master servicer and Deutsche Bank National Trust Company, as trustee (the “Trustee”). All terms used herein and not otherwise defined shall have the meaning set forth in the Pooling and Servicing Agreement. The Seller hereby certifies, represents and warrants to, and covenants with, the Company and the Trustee that:
1. No purpose of the Seller relating to the sale of the Certificates by the Seller to the Purchaser is or will be to impede the assessment or collection of any tax.
2. The Seller understands that the Purchaser has delivered to the Trustee and the Master Servicer a transfer affidavit and agreement in the form attached to the Pooling and Servicing Agreement as Exhibit G-5. The Seller does not know or believe that any representation contained therein is false.
3. The Seller has at the time of the transfer conducted a reasonable investigation of the financial condition of the Purchaser as contemplated by Treasury Regulations Section 1.860E-1(c)(4)(i) and, as a result of that investigation, the Seller has determined that the Purchaser has historically paid its debts as they have become due and has found no significant evidence to indicate that the Purchaser will not continue to pay its debts as they become due in the future. The Seller understands that the transfer of the Certificates may not be respected for United States income tax purposes (and the Seller may continue to be liable for United States income taxes associated therewith) unless the Seller has conducted such an investigation.
4. The Seller has no actual knowledge that the proposed Transferee is a Disqualified Organization, an agent of a Disqualified Organization or a Non-United States Person.
Very truly yours, ________________________________ (Seller) | ||
| | |
By: ________________________________ | ||
Name________________________________ Title: ________________________________ |
EXHIBIT G-5
FORM OF TRANSFER AFFIDAVIT AND AGREEMENT
STATE OF | ) |
:ss. | |
COUNTY OF | ) |
___________________, being first duly sworn, deposes, represents and warrants:
1. That he/she is [Title of Officer] of [Name of Owner], a [savings institution] [corporation] duly organized and existing under the laws of [the State of __________] [the United States], (the “Owner”), (record or beneficial owner of the Class R Certificates (the “Class R Certificates”) on behalf of which he/she makes this affidavit and agreement). This Class R Certificates were issued pursuant to the Pooling and Servicing Agreement (the “Pooling and Servicing Agreement”) dated as of September 1, 2006 among Impac Secured Assets Corp., as depositor, Impac Funding Corporation, as master servicer (the “Master Servicer”) and Deutsche Bank National Trust Company, as trustee (the “Trustee”).
2. That the Owner (i) is not and will not be a “disqualified organization” as of _____________ [date of transfer] within the meaning of Section 860E(e)(5) of the Internal Revenue Code of 1986, as amended (the “Code”), (ii) will endeavor to remain other than a disqualified organization for so long as it retains its ownership interest in the Class R Certificates, and (iii) is acquiring the Class R Certificates for its own account or for the account of another Owner from which it has received an affidavit and agreement in substantially the same form as this affidavit and agreement. (For this purpose, a “disqualified organization” means the United States, any state or political subdivision thereof, any agency or instrumentality of any of the foregoing (other than an instrumentality all of the activities of which are subject to tax and, except for Freddie Mac, a majority of whose board of directors is not selected by any such governmental entity) or any foreign government, international organization or any agency or instrumentality of such foreign government or organization, any rural electric or telephone cooperative, or any organization (other than certain farmers' cooperatives) that is generally exempt from federal income tax unless such organization is subject to the tax on unrelated business taxable income).
3. That the Owner is aware (i) of the tax that would be imposed on transfers of Class R Certificates to disqualified organizations under the Code, that applies to all transfers of Class R Certificates after March 31, 1988; (ii) that such tax would be on the transferor, or, if such transfer is through an agent (which person includes a broker, nominee or middleman) for a disqualified organization, on the agent; (iii) that the person otherwise liable for the tax shall be relieved of liability for the tax if the transferee furnishes to such person an affidavit that the transferee is not a disqualified organization and, at the time of transfer, such person does not have actual knowledge that the affidavit is false; and (iv) that the Class R Certificates may be “noneconomic residual interests” 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.
4. That the Owner is aware of the tax imposed on a “pass-through entity” holding Class R Certificates if at any time during the taxable year of the pass-through entity a disqualified organization is the record holder of an interest in such entity. (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.)
5. That the Owner is aware that the Trustee will not register the transfer of any Class R Certificates unless the transferee, or the transferee's agent, delivers to it an affidavit and agreement, among other things, in substantially the same form as this affidavit and agreement. The Owner expressly agrees that it will not consummate any such transfer if it knows or believes that any of the representations contained in such affidavit and agreement are false.
6. That the Owner has reviewed the restrictions set forth on the face of the Class R Certificates and the provisions of Section 5.02(e) of the Pooling and Servicing Agreement under which the Class R Certificates were issued (in particular, clause (iii)(A) and (iii)(B) of Section 5.02(e) which authorize the Trustee to deliver payments to a person other than the Owner and negotiate a mandatory sale by the Trustee in the event the Owner holds such Certificates in violation of Section 5.02(e)). The Owner expressly agrees to be bound by and to comply with such restrictions and provisions.
7. That the Owner consents to any additional restrictions or arrangements that shall be deemed necessary upon advice of counsel to constitute a reasonable arrangement to ensure that the Class R Certificates will only be owned, directly or indirectly, by an Owner that is not a disqualified organization.
8. The Owner's Taxpayer Identification Number is ____________________.
9. This affidavit and agreement relates only to the Class R Certificates held by the owner and not to any other holder of the Class R Certificates. The Owner understands that the liabilities described herein relate only to the Class R Certificates.
10. That no purpose of the Owner relating to the transfer of any of the Class R Certificates by the Owner is or will be to impede the assessment or collection of any tax.
11. That the Owner has no present knowledge or expectation that it will be unable to pay any United States taxes owed by it so long as any of the Certificates remain outstanding. In this regard, the Owner hereby represents to and for the benefit of the person from whom it acquired the Class R Certificate that the Owner intends to pay taxes associated with holding such Class R Certificate as they become due, fully understanding that it may incur tax liabilities in excess of any cash flows generated by the Class R Certificate.
12. That the Owner has no present knowledge or expectation that it will become insolvent or subject to a bankruptcy proceeding for so long as any of the Class R Certificates remain outstanding.
13. The Owner is a citizen or resident of the United States, a corporation, partnership or other entity created or organized in, or under the laws of, the United States or any political subdivision thereof, provided that with respect to any partnership or other entity treated as a partnership for United States federal income tax purposes, all persons that own an interest in such partnership either directly or through any entity that is not a corporation for United States federal income tax purposes are required by the applicable operative agreement to be United States Persons, or an estate or trust whose income from sources without the United States is includible in gross income for United States federal income tax purposes regardless of its connection with the conduct of a trade or business within the United States.
14. (a) The Certificates (i) are not being acquired by, and will not be transferred to, any employee benefit plan within the meaning of section 3(3) of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”) or other retirement arrangement, including individual retirement accounts and annuities, Keogh plans and bank collective investment funds and insurance company general or separate accounts in which such plans, accounts or arrangements are invested, that is subject to ERISA or Section 4975 of the Internal Revenue Code of 1986 (the “Code”) (any of the foregoing, a “Plan”), (ii) are not being acquired with “plan assets” of a Plan within the meaning of the Department of Labor (“DOL”) regulation, 29 C.F.R. § 2510.3-101 or otherwise under ERISA, and (iii) will not be transferred to any entity that is deemed to be investing in plan assets within the meaning of the DOL regulation, 29 C.F.R. § 2510.3-101 or otherwise under ERISA; or
(b) The Owner will provide the Trustee with an opinion of counsel, as specified in Section 5.02(c) of the Pooling and Servicing Agreement, acceptable to and in form and substance satisfactory to the Trustee to the effect that the purchase of Certificates is permissible under applicable law, will not constitute or result in any non-exempt prohibited transaction under ERISA or Section 4975 of the Code and will not subject the Trustee, the Company or the Master Servicer to any obligation or liability (including obligations or liabilities under ERISA or Section 4975 of the Code) in addition to those undertaken in the Pooling and Servicing Agreement.
In addition, the Owner hereby certifies, represents and warrants to, and covenants with, the Company, the Trustee and the Master Servicer that the Owner will not transfer such Certificates to any Plan or person unless either such Plan or person meets the requirements set forth in either (a) or (b) above.
Capitalized terms used but not defined herein shall have the meanings assigned in the Pooling and Servicing Agreement.
IN WITNESS WHEREOF, the Owner has caused this instrument to be executed on its behalf, by its [Title of Officer] and its corporate seal to be hereunto attached, attested by its [Assistant] Secretary, this ______ day of _____________, _____.
________________________________ [NAME OF OWNER] By: ________________________________ [Name of Officer] [Title of Officer] | |
[Corporate Seal] ATTEST: ________________________________ [Assistant] Secretary |
Personally appeared before me the above-named [Name of Officer], known or proved to me to be the same person who executed the foregoing instrument and to be the [Title of Officer] of the Owner, and acknowledged to me that such person executed the same as such person's free act and deed and the free act and deed of the Owner.
Subscribed and sworn before me this ____ day of ___________, 200__.
________________________________ NOTARY PUBLIC COUNTY OF_________________________ STATE OF___________________________ My Commission expires the ____ day of __________, 200__. |
EXHIBIT H
MORTGAGE LOAN SCHEDULE
AP_NUM PROPERTY_TYPE Unit_Num INTENT PURPOSE_DESC CASH_OUT INTEREST_RATE CURR_INT_RATE LOAN_AMOUNT CURR_BALANCE FIRST_PAY_DATE MATURITY_DATE CURR_ MONTHLY_PI ------ ------------- -------- ------ ------------ -------- ------------- ------------- ----------- ------------ -------------- ------------- ---------------- 1103116159 SFR 1 OO PURCHASE N 8.375 8.375 154792 154792 9/1/2006 8/1/2036 1080.32 1103156790 CONDO 1 OO REFI Y 7.25 7.25 385500 385500 8/1/2006 7/1/2036 2329.06 1103250441 SFR 1 OO REFI N 6.75 6.75 600000 600000 8/1/2006 7/1/2036 3375 1103272578 SFR 1 NOO REFI N 7.375 7.375 145000 145000 8/1/2006 7/1/2036 891.15 1103305776 SFR 1 NOO REFI Y 7.75 7.75 252000 252000 9/1/2006 8/1/2036 1627.5 1103306865 CONDO 1 NOO PURCHASE N 7.875 7.875 140242 140242 10/1/2006 9/1/2036 920.34 1103439451 SFR 1 OO PURCHASE N 8.5 8.5 80640 80640 10/1/2006 9/1/2036 620.05 1103463004 CONDO 1 OO PURCHASE N 7.5 7.5 198200 198200 7/1/2006 6/1/2036 1238.75 1103465021 PUD 1 OO PURCHASE N 8.99 8.99 58750 58321.95 11/1/2005 10/1/2020 472.29 1103487790 PUD 1 OO PURCHASE N 7.75 7.75 199200 199200 8/1/2006 7/1/2036 1286.5 1103488936 HI-RISE 1 NOO PURCHASE N 8.5 8.5 171591 171487.05 9/1/2006 8/1/2036 1319.39 1103492026 PUD 1 OO PURCHASE N 7.125 7.125 229450 229450 8/1/2006 7/1/2036 1362.36 1103496504 PUD 1 NOO PURCHASE N 8.125 8.125 465000 465000 6/1/2006 5/1/2036 3148.44 1103504681 PUD 1 2ND PURCHASE N 7.875 7.875 304450 304450 5/1/2006 4/1/2036 1997.95 1103506188 SFR 1 OO REFI Y 6.625 6.625 470000 468050.1 1/1/2006 12/1/2035 2793.61 1103566241 CONDO 1 2ND PURCHASE N 13.375 13.375 30570 30446.8 6/1/2006 5/1/2036 347.15 1103563139 SFR 1 NOO PURCHASE N 8.875 8.875 137160 136927.59 7/1/2006 6/1/2036 1091.31 1103563379 SFR 1 OO PURCHASE N 9.25 9.25 332000 331801.01 7/1/2006 6/1/2036 2624.99 1103563635 PUD 1 NOO REFI Y 7.5 7.5 160000 159950 7/1/2006 6/1/2036 1000 1103515201 SFR 1 OO PURCHASE N 11.875 11.875 110000 109999.01 1/1/2006 12/1/2020 1088.54 1103518237 SFR 1 OO REFI N 12.125 12.125 61500 61500 1/1/2006 12/1/2020 621.41 1103522856 PUD 1 OO PURCHASE N 11.75 11.75 75600 75507.21 6/1/2006 5/1/2021 763.11 1103531865 SFR 1 OO PURCHASE N 11.875 11.875 30900 30844.1 5/1/2006 4/1/2021 314.87 1103537237 SFR 1 OO PURCHASE N 10.4 10.4 73500 73157.03 11/1/2005 10/1/2020 666.84 1103537631 SFR 1 NOO PURCHASE N 13.25 13.25 159300 159300 2/1/2006 1/1/2036 1758.94 1103538344 PUD 1 OO PURCHASE N 12.75 12.75 39600 39600 3/1/2006 2/1/2021 420.75 1103539656 PUD 1 OO PURCHASE N 7 7 219400 219400 7/1/2006 6/1/2036 1279.83 1103540252 SFR 1 OO PURCHASE N 6.25 6.25 380300 380300 9/1/2006 8/1/2036 1980.73 1103540331 SFR 1 NOO REFI Y 7.75 7.75 212000 212000 3/1/2006 2/1/2036 1369.17 1103540564 SFR 1 OO PURCHASE N 11.625 11.625 270000 270000 3/1/2006 2/1/2036 2615.63 1103541044 CONDO 1 OO REFI Y 7.75 7.75 116000 115415.67 3/1/2006 2/1/2036 831.04 1103541494 TOWNHOUSE 1 NOO PURCHASE N 8.125 8.125 127000 126406.46 2/10/2006 1/10/2036 942.98 1103542763 SFR 1 NOO PURCHASE N 9.625 9.625 146400 146400 3/1/2006 2/1/2036 1174.25 1103544962 SFR 1 NOO PURCHASE N 13.25 13.25 50000 50000 5/1/2006 4/1/2021 552.08 1103545761 SFR 1 OO PURCHASE N 7.5 7.5 328000 328000 7/1/2006 6/1/2036 2050 1103563836 SFR 1 OO REFI Y 6.75 6.75 168000 167563.64 7/1/2006 6/1/2036 1089.64 1103564118 CONDO 1 OO PURCHASE N 8.125 8.125 144792 144792 7/1/2006 6/1/2036 980.36 1103564364 SFR 1 OO REFI Y 5.75 5.75 535000 532749.62 6/1/2006 5/1/2036 3122.11 1103547682 CONDO 1 2ND PURCHASE N 7.875 7.875 149900 149588.48 7/1/2006 6/1/2036 1086.88 1103548233 HI-RISE 1 NOO REFI Y 7.375 7.375 168000 166389.23 7/1/2006 6/1/2021 1545.47 1103548369 CONDO 1 2ND PURCHASE N 9 9 472500 472500 7/1/2006 6/1/2036 3543.75 1103548914 PUD 1 OO PURCHASE N 6.625 6.625 361500 361500 8/1/2006 7/1/2036 1995.78 1103550396 PUD 1 2ND PURCHASE N 11.99 11.99 44489 44489 6/1/2006 5/1/2036 444.52 1103550673 SFR 1 OO PURCHASE N 7.875 7.875 381400 381400 6/1/2006 5/1/2036 2502.94 1103550853 CONDO 1 OO PURCHASE N 7.875 7.875 177600 177600 5/1/2006 4/1/2036 1165.5 1103549870 PUD 1 NOO PURCHASE N 7.875 7.875 100880 100880 6/1/2006 5/1/2036 662.03 1103550202 SFR 1 OO REFI Y 6.875 6.875 191250 190228.17 4/1/2006 3/1/2036 1256.38 1103550393 PUD 1 2ND PURCHASE N 7 7 355909 355909 6/1/2006 5/1/2036 2076.14 1103550524 SFR 1 NOO PURCHASE N 9.4 9.4 76500 76304.82 5/1/2006 4/1/2036 637.68 1103550882 PUD 1 OO PURCHASE N 7.875 7.875 304750 304749.84 8/1/2006 7/1/2036 1999.92 1103551255 SFR 1 2ND PURCHASE N 7.25 7.25 185500 184915.89 6/1/2006 5/1/2036 1265.44 1103551835 2-4FAMILY 3 NOO PURCHASE N 8.75 8.75 236000 235311.14 5/1/2006 4/1/2036 1856.61 1103552096 PUD 1 OO PURCHASE N 11.875 11.875 33000 32888.44 4/1/2006 3/1/2021 336.27 1103552128 SFR 1 OO PURCHASE N 7.5 7.5 263800 263800 9/1/2006 8/1/2036 1648.75 1103564388 CONDO 1 OO PURCHASE N 7.875 7.875 134800 134800 7/1/2006 6/1/2036 884.63 1103564817 SFR 1 NOO PURCHASE N 7.5 7.5 146293 146293 8/1/2006 7/1/2036 914.33 1103564854 SFR 1 OO PURCHASE N 7.5 7.5 157600 157127.75 6/1/2006 5/1/2036 1101.96 1103552509 CONDO 1 OO PURCHASE N 6.75 6.75 252850 252850 8/1/2006 7/1/2036 1422.28 1103552686 SFR 1 OO REFI Y 9.75 9.75 225000 225000 4/1/2006 3/1/2036 1828.13 1103552837 SFR 1 OO REFI Y 7.235 7.235 160000 159366.49 5/1/2006 4/1/2036 1089.85 1103552926 PUD 1 2ND PURCHASE N 7.5 7.5 163500 163500 5/1/2006 4/1/2036 1021.88 1103553279 SFR 1 OO PURCHASE N 8.125 8.125 304400 304400 10/1/2006 9/1/2036 2061.04 1103553290 PUD 1 2ND PURCHASE N 6.625 6.625 504000 503701.34 4/1/2006 3/1/2036 2782.5 1103557448 SFR 1 2ND REFI N 5.375 5.375 664000 654305.81 6/1/2006 5/1/2021 5381.49 1103557675 SFR 1 OO REFI N 5.875 5.875 650000 645974.77 4/1/2006 3/1/2036 3845 1103557966 SFR 1 OO PURCHASE N 7.625 7.625 136000 136000 5/1/2006 4/1/2036 864.17 1103553408 SFR 1 OO PURCHASE N 6.5 6.5 472500 472418.76 5/1/2006 4/1/2036 2559.38 1103554176 SFR 1 NOO PURCHASE N 7.875 7.875 192000 192000 5/1/2006 4/1/2036 1260 1103554256 SFR 1 NOO PURCHASE N 7.5 7.5 164500 164500 5/1/2006 4/1/2036 1028.13 1103554556 2-4FAMILY 2 NOO PURCHASE N 12.25 12.25 21600 21546.93 5/1/2006 4/1/2021 226.35 1103554636 SFR 1 NOO PURCHASE N 8 8 136400 135841.6 4/1/2006 3/1/2036 1000.86 1103554667 CONDO 1 OO PURCHASE N 7.875 7.875 158992 158992 9/1/2006 8/1/2036 1043.39 1103554696 PUD 1 OO PURCHASE N 7 7 168250 168250 10/1/2006 9/1/2036 981.46 1103565011 SFR 1 OO PURCHASE N 7.75 7.75 306400 306400 8/1/2006 7/1/2036 1978.83 1103565152 SFR 1 OO PURCHASE N 12.6 12.6 75600 75600 6/1/2006 5/1/2021 793.8 1103565333 CONDO 1 OO PURCHASE N 8.25 8.25 134800 134800 7/1/2006 6/1/2036 926.75 1103554940 SFR 1 OO REFI Y 6.85 6.85 165000 162332.79 5/1/2006 4/1/2021 1469.26 1103555389 2-4FAMILY 4 NOO REFI Y 7.99 7.99 455000 455000 8/1/2006 7/1/2036 3029.54 1103555540 2-4FAMILY 2 OO PURCHASE N 11.875 11.875 142000 142000 4/1/2006 3/1/2021 1405.21 1103555645 2-4FAMILY 2 NOO REFI Y 8.375 8.375 280000 279993.33 5/1/2006 4/1/2036 1954.17 1103555776 CONDO 1 2ND PURCHASE N 7.875 7.875 151900 151477.72 6/1/2006 5/1/2036 1101.38 1103555851 SFR 1 OO PURCHASE N 6.75 6.75 520000 520000 5/1/2006 4/1/2036 2925 1103555980 SFR 1 NOO PURCHASE N 7.375 7.375 175000 175000 5/1/2006 4/1/2036 1075.52 1103556069 CONDO 1 NOO PURCHASE N 7.875 7.875 146993 146993 9/1/2006 8/1/2036 964.64 1103556185 SFR 1 NOO PURCHASE N 8.625 8.625 336000 335915.36 5/1/2006 4/1/2036 2415 1103556186 SFR 1 NOO PURCHASE N 14.625 14.625 63000 62886.4 5/1/2006 4/1/2021 777.75 1103556689 SFR 1 OO REFI N 7.25 7.25 588000 587999.34 6/1/2006 5/1/2036 3552.5 1103556877 SFR 1 OO REFI N 10.625 10.625 70000 69638.01 6/1/2006 5/1/2036 646.87 1103556428 SFR 1 NOO REFI N 7.875 7.875 127950 127773.3 8/1/2006 7/1/2036 927.73 1103556500 SFR 1 NOO PURCHASE N 7.375 7.375 102550 102550 8/1/2006 7/1/2036 630.26 1103556567 PUD 1 2ND PURCHASE N 7.875 7.875 236100 236100 7/1/2006 6/1/2036 1549.41 1103556621 PUD 1 OO REFI Y 6.875 6.875 89500 89041.27 4/1/2006 3/1/2036 587.95 1103587516 SFR 1 NOO PURCHASE N 7.5 7.5 118300 118300 8/1/2006 7/1/2036 739.37 1103598119 SFR 1 NOO REFI Y 12.875 12.875 23400 23388.92 8/1/2006 7/1/2021 256.57 1103556988 SFR 1 NOO PURCHASE N 7.875 7.875 144000 144000 5/1/2006 4/1/2036 945 1103557069 PUD 1 OO PURCHASE N 7.99 7.99 295200 295200 6/1/2006 5/1/2036 1965.54 1103557291 SFR 1 OO REFI Y 8.5 8.5 178400 178400 5/1/2006 4/1/2036 1263.67 1103557356 SFR 1 NOO REFI Y 9.875 9.875 156000 155667.84 5/1/2006 4/1/2036 1283.75 1103557417 SFR 1 NOO PURCHASE N 7.875 7.875 282750 282750 5/1/2006 4/1/2036 1855.55 1103557967 SFR 1 OO PURCHASE N 12.05 12.05 34000 33950.9 5/1/2006 4/1/2021 351.04 1103558167 PUD 1 OO REFI N 5.5 5.5 960000 955767.94 6/1/2006 5/1/2036 5450.77 1103558334 SFR 1 OO REFI Y 11.7 11.7 27000 27000 7/1/2006 6/1/2021 263.25 1103558537 SFR 1 OO PURCHASE N 9 9 184800 184287.67 5/1/2006 4/1/2036 1486.94 1103558576 CONDO 1 NOO PURCHASE N 9.25 9.25 211996 211995.8 5/1/2006 4/1/2036 1634.14 1103558664 PUD 1 NOO REFI Y 7.875 7.875 320800 319681.51 5/1/2006 4/1/2036 2326.03 1103558704 SFR 1 OO REFI Y 7.29 7.29 264000 262965.91 4/22/2006 3/22/2036 1808.12 1103566511 SFR 1 OO PURCHASE N 7.375 7.375 144000 143999.41 7/1/2006 6/1/2036 885 1103566617 2-4FAMILY 2 OO REFI Y 8.75 8.75 375000 374348.01 7/1/2006 6/1/2036 2950.13 1103566960 CONDO 1 OO REFI Y 7.75 7.75 332000 332000 8/1/2006 7/1/2036 2144.17 1103558811 CONDO 1 2ND PURCHASE N 7.25 7.25 156792 156792 5/1/2006 4/1/2036 947.29 1103558987 PUD 1 OO REFI Y 7.5 7.5 260000 260000 6/1/2006 5/1/2036 1625 1103559146 SFR 1 NOO PURCHASE N 9.625 9.625 128000 127688.43 5/1/2006 4/1/2036 1087.99 1103559304 SFR 1 NOO REFI Y 7.625 7.625 205000 204248.64 5/1/2006 4/1/2036 1450.98 1103559347 CONDO 1 OO PURCHASE N 7.625 7.625 136000 136000 7/1/2006 6/1/2036 864.17 1103559628 CONDO 1 OO PURCHASE N 6.625 6.625 183750 183750 1/1/2006 12/1/2035 1014.45 1103559885 SFR 1 OO PURCHASE N 7.5 7.5 577500 577500 7/1/2006 6/1/2036 3609.37 1103559933 CONDO 1 NOO PURCHASE N 9.25 9.25 101125 100966.51 7/1/2006 6/1/2036 831.93 1103560021 PUD 1 OO PURCHASE N 7.5 7.5 145600 145052.9 5/1/2006 4/1/2036 1018.06 1103560471 CONDO 1 2ND PURCHASE N 7.375 7.375 93100 93100 7/1/2006 6/1/2036 572.18 1103560652 SFR 1 NOO PURCHASE N 7.625 7.625 428000 428000 5/1/2006 4/1/2036 2719.58 1103560747 CONDO 1 2ND PURCHASE N 7.25 7.25 143900 143331.92 5/1/2006 4/1/2036 981.65 1103560797 SFR 1 NOO REFI Y 7.625 7.625 236250 235384.07 5/1/2006 4/1/2036 1672.17 1103560835 SFR 1 OO REFI Y 7.72 7.72 315000 313867.17 5/1/2006 4/1/2036 2250.17 1103561033 CONDO 1 NOO PURCHASE N 7.375 7.375 208000 208000 6/1/2006 5/1/2036 1278.33 1103561160 SFR 1 OO REFI N 5.5 5.5 629000 625525.93 5/1/2006 4/1/2036 3571.39 1103561658 SFR 1 OO PURCHASE N 6.75 6.75 160000 159584.4 7/1/2006 6/1/2036 1037.76 1103561669 PUD 1 OO PURCHASE N 8.5 8.5 223250 222564.12 5/1/2006 4/1/2036 1716.6 1103561946 CONDO 1 NOO PURCHASE N 7.875 7.875 117520 117357.72 5/1/2006 4/1/2036 771.23 1103561302 CONDO 1 OO PURCHASE N 8.75 8.75 222100 222100 10/1/2006 9/1/2036 1619.48 1103561674 2-4FAMILY 2 NOO PURCHASE N 7.625 7.625 185500 184957.81 6/1/2006 5/1/2036 1312.96 1103562017 PUD 1 OO PURCHASE N 7.75 7.75 231420 231420 6/1/2006 5/1/2036 1494.59 1103562018 SFR 1 OO PURCHASE N 5.5 5.5 584350 581122.51 5/1/2006 4/1/2036 3317.88 1103562134 SFR 1 NOO PURCHASE N 8.65 8.65 95130 94904.09 6/1/2006 5/1/2036 741.6 1103562377 HI-RISE 1 OO PURCHASE N 6.5 6.5 359100 359100 6/1/2006 5/1/2036 1945.13 1103562457 PUD 1 OO REFI Y 7 7 945000 945000 7/1/2006 6/1/2036 5512.5 1103562526 PUD 1 OO PURCHASE N 8.5 8.5 270000 270000 8/1/2006 7/1/2036 1912.5 1103562619 SFR 1 NOO PURCHASE N 8.75 8.75 148960 148525.19 5/1/2006 4/1/2036 1171.87 1103562625 SFR 1 NOO PURCHASE N 7.875 7.875 100710 100358.88 5/1/2006 4/1/2036 730.22 1103562690 SFR 1 NOO PURCHASE N 8.875 8.875 156000 156000 6/1/2006 5/1/2036 1153.75 1103562698 SFR 1 OO PURCHASE N 12.2 12.2 63000 62929.98 6/1/2006 5/1/2021 657.74 1103562744 SFR 1 OO PURCHASE N 7.875 7.875 250850 250850 8/1/2006 7/1/2036 1646.2 1103562878 SFR 1 OO PURCHASE N 7.5 7.5 229600 228737.29 5/1/2006 4/1/2036 1605.4 1103562919 SFR 1 NOO PURCHASE N 8.99 8.99 96000 95787.43 6/1/2006 5/1/2036 771.75 1103562944 SFR 1 OO PURCHASE N 7.25 7.25 300000 300000 5/1/2006 4/1/2036 1812.5 1103565501 PUD 1 NOO PURCHASE N 8 8 358400 358400 7/1/2006 6/1/2036 2389.33 1103565709 SFR 1 NOO PURCHASE N 9 9 412000 412000 7/1/2006 6/1/2036 3090 1103566235 CONDO 1 2ND PURCHASE N 8 8 163040 162598.01 6/1/2006 5/1/2036 1196.33 1103563010 PUD 1 OO PURCHASE N 7.625 7.625 346850 346346.33 8/1/2006 7/1/2036 2454.98 1103563088 CONDO 1 OO PURCHASE N 6.99 6.99 408000 408000 8/1/2006 7/1/2036 2376.6 1103563208 SFR 1 NOO REFI Y 9.5 9.5 260000 260000 5/1/2006 4/1/2036 2058.33 1103563766 SFR 1 OO REFI Y 7.07 7.07 260000 259151.76 6/1/2006 5/1/2036 1742.03 1103564449 SFR 1 NOO REFI Y 7.25 7.25 100000 98437.78 5/1/2006 4/1/2021 912.86 1103564669 PUD 1 OO REFI Y 7.375 7.375 235000 235000 6/1/2006 5/1/2036 1444.27 1103565064 2-4FAMILY 2 OO REFI N 7.25 7.25 269500 269500 7/1/2006 6/1/2036 1628.23 1103565197 PUD 1 OO 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224500 224283.72 7/1/2006 6/1/2036 1498.15 1103567038 SFR 1 OO PURCHASE N 7.875 7.875 100500 100220.63 6/1/2006 5/1/2036 728.69 1103567040 PUD 1 OO PURCHASE N 7.125 7.125 537800 536937.3 8/1/2006 7/1/2036 3623.26 1103567118 SFR 1 OO PURCHASE N 7.25 7.25 297200 296734.9 8/1/2006 7/1/2036 2027.43 1103575828 SFR 1 NOO PURCHASE N 8.75 8.75 420240 420240 7/1/2006 6/1/2036 3064.25 1103575860 SFR 1 NOO REFI Y 6.875 6.875 130800 130800 7/1/2006 6/1/2036 749.37 1103575903 SFR 1 OO PURCHASE N 7.5 7.5 376000 376000 7/1/2006 6/1/2036 2350 1103567129 CONDO 1 2ND PURCHASE N 8.125 8.125 151992 151992 7/1/2006 6/1/2036 1029.11 1103567143 2-4FAMILY 3 OO PURCHASE N 7.5 7.5 490000 489990 6/1/2006 5/1/2036 3062.5 1103567281 SFR 1 OO PURCHASE N 8.5 8.5 264000 264000 8/1/2006 7/1/2036 1870 1103567282 SFR 1 OO PURCHASE N 13.75 13.75 66000 66000 8/1/2006 7/1/2021 756.25 1103567377 2-4FAMILY 2 OO PURCHASE N 8 8 303450 303450 7/1/2006 6/1/2036 2023 1103567408 2-4FAMILY 4 NOO REFI Y 7.375 7.375 97500 97500 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REFI Y 9 9 373600 373600 6/1/2006 5/1/2036 2802 1103569316 SFR 1 OO REFI Y 7 7 115000 113905.19 7/1/2006 6/1/2021 1033.65 1103569323 PUD 1 2ND PURCHASE N 7.375 7.375 220650 220650 8/1/2006 7/1/2036 1356.08 1103569325 PUD 1 OO REFI N 7.9 7.9 256000 255450.54 7/1/2006 6/1/2036 1860.62 1103569363 SFR 1 NOO REFI Y 8 8 136800 136800 8/1/2006 7/1/2036 912 1103569449 PUD 1 OO PURCHASE N 6.75 6.75 467450 467450 7/1/2006 6/1/2036 2629.41 1103569593 SFR 1 OO REFI N 5.25 5.25 481000 473904.51 7/1/2006 6/1/2021 3866.65 1103570956 PUD 1 OO PURCHASE N 9 9 276000 276000 7/1/2006 6/1/2036 2070 1103571188 SFR 1 NOO PURCHASE N 8 8 94220 93964.36 6/1/2006 5/1/2036 691.35 1103571200 CONDO 1 NOO PURCHASE N 8.125 8.125 367500 367500 6/1/2006 5/1/2036 2488.28 1103569635 SFR 1 OO PURCHASE N 7.875 7.875 520000 520000 7/1/2006 6/1/2036 3412.5 1103569637 SFR 1 OO REFI Y 6.75 6.75 540000 540000 6/1/2006 5/1/2036 3037.5 1103569639 PUD 1 NOO PURCHASE N 7.375 7.375 162000 162000 6/1/2006 5/1/2036 995.63 1103569734 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PURCHASE N 8 8 155750 155750 8/1/2006 7/1/2036 1038.33 1103570541 SFR 1 NOO PURCHASE N 12.725 12.725 55625 55597.77 8/1/2006 7/1/2021 603.4 1103570645 PUD 1 OO PURCHASE N 8.5 8.5 499500 499146.18 7/1/2006 6/1/2036 3538.13 1103570897 SFR 1 OO REFI Y 6.99 6.99 436000 434188.57 6/1/2006 5/1/2036 2897.79 1103570559 SFR 1 OO PURCHASE N 7.25 7.25 208000 207913.07 7/1/2006 6/1/2036 1256.67 1103570568 SFR 1 OO REFI Y 7.125 7.125 625000 623491.67 7/1/2006 6/1/2036 4210.74 1103570577 HI-RISE 1 NOO REFI N 7 7 528600 528600 6/1/2006 5/1/2036 3083.5 1103570728 2-4FAMILY 4 OO PURCHASE N 6.875 6.875 431800 430705.46 7/1/2006 6/1/2036 2836.62 1103571818 SFR 1 OO PURCHASE N 7.75 7.75 118800 118800 6/1/2006 5/1/2036 767.25 1103571849 SFR 1 NOO REFI Y 9 9 93750 93689.47 7/1/2006 6/1/2036 723.15 1103572047 2-4FAMILY 2 NOO PURCHASE N 7.375 7.375 144000 143669.24 6/26/2006 5/26/2036 994.58 1103570734 CONDO 1 NOO PURCHASE N 8.625 8.625 112000 112000 7/1/2006 6/1/2036 805 1103570736 SFR 1 OO REFI Y 5.875 5.875 257250 257250 6/1/2006 5/1/2036 1259.45 1103570808 SFR 1 2ND PURCHASE N 7.5 7.5 500000 500000 6/1/2006 5/1/2036 3125 1103570831 PUD 1 OO PURCHASE N 6.875 6.875 257600 257600 5/1/2006 4/1/2036 1475.83 1103570852 SFR 1 OO REFI N 5.875 5.875 847000 846881.54 8/1/2006 7/1/2036 4146.77 1103570859 SFR 1 OO REFI Y 6.875 6.875 330000 330000 7/1/2006 6/1/2036 1890.63 1103570895 SFR 1 OO PURCHASE N 8.625 8.625 750000 750000 7/1/2006 6/1/2036 5390.63 1103570951 SFR 1 OO PURCHASE N 8.375 8.375 130400 130400 6/1/2006 5/1/2036 910.08 1103571020 SFR 1 NOO PURCHASE N 7.125 7.125 123750 123750 7/1/2006 6/1/2036 734.77 1103571241 SFR 1 NOO PURCHASE N 10.75 10.75 315000 315000 7/1/2006 6/1/2036 2821.87 1103571380 HI-RISE 1 NOO PURCHASE N 7.25 7.25 315000 315000 6/1/2006 5/1/2036 1903.13 1103571441 SFR 1 NOO PURCHASE N 7.5 7.5 133000 133000 6/1/2006 5/1/2036 831.25 1103575567 SFR 1 NOO REFI Y 7.875 7.875 192500 192500 7/1/2006 6/1/2036 1263.28 1103575693 SFR 1 OO REFI Y 8.375 8.375 160000 159699.55 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266.81 1103572071 SFR 1 OO REFI Y 7.5 7.5 350000 349215.87 7/1/2006 6/1/2036 2447.25 1103572137 SFR 1 OO PURCHASE N 8.375 8.375 196000 195631.98 7/1/2006 6/1/2036 1489.74 1103572198 SFR 1 NOO PURCHASE N 7.125 7.125 344500 344045.47 7/1/2006 6/1/2036 2045.47 1103572301 SFR 1 OO PURCHASE N 7.625 7.625 277500 277500 6/1/2006 5/1/2036 1763.28 1103572306 SFR 1 OO PURCHASE N 8.25 8.25 170400 169960.85 6/1/2006 5/1/2036 1280.16 1103572395 SFR 1 OO REFI Y 7.25 7.25 452000 450935.77 7/1/2006 6/1/2036 3083.44 1103572412 SFR 1 NOO PURCHASE N 8.375 8.375 131250 131249.98 6/1/2006 5/1/2036 916.02 1103572479 CONDO 1 2ND PURCHASE N 8.75 8.75 511900 511900 6/1/2006 5/1/2036 3732.6 1103572543 SFR 1 NOO REFI Y 6.75 6.75 418500 418500 7/1/2006 6/1/2036 2354.06 1103578591 SFR 1 NOO REFI Y 8.125 8.125 236000 236000 7/1/2006 6/1/2036 1597.92 1103578610 SFR 1 OO PURCHASE N 8.25 8.25 150200 150200 7/1/2006 6/1/2036 1032.63 1103578614 HI-RISE 1 NOO PURCHASE N 8.1 8.1 141675 141488.09 8/1/2006 7/1/2036 1049.45 1103572557 CONDO 1 NOO PURCHASE N 7.875 7.875 123005 123005 6/1/2006 5/1/2036 807.22 1103572615 2-4FAMILY 2 NOO REFI Y 8 8 233600 233126.65 7/1/2006 6/1/2036 1714.07 1103572650 HI-RISE 1 2ND PURCHASE N 7.5 7.5 123000 122724.44 7/1/2006 6/1/2036 860.03 1103572651 SFR 1 OO PURCHASE N 8.375 8.375 216552 216550.1 7/1/2006 6/1/2036 1511.35 1103572660 SFR 1 OO REFI Y 6.375 6.375 382500 381431.54 7/1/2006 6/1/2036 2386.3 1103572750 SFR 1 NOO PURCHASE N 7.5 7.5 189000 189000 7/1/2006 6/1/2036 1181.25 1103572776 SFR 1 NOO PURCHASE N 7.125 7.125 287700 287700 7/1/2006 6/1/2036 1708.22 1103572794 SFR 1 OO PURCHASE N 7.125 7.125 157500 157119.9 7/1/2006 6/1/2036 1061.11 1103572888 SFR 1 OO REFI N 7.5 7.5 370400 370400 7/1/2006 6/1/2036 2315 1103572915 HI-RISE 1 2ND PURCHASE N 7.625 7.625 208530 208530 6/1/2006 5/1/2036 1325.03 1103572968 SFR 1 OO PURCHASE N 9.5 9.5 270750 270750 7/1/2006 6/1/2036 2143.44 1103572969 SFR 1 NOO PURCHASE N 8 8 152000 152000 6/1/2006 5/1/2036 1013.33 1103572975 SFR 1 OO REFI Y 7.266 7.266 544000 544000 7/1/2006 6/1/2036 3293.92 1103573055 SFR 1 OO PURCHASE N 7 7 1723750 1723750 7/1/2006 6/1/2036 10055.21 1103573067 SFR 1 NOO REFI Y 7.75 7.75 168000 168000 7/1/2006 6/1/2036 1085 1103573089 PUD 1 OO PURCHASE N 7.5 7.5 169000 168748.38 8/1/2006 7/1/2036 1181.67 1103573304 PUD 1 OO PURCHASE N 8.75 8.75 251250 251250 7/1/2006 6/1/2036 1832.03 1103573358 2-4FAMILY 4 NOO PURCHASE N 7.75 7.75 100000 99786.87 7/1/2006 6/1/2036 716.42 1103573414 SFR 1 OO REFI Y 7.75 7.75 415000 415000 10/1/2006 9/1/2036 2680.21 1103573524 SFR 1 OO REFI N 6.99 6.99 316000 315849.13 6/1/2006 5/1/2036 1840.7 1103573313 SFR 1 NOO REFI Y 5.875 5.875 326250 326250 7/1/2006 6/1/2036 1597.27 1103573378 TOWNHOUSE 1 NOO REFI N 11.5 11.5 232000 232000 8/1/2006 7/1/2036 2223.33 1103573379 TOWNHOUSE 1 NOO REFI Y 14.125 14.125 43275 43259.59 8/1/2006 7/1/2021 517.04 1103573498 SFR 1 NOO REFI N 7.75 7.75 188000 188000 7/1/2006 6/1/2036 1214.17 1103573550 SFR 1 OO PURCHASE N 8.165 8.165 868594 868594 7/1/2006 6/1/2036 5910.06 1103573576 SFR 1 OO REFI Y 7.728 7.728 174300 173800.94 6/1/2006 5/1/2036 1246.06 1103573578 PUD 1 OO PURCHASE N 8.125 8.125 630000 630000 7/1/2006 6/1/2036 4265.63 1103573579 2-4FAMILY 2 NOO REFI Y 7.586 7.586 200000 199409.31 6/1/2006 5/1/2036 1410.23 1103573580 PUD 1 OO PURCHASE N 12.4 12.4 270000 269785.79 7/1/2006 6/1/2021 2860.67 1103573595 SFR 1 OO REFI Y 7.285 7.285 276500 275635.36 6/1/2006 5/1/2036 1892.79 1103573598 SFR 1 OO REFI Y 8.325 8.325 100000 99746.17 6/1/2006 5/1/2036 756.55 1103573653 2-4FAMILY 2 OO REFI Y 7 7 200000 199438.41 7/1/2006 6/1/2036 1330.6 1103573700 CONDO 1 OO REFI Y 7.265 7.265 160000 158008.96 6/1/2006 5/1/2021 1461.93 1103573715 CONDO 1 NOO PURCHASE N 9.875 9.875 126450 126276.23 7/1/2006 6/1/2036 1098.03 1103573728 2-4FAMILY 3 NOO REFI N 8.875 8.875 192500 192500 8/1/2006 7/1/2036 1423.7 1103573729 2-4FAMILY 3 NOO REFI Y 12.875 12.875 35000 34983.43 8/1/2006 7/1/2021 383.76 1103576868 SFR 1 NOO PURCHASE N 8.5 8.5 400000 399267.86 7/1/2006 6/1/2036 3075.66 1103578585 SFR 1 OO REFI Y 8 8 278600 278600 7/1/2006 6/1/2036 1857.33 1103578586 SFR 1 OO REFI Y 12.225 12.225 119400 119301.5 7/1/2006 6/1/2021 1248.89 1103573740 HI-RISE 1 NOO PURCHASE N 7.75 7.75 472000 472000 7/1/2006 6/1/2036 3048.33 1103573746 PUD 1 NOO REFI Y 9.49 9.49 168000 168000 7/1/2006 6/1/2036 1328.6 1103573783 2-4FAMILY 2 NOO PURCHASE N 7.875 7.875 584000 584000 6/1/2006 5/1/2036 3832.5 1103573787 PUD 1 OO REFI Y 8 8 81200 81200 7/1/2006 6/1/2036 541.33 1103573804 PUD 1 OO PURCHASE N 9.625 9.625 429300 429300 6/1/2006 5/1/2036 3443.34 1103573831 HI-RISE 1 NOO PURCHASE N 8 8 323000 323000 7/1/2006 6/1/2036 2153.33 1103573850 SFR 1 NOO PURCHASE N 9.25 9.25 182400 182114.13 7/1/2006 6/1/2036 1500.56 1103573865 SFR 1 NOO REFI Y 5.875 5.875 309000 308050.25 7/1/2006 6/1/2036 1827.85 1103573962 SFR 1 NOO REFI Y 7.5 7.5 169600 169600 7/1/2006 6/1/2036 1060 1103574024 SFR 1 NOO PURCHASE N 13.75 13.75 36625 36603.72 8/1/2006 7/1/2021 426.72 1103574036 PUD 1 NOO PURCHASE N 8 8 121100 120854.6 7/1/2006 6/1/2036 888.59 1103574101 CONDO 1 NOO PURCHASE N 7.75 7.75 157500 157388.12 7/1/2006 6/1/2036 1017.19 1103574238 HI-RISE 1 NOO PURCHASE N 7.375 7.375 240000 240000 7/1/2006 6/1/2036 1475 1103574272 PUD 1 2ND PURCHASE N 8.4 8.4 210392 210130.87 8/1/2006 7/1/2036 1602.85 1103574275 PUD 1 OO PURCHASE N 8.25 8.25 167900 167900 7/1/2006 6/1/2036 1154.31 1103574276 PUD 1 OO PURCHASE N 12.625 12.625 41950 41918.35 7/1/2006 6/1/2021 451.79 1103574302 SFR 1 OO PURCHASE N 6.875 6.875 1162500 1161255.43 8/1/2006 7/1/2036 6660.16 1103574314 PUD 1 NOO PURCHASE N 9.25 9.25 408000 408000 7/1/2006 6/1/2036 3145 1103574337 SFR 1 NOO PURCHASE N 8.375 8.375 184000 184000 7/1/2006 6/1/2036 1284.17 1103574405 SFR 1 NOO PURCHASE N 7.25 7.25 120000 120000 7/1/2006 6/1/2036 725 1103574304 SFR 1 OO REFI Y 6.375 6.375 380000 379986.64 7/1/2006 6/1/2036 2018.75 1103574333 SFR 1 NOO PURCHASE N 7.375 7.375 110600 110600 7/1/2006 6/1/2036 679.73 1103574386 SFR 1 OO PURCHASE N 6.75 6.75 616000 616000 7/1/2006 6/1/2036 3465 1103574452 2-4FAMILY 3 NOO REFI Y 10.375 10.375 192000 191682.35 6/1/2006 5/1/2036 1738.39 1103574476 SFR 1 NOO PURCHASE N 9.05 9.05 520000 520000 8/1/2006 7/1/2036 3921.67 1103574602 SFR 1 OO PURCHASE N 7.625 7.625 448000 448000 8/1/2006 7/1/2036 2846.67 1103574630 SFR 1 OO PURCHASE N 6.875 6.875 218400 218400 6/1/2006 5/1/2036 1251.25 1103574632 CONDO 1 NOO PURCHASE N 7.375 7.375 128800 128504.16 7/1/2006 6/1/2036 889.59 1103574641 PUD 1 OO REFI N 6.375 6.375 444000 444000 6/1/2006 5/1/2036 2358.75 1103574650 PUD 1 OO PURCHASE N 6.875 6.875 303038 303038 7/1/2006 6/1/2036 1736.16 1103574685 2-4FAMILY 3 OO PURCHASE N 8.5 8.5 465500 465500 8/1/2006 7/1/2036 3297.29 1103574716 CONDO 1 2ND PURCHASE N 8.01 8.01 118293 118292.79 7/1/2006 6/1/2036 789.61 1103574737 PUD 1 OO REFI Y 8.125 8.125 300000 300000 7/1/2006 6/1/2036 2031.25 1103574749 SFR 1 OO REFI Y 7.375 7.375 278000 277331.19 7/1/2006 6/1/2036 1920.08 1103574758 SFR 1 OO PURCHASE N 8.625 8.625 112500 112500 7/1/2006 6/1/2036 808.59 1103574763 SFR 1 NOO REFI Y 7.875 7.875 491250 491250 7/1/2006 6/1/2036 3223.83 1103574817 SFR 1 OO REFI Y 8.5 8.5 80000 79940.15 7/1/2006 6/1/2036 586.48 1103575415 SFR 1 OO REFI N 8.25 8.25 464000 463626.64 7/1/2006 6/1/2036 3313.6 1103575486 PUD 1 OO PURCHASE N 7.762 7.762 275946 275946 8/1/2006 7/1/2036 1784.91 1103574839 PUD 1 OO PURCHASE N 7 7 402800 402800 7/1/2006 6/1/2036 2349.67 1103574902 PUD 1 OO PURCHASE N 8.25 8.25 169900 169900 7/1/2006 6/1/2036 1168.06 1103574926 SFR 1 OO PURCHASE N 9.25 9.25 220950 220950 7/1/2006 6/1/2036 1703.16 1103574965 CONDO 1 2ND PURCHASE N 7.5 7.5 101500 101500 5/1/2006 4/1/2036 634.38 1103574973 PUD 1 OO REFI Y 5.625 5.625 480000 477932.92 6/1/2006 5/1/2036 2763.15 1103574987 CONDO 1 NOO PURCHASE N 7.99 7.99 243750 243750 8/1/2006 7/1/2036 1622.97 1103574989 PUD 1 NOO PURCHASE N 7.875 7.875 419900 419900 8/1/2006 7/1/2036 2755.59 1103575043 SFR 1 OO PURCHASE N 7.25 7.25 463200 463200 7/1/2006 6/1/2036 2798.5 1103575064 TOWNHOUSE 1 OO PURCHASE N 6.99 6.99 515000 514995.51 8/1/2006 7/1/2036 2999.88 1103575078 PUD 1 OO PURCHASE N 8.25 8.25 141526 141253.39 7/1/2006 6/1/2036 1063.24 1103575081 SFR 1 OO REFI Y 6.75 6.75 234000 233392.19 7/1/2006 6/1/2036 1517.72 1103575091 SFR 1 OO REFI Y 11.8 11.8 322500 322207.76 7/1/2006 6/1/2036 3267.71 1103575099 2-4FAMILY 4 NOO PURCHASE N 10.35 10.35 476000 476000 7/1/2006 6/1/2036 4105.5 1103575109 CONDO 1 NOO PURCHASE N 8.5 8.5 135192 135192 7/1/2006 6/1/2036 957.61 1103575151 CONDO 1 OO REFI N 7.875 7.875 188000 188000 7/1/2006 6/1/2036 1233.75 1103575162 CONDO 1 NOO PURCHASE N 6.875 6.875 224000 224000 7/1/2006 6/1/2036 1283.33 1103575227 2-4FAMILY 2 OO REFI Y 7.805 7.805 343000 342032.97 6/1/2006 5/1/2036 2470.34 1103575291 SFR 1 NOO PURCHASE N 7.875 7.875 206250 206250 7/1/2006 6/1/2036 1353.52 1103575403 2-4FAMILY 2 NOO PURCHASE N 7.75 7.75 136800 136508.48 7/1/2006 6/1/2036 980.05 1103575182 SFR 1 OO PURCHASE N 7.25 7.25 112000 112000 7/1/2006 6/1/2036 676.67 1103575345 2-4FAMILY 4 OO PURCHASE N 8.5 8.5 431200 431200 8/1/2006 7/1/2036 3054.33 1103575356 SFR 1 OO PURCHASE N 6.375 6.375 407250 407250 7/1/2006 6/1/2036 2163.52 1103575380 2-4FAMILY 4 NOO REFI Y 8.013 8.013 825000 823892.11 8/1/2006 7/1/2036 6061.04 1103575448 CONDO 1 OO PURCHASE N 8.125 8.125 247550 247550 6/1/2006 5/1/2036 1676.12 1103575459 SFR 1 OO PURCHASE N 9.375 9.375 139500 139500 8/1/2006 7/1/2036 1089.84 1103575780 2-4FAMILY 2 NOO REFI Y 7.375 7.375 441000 440326.8 8/1/2006 7/1/2036 3045.88 1103575889 2-4FAMILY 2 OO REFI Y 6.875 6.875 345000 345000 7/1/2006 6/1/2036 1976.56 1103575915 PUD 1 NOO PURCHASE N 7 7 724850 724850 8/1/2006 7/1/2036 4228.29 1103575947 PUD 1 2ND PURCHASE N 7.625 7.625 215200 215200 8/1/2006 7/1/2036 1367.42 1103576056 SFR 1 NOO REFI Y 7.125 7.125 155400 155400 8/1/2006 7/1/2036 922.69 1103576057 SFR 1 NOO REFI Y 13.125 13.125 55500 55475.19 8/1/2006 7/1/2021 619.37 1103576068 CONDO 1 NOO PURCHASE N 7.73 7.73 146990 146990 9/1/2006 8/1/2036 946.86 1103576069 CONDO 1 NOO PURCHASE N 12.64 12.64 39190 39180.28 9/1/2006 8/1/2021 422.52 1103576122 2-4FAMILY 2 NOO PURCHASE N 8.125 8.125 102750 102546.98 7/1/2006 6/1/2036 762.92 1103576152 2-4FAMILY 2 NOO PURCHASE N 7.875 7.875 312750 312750 7/1/2006 6/1/2036 2052.42 1103576221 SFR 1 OO REFI N 8.125 8.125 176249 175900.79 7/1/2006 6/1/2036 1308.64 1103587212 SFR 1 2ND REFI Y 6.25 6.25 404000 402842.92 7/1/2006 6/1/2036 2487.5 1103587213 SFR 1 NOO PURCHASE N 6.5 6.5 178300 177976.75 8/1/2006 7/1/2036 1126.98 1103576227 CONDO 1 NOO PURCHASE N 8.225 8.225 95925 95925 8/1/2006 7/1/2036 657.49 1103576242 SFR 1 OO PURCHASE N 7.65 7.65 172000 172000 7/1/2006 6/1/2036 1096.5 1103576252 2-4FAMILY 2 NOO PURCHASE N 7.645 7.645 133000 133000 7/1/2006 6/1/2036 847.32 1103576253 SFR 1 NOO REFI Y 7.25 7.25 348000 348000 8/1/2006 7/1/2036 2102.5 1103576452 SFR 1 NOO REFI Y 7.625 7.625 178500 178500 7/1/2006 6/1/2036 1134.22 1103576470 SFR 1 NOO REFI Y 8.125 8.125 315000 314377.63 7/1/2006 6/1/2036 2338.87 1103576497 SFR 1 NOO REFI Y 7.98 7.98 115500 115499.16 7/1/2006 6/1/2036 768.08 1103576538 SFR 1 OO REFI Y 7.75 7.75 520000 520000 11/1/2006 10/1/2036 3358.33 1103576580 SFR 1 NOO PURCHASE N 8.5 8.5 136000 135751.05 7/1/2006 6/1/2036 1045.73 1103576610 CONDO 1 NOO REFI Y 8.375 8.375 129000 129000 7/1/2006 6/1/2036 900.31 1103576615 SFR 1 OO REFI Y 7.5 7.5 110000 110000 7/1/2006 6/1/2036 687.5 1103576619 SFR 1 OO PURCHASE N 7.99 7.99 215900 215900 7/1/2006 6/1/2036 1437.53 1103576627 SFR 1 NOO PURCHASE N 7.5 7.5 332500 331755.07 7/1/2006 6/1/2036 2324.89 1103576642 CONDO 1 OO PURCHASE N 8.5 8.5 415600 415600 8/1/2006 7/1/2036 2943.83 1103576690 SFR 1 OO PURCHASE N 9.125 9.125 134910 134838.21 9/1/2006 8/1/2036 1097.67 1103576715 SFR 1 OO PURCHASE N 6.875 6.875 409500 409500 7/1/2006 6/1/2036 2346.09 1103576838 SFR 1 NOO REFI Y 9.25 9.25 520000 519688.32 7/1/2006 6/1/2036 4111.43 1103576848 HI-RISE 1 NOO PURCHASE N 13 13 351000 350710.43 8/1/2006 7/1/2036 3802.5 1103576866 SFR 1 NOO PURCHASE N 8.625 8.625 236000 236000 7/1/2006 6/1/2036 1696.25 1103576750 SFR 1 NOO PURCHASE N 7.875 7.875 169500 169147.75 7/1/2006 6/1/2036 1112.34 1103576850 SFR 1 OO REFI N 7.25 7.25 165000 165000 8/1/2006 7/1/2036 996.88 1103576901 SFR 1 OO REFI Y 7.25 7.25 282000 282000 8/1/2006 7/1/2036 1703.75 1103576904 CONDO 1 OO PURCHASE N 6.99 6.99 320000 320000 8/1/2006 7/1/2036 1864 1103576918 PUD 1 OO PURCHASE N 6.375 6.375 300000 299161.98 7/1/2006 6/1/2036 1871.61 1103576963 SFR 1 OO REFI Y 6.125 6.125 276000 275650 7/1/2006 6/1/2036 1408.75 1103576995 SFR 1 OO REFI Y 7.5 7.5 187000 186721.57 8/1/2006 7/1/2036 1307.53 1103577017 PUD 1 2ND REFI Y 6.875 6.875 200000 199493.02 7/1/2006 6/1/2036 1313.86 1103577034 CONDO 1 NOO PURCHASE N 7.25 7.25 121793 121793 7/1/2006 6/1/2036 735.83 1103577096 SFR 1 NOO REFI Y 8.375 8.375 223200 222780.9 7/1/2006 6/1/2036 1696.48 1103577100 SFR 1 OO PURCHASE N 8.625 8.625 372000 372000 7/1/2006 6/1/2036 2673.75 1103577158 CONDO 1 OO REFI Y 6.5 6.5 105000 105000 7/1/2006 6/1/2036 568.75 1103577209 SFR 1 OO PURCHASE N 7.625 7.625 92000 92000 7/1/2006 6/1/2036 584.58 1103577248 SFR 1 OO PURCHASE N 7.65 7.65 143960 143541.31 6/1/2006 5/1/2036 1021.42 1103577271 CONDO 1 OO PURCHASE N 7.875 7.875 201592 201592 7/1/2006 6/1/2036 1322.95 1103577279 SFR 1 OO REFI Y 8.875 8.875 214500 214500 7/1/2006 6/1/2036 1586.41 1103578008 TOWNHOUSE 1 OO PURCHASE N 8.75 8.75 212000 212000 7/1/2006 6/1/2036 1545.83 1103578032 SFR 1 OO REFI Y 7.25 7.25 304000 304000 10/1/2006 9/1/2036 2073.82 1103578169 SFR 1 OO PURCHASE N 11.75 11.75 106000 105935.58 8/1/2006 7/1/2021 1069.97 1103577310 SFR 1 NOO REFI Y 7.25 7.25 450100 450100 8/1/2006 7/1/2036 2719.35 1103577311 SFR 1 NOO REFI Y 11.925 11.925 160750 160655.98 8/1/2006 7/1/2021 1644.23 1103577353 SFR 1 OO PURCHASE N 7.25 7.25 338250 338248.59 8/1/2006 7/1/2036 2043.59 1103577371 CONDO 1 OO REFI Y 7.625 7.625 318000 315043.17 7/1/2006 6/1/2036 2020.63 1103577521 HI-RISE 1 NOO PURCHASE N 7.375 7.375 203700 203232.13 7/1/2006 6/1/2036 1406.91 1103577530 PUD 1 OO REFI Y 7 7 340000 339159.02 7/1/2006 6/1/2036 2262.03 1103577610 PUD 1 OO REFI N 6.625 6.625 465000 465000 7/1/2006 6/1/2036 2567.19 1103577666 SFR 1 OO REFI Y 8.375 8.375 162500 162194.86 7/1/2006 6/1/2036 1235.12 1103577693 SFR 1 NOO REFI N 8.75 8.75 123250 123250 8/1/2006 7/1/2036 898.7 1103577699 SFR 1 OO REFI Y 6.875 6.875 427500 427498.37 7/1/2006 6/1/2036 2449.22 1103577700 2-4FAMILY 3 NOO REFI Y 7.625 7.625 433000 432582.83 7/1/2006 6/1/2036 2889.53 1103577706 SFR 1 OO REFI Y 8.212 8.212 238000 237538.01 7/1/2006 6/1/2036 1781.66 1103577707 2-4FAMILY 2 OO REFI Y 8.25 8.25 212500 212228.07 8/1/2006 7/1/2036 1596.44 1103577748 SFR 1 NOO REFI Y 9.99 9.99 168000 167774.69 7/1/2006 6/1/2036 1473.08 1103577790 CONDO 1 OO REFI Y 7.875 7.875 110000 109771.4 7/1/2006 6/1/2036 797.58 1103577805 2-4FAMILY 2 NOO PURCHASE N 8.25 8.25 285600 285501.82 7/1/2006 6/1/2036 1963.5 1103577824 PUD 1 OO REFI Y 8.125 8.125 175000 175000 7/1/2006 6/1/2036 1184.9 1103577987 SFR 1 OO PURCHASE N 8 8 209000 208576.48 7/1/2006 6/1/2036 1533.57 1103578000 SFR 1 NOO PURCHASE N 7.625 7.625 103600 103600 7/1/2006 6/1/2036 658.29 1103577810 SFR 1 OO PURCHASE N 6.125 6.125 524000 524000 8/1/2006 7/1/2036 2674.58 1103577863 2-4FAMILY 3 OO PURCHASE N 8.375 8.375 639200 639200 8/1/2006 7/1/2036 4461.08 1103577898 PUD 1 NOO PURCHASE N 6.625 6.625 198000 198000 7/1/2006 6/1/2036 1093.13 1103577992 2-4FAMILY 2 NOO PURCHASE N 8.99 8.99 744000 744000 7/1/2006 6/1/2036 5573.8 1103578036 SFR 1 OO PURCHASE N 7.75 7.75 284000 284000 7/1/2006 6/1/2036 1834.17 1103578037 CONDO 1 OO PURCHASE N 7.25 7.25 159040 159040 8/1/2006 7/1/2036 960.87 1103578069 SFR 1 OO REFI Y 5.625 5.625 416000 414659.55 7/1/2006 6/1/2036 2394.73 1103578096 SFR 1 NOO PURCHASE N 8 8 110250 110250 7/1/2006 6/1/2036 735 1103578165 SFR 1 OO PURCHASE N 6.375 6.375 424000 424000 8/1/2006 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PURCHASE N 8.75 8.75 495200 494339.03 7/1/2006 6/1/2036 3895.74 1103578683 SFR 1 OO REFI Y 7.625 7.625 496000 496000 7/1/2006 6/1/2036 3151.67 1103581267 SFR 1 NOO REFI Y 9.125 9.125 320000 320000 7/1/2006 6/1/2036 2433.33 1103585523 PUD 1 OO REFI Y 6.375 6.375 287000 287000 8/1/2006 7/1/2036 1524.69 1103578688 HI-RISE 1 2ND PURCHASE N 7.125 7.125 356200 356200 8/1/2006 7/1/2036 2114.94 1103578737 PUD 1 OO PURCHASE N 7.375 7.375 181600 181600 8/1/2006 7/1/2036 1116.08 1103578756 PUD 1 OO PURCHASE N 6.875 6.875 1000000 999929.17 7/1/2006 6/1/2036 5729.17 1103578813 PUD 1 OO PURCHASE N 6.875 6.875 195300 195300 8/1/2006 7/1/2036 1118.91 1103578894 SFR 1 OO REFI Y 8.148 8.148 269500 268970.02 7/1/2006 6/1/2036 2005.37 1103578908 SFR 1 NOO REFI Y 7.625 7.625 1000000 1000000 7/1/2006 6/1/2036 6354.17 1103578932 SFR 1 NOO PURCHASE N 7.25 7.25 367950 367950 7/1/2006 6/1/2036 2223.03 1103578991 PUD 1 OO REFI Y 7.5 7.5 360000 359193.47 8/1/2006 7/1/2036 2517.17 1103579001 SFR 1 NOO PURCHASE N 8.5 8.5 112000 112000 8/1/2006 7/1/2036 793.33 1103579015 CONDO 1 OO REFI Y 7.75 7.75 270000 270000 7/1/2006 6/1/2036 1743.75 1103579033 2-4FAMILY 2 NOO REFI Y 8 8 195000 194604.86 7/1/2006 6/1/2036 1430.84 1103579070 SFR 1 NOO PURCHASE N 7 7 186000 185356.27 7/1/2006 6/1/2036 1237.46 1103579072 PUD 1 OO PURCHASE N 8.5 8.5 196800 196800 7/1/2006 6/1/2036 1394 1103579091 SFR 1 OO PURCHASE N 8.05 8.05 138600 138600 7/1/2006 6/1/2036 929.78 1103579272 SFR 1 NOO REFI Y 8.5 8.5 650000 648408.1 6/1/2006 5/1/2036 4997.94 1103579273 SFR 1 OO PURCHASE N 7.75 7.75 284000 283394.78 7/1/2006 6/1/2036 2034.61 1103579137 SFR 1 NOO REFI Y 8.875 8.875 113600 113407.54 7/1/2006 6/1/2036 903.85 1103579147 SFR 1 NOO REFI N 8.75 8.75 130400 130173.28 7/1/2006 6/1/2036 1025.86 1103579210 CONDO 1 NOO PURCHASE N 7.375 7.375 115500 115500 7/1/2006 6/1/2036 709.84 1103579306 SFR 1 OO REFI Y 8 8 228000 228000 8/1/2006 7/1/2036 1520 1103579097 CONDO 1 NOO REFI Y 7.75 7.75 200000 200000 7/1/2006 6/1/2036 1291.67 1103579103 SFR 1 OO PURCHASE N 7.875 7.875 200000 200000 8/1/2006 7/1/2036 1312.5 1103579114 SFR 1 OO REFI Y 8 8 750000 750000 8/1/2006 7/1/2036 5000 1103579115 SFR 1 OO PURCHASE N 7.25 7.25 145000 144773.08 8/1/2006 7/1/2036 989.16 1103579198 SFR 1 OO REFI Y 7.625 7.625 150000 149743.88 8/1/2006 7/1/2036 1061.69 1103579214 SFR 1 OO PURCHASE N 7.25 7.25 484000 484000 7/1/2006 6/1/2036 2924.17 1103579231 2-4FAMILY 2 NOO PURCHASE N 6.75 6.75 267400 267341.57 6/1/2006 5/1/2036 1504.13 1103579238 SFR 1 NOO PURCHASE N 6.75 6.75 124000 124000 6/1/2006 5/1/2036 697.5 1103579243 SFR 1 NOO PURCHASE N 10.45 10.45 126000 125846.84 7/1/2006 6/1/2036 1147.86 1103579262 CONDO 1 OO PURCHASE N 8.6 8.6 84720 84516.71 6/1/2006 5/1/2036 657.44 1103579263 PUD 1 OO REFI N 6.375 6.375 300000 296746.62 7/1/2006 6/1/2021 2592.75 1103579264 2-4FAMILY 2 NOO REFI Y 8 8 160000 159675.79 7/1/2006 6/1/2036 1174.02 1103579265 2-4FAMILY 2 OO PURCHASE N 6.625 6.625 540320 540320 6/1/2006 5/1/2036 2983.02 1103579267 PUD 1 OO PURCHASE N 7.75 7.75 927500 927500 7/1/2006 6/1/2036 5990.1 1103579269 PUD 1 OO PURCHASE N 7.875 7.875 316000 316000 6/1/2006 5/1/2036 2073.75 1103579271 CONDO 1 2ND REFI N 7.75 7.75 408000 408000 7/1/2006 6/1/2036 2635 1103579900 SFR 1 NOO PURCHASE N 8.5 8.5 98750 98750 7/1/2006 6/1/2036 699.48 1103579903 SFR 1 OO PURCHASE N 8.75 8.75 348000 348000 9/1/2006 8/1/2036 2537.5 1103579270 SFR 1 OO REFI Y 7.75 7.75 500000 498862.37 7/1/2006 6/1/2036 3582.06 1103579275 CONDO 1 OO REFI N 7.25 7.25 246720 246720 5/1/2006 4/1/2036 1490.6 1103579276 CONDO 1 2ND PURCHASE N 7.625 7.625 159900 159313.95 5/1/2006 4/1/2036 1131.76 1103579331 SFR 1 OO REFI Y 7.5 7.5 200000 200000 7/1/2006 6/1/2036 1250 1103579366 SFR 1 OO REFI Y 8.25 8.25 276000 275468.36 7/1/2006 6/1/2036 2073.5 1103579367 PUD 1 OO REFI Y 7.875 7.875 175000 175000 7/1/2006 6/1/2036 1148.44 1103579395 SFR 1 NOO PURCHASE N 7.875 7.875 140992 140992 8/1/2006 7/1/2036 925.26 1103579460 SFR 1 OO REFI Y 7.875 7.875 160000 159667.47 7/1/2006 6/1/2036 1160.12 1103579468 SFR 1 OO REFI N 7.875 7.875 187500 187241.07 8/1/2006 7/1/2036 1359.51 1103579489 SFR 1 NOO PURCHASE N 8.5 8.5 94400 94285.23 8/1/2006 7/1/2036 725.85 1103579500 SFR 1 OO PURCHASE N 7.25 7.25 249500 249500 7/1/2006 6/1/2036 1507.4 1103579507 SFR 1 NOO PURCHASE N 8.875 8.875 187200 187200 8/1/2006 7/1/2036 1384.5 1103579509 PUD 1 OO REFI Y 7.214 7.214 111500 111466.48 7/1/2006 6/1/2036 670.3 1103579523 SFR 1 NOO PURCHASE N 12.875 12.875 35100 35083.4 8/1/2006 7/1/2021 384.85 1103579524 SFR 1 NOO REFI Y 8.5 8.5 225000 225000 7/1/2006 6/1/2036 1593.75 1103579559 SFR 1 NOO PURCHASE N 8.75 8.75 184000 183680.09 7/1/2006 6/1/2036 1447.53 1103579560 SFR 1 NOO PURCHASE N 12.425 12.425 34500 34472.78 7/1/2006 6/1/2021 366.2 1103580806 SFR 1 OO REFI Y 8.957 8.957 136000 135849.54 8/1/2006 7/1/2036 1090.08 1103581772 SFR 1 OO PURCHASE N 12.125 12.125 92700 92700 8/1/2006 7/1/2021 936.66 1103581782 SFR 1 OO REFI Y 6.875 6.875 479700 479700 8/1/2006 7/1/2036 2748.28 1103579569 SFR 1 NOO PURCHASE N 6.625 6.625 115400 115400 8/1/2006 7/1/2036 637.1 1103579572 CONDO 1 OO REFI Y 9.99 9.99 87000 86922.55 8/1/2006 7/1/2036 762.84 1103579576 SFR 1 NOO REFI N 7.875 7.875 74500 74397.12 8/1/2006 7/1/2036 540.18 1103579609 SFR 1 OO PURCHASE N 7.5 7.5 252000 251377 7/1/2006 6/1/2036 1575 1103579613 SFR 1 OO PURCHASE N 7.5 7.5 306400 306400 7/1/2006 6/1/2036 1915 1103579665 PUD 1 2ND PURCHASE N 8.5 8.5 173250 173250 7/1/2006 6/1/2036 1227.19 1103579676 CONDO 1 OO PURCHASE N 6.75 6.75 221250 221250 7/1/2006 6/1/2036 1244.53 1103579677 CONDO 1 OO PURCHASE N 12.75 12.75 73750 73695.88 7/1/2006 6/1/2021 801.44 1103579719 SFR 1 OO PURCHASE N 8.125 8.125 259000 259000 7/1/2006 6/1/2036 1753.65 1103579723 SFR 1 OO REFI Y 8.375 8.375 620000 620000 8/1/2006 7/1/2036 4327.08 1103579726 SFR 1 OO REFI Y 12.875 12.875 155000 154926.69 8/1/2006 7/1/2021 1699.48 1103579727 2-4FAMILY 2 OO REFI Y 8.25 8.25 158000 157695.64 7/1/2006 6/1/2036 1187.01 1103579731 PUD 1 NOO PURCHASE N 6.875 6.875 127278 127278 7/1/2006 6/1/2036 729.2 1103579737 SFR 1 OO PURCHASE N 7.25 7.25 292000 292000 7/1/2006 6/1/2036 1764.17 1103579755 SFR 1 NOO PURCHASE N 8.125 8.125 151867 151867 10/1/2006 9/1/2036 1028.27 1103579879 SFR 1 OO REFI Y 9.875 9.875 228000 227686.7 7/1/2006 6/1/2036 1979.83 1103579881 SFR 1 OO PURCHASE N 7.875 7.875 438400 438400 7/1/2006 6/1/2036 2877 1103579891 SFR 1 NOO PURCHASE N 9.875 9.875 220500 220196.99 7/1/2006 6/1/2036 1914.71 1103579899 SFR 1 NOO REFI N 7.5 7.5 118000 117737.5 7/1/2006 6/1/2036 737.5 1103579786 CONDO 1 OO PURCHASE N 7.99 7.99 219200 219200 7/1/2006 6/1/2036 1459.51 1103579811 SFR 1 OO PURCHASE N 7 7 184400 184400 8/1/2006 7/1/2036 1075.67 1103579828 SFR 1 OO REFI N 7.18 7.18 181000 181000 7/1/2006 6/1/2036 1082.98 1103579856 2-4FAMILY 2 OO REFI Y 7.625 7.625 440800 440800 8/1/2006 7/1/2036 2800.92 1103579888 SFR 1 OO PURCHASE N 8.25 8.25 293000 292434.28 7/1/2006 6/1/2036 2201.21 1103579897 2-4FAMILY 2 OO REFI Y 8.992 8.992 475000 475000 7/1/2006 6/1/2036 3559.33 1103579938 SFR 1 NOO PURCHASE N 7.5 7.5 302000 302000 7/1/2006 6/1/2036 1887.5 1103579963 SFR 1 NOO PURCHASE N 8.875 8.875 367500 367500 8/1/2006 7/1/2036 2717.97 1103580023 SFR 1 OO PURCHASE N 6.25 6.25 254400 253915.98 8/1/2006 7/1/2036 1566.38 1103580024 PUD 1 OO REFI Y 7.5 7.5 240000 239642.67 8/1/2006 7/1/2036 1678.11 1103580078 SFR 1 NOO PURCHASE N 8.5 8.5 392000 392000 7/1/2006 6/1/2036 2776.67 1103580148 CONDO 1 OO PURCHASE N 7.75 7.75 279920 279920 8/1/2006 7/1/2036 1807.82 1103580151 SFR 1 OO REFI Y 8.324 8.324 288750 288202.14 7/1/2006 6/1/2036 2184.32 1103580161 SFR 1 OO REFI Y 6.875 6.875 251550 250912.37 7/1/2006 6/1/2036 1652.5 1103580692 SFR 1 OO REFI Y 6.75 6.75 169000 169000 7/1/2006 6/1/2036 950.63 1103580737 CONDO 1 OO REFI Y 12 12 50000 49941.9 7/1/2006 6/1/2021 514.31 1103580800 TOWNHOUSE 1 OO REFI Y 8 8 345000 344300.89 7/1/2006 6/1/2036 2531.49 1103581125 PUD 1 OO PURCHASE N 8 8 236286 236286 7/1/2006 6/1/2036 1575.24 1103581258 SFR 1 NOO PURCHASE N 7.5 7.5 79600 79600 6/1/2006 5/1/2036 497.5 1103580166 PUD 1 NOO REFI Y 8.75 8.75 220000 219617.5 7/1/2006 6/1/2036 1730.74 1103580173 PUD 1 OO PURCHASE N 6.875 6.875 170750 170750 8/1/2006 7/1/2036 978.26 1103580181 PUD 1 OO REFI Y 7.5 7.5 273750 273750 8/1/2006 7/1/2036 1710.94 1103580192 CONDO 1 OO REFI N 6.865 6.865 120000 118844.23 7/1/2006 6/1/2021 1069.56 1103580197 PUD 1 OO PURCHASE N 7.7 7.7 640000 640000 9/1/2006 8/1/2036 4106.67 1103580199 CONDO 1 NOO PURCHASE N 8.125 8.125 150392 150094.85 7/1/2006 6/1/2036 1116.66 1103580208 PUD 1 OO PURCHASE N 12 12 60000 59982.83 9/1/2006 8/1/2021 617.17 1103580220 PUD 1 2ND PURCHASE N 8.375 8.375 201600 201600 7/1/2006 6/1/2036 1407 1103580251 SFR 1 OO PURCHASE N 6.75 6.75 338400 338400 8/1/2006 7/1/2036 1903.5 1103580254 SFR 1 NOO PURCHASE N 8.125 8.125 118580 118558.95 7/1/2006 6/1/2036 802.89 1103580262 PUD 1 NOO PURCHASE N 7 7 184800 184800 8/1/2006 7/1/2036 1078 1103580267 SFR 1 OO PURCHASE N 7 7 92999 92999 7/1/2006 6/1/2036 542.49 1103580271 SFR 1 OO REFI Y 8 8 741000 740358.96 7/1/2006 6/1/2036 5152.26 1103580311 2-4FAMILY 2 NOO PURCHASE N 7.75 7.75 157500 157500 7/1/2006 6/1/2036 1017.19 1103580318 SFR 1 NOO REFI N 7.5 7.5 112000 112000 7/1/2006 6/1/2036 700 1103580337 CONDO 1 OO REFI Y 6.75 6.75 456000 456000 7/1/2006 6/1/2036 2565 1103580475 2-4FAMILY 2 NOO PURCHASE N 8.25 8.25 285600 285049.88 7/1/2006 6/1/2036 2145.62 1103580582 CONDO 1 NOO PURCHASE N 7.625 7.625 211920 211612.26 8/1/2006 7/1/2036 1499.96 1103580605 SFR 1 OO REFI N 7.75 7.75 94300 94300 8/1/2006 7/1/2036 609.02 1103580354 SFR 1 OO PURCHASE N 6.5 6.5 186000 185988.29 7/1/2006 6/1/2036 1007.5 1103580388 SFR 1 NOO REFI Y 6.375 6.375 155000 155000 8/1/2006 7/1/2036 823.44 1103580397 SFR 1 OO PURCHASE N 7.875 7.875 193900 193497.06 7/1/2006 6/1/2036 1405.91 1103580398 SFR 1 NOO REFI Y 6.875 6.875 110000 108895.22 6/1/2006 5/1/2036 722.62 1103580400 SFR 1 OO REFI N 6.125 6.125 221000 220086.7 7/1/2006 6/1/2036 1342.82 1103580402 SFR 1 OO PURCHASE N 7.75 7.75 146750 146750 7/1/2006 6/1/2036 947.76 1103580405 SFR 1 OO PURCHASE N 7.25 7.25 308000 308000 6/1/2006 5/1/2036 1860.83 1103580406 SFR 1 OO PURCHASE N 6.875 6.875 255900 255900 7/1/2006 6/1/2036 1466.09 1103580407 CONDO 1 NOO REFI Y 6.875 6.875 315000 315000 7/1/2006 6/1/2036 1804.69 1103580408 SFR 1 NOO PURCHASE N 7.75 7.75 460000 460000 7/1/2006 6/1/2036 2970.83 1103580409 SFR 1 OO REFI Y 6.75 6.75 190000 190000 6/1/2006 5/1/2036 1068.75 1103580410 SFR 1 OO PURCHASE N 8 8 352000 352000 6/1/2006 5/1/2036 2346.67 1103580411 SFR 1 OO REFI Y 6.375 6.375 107000 107000 6/1/2006 5/1/2036 568.44 1103580412 SFR 1 OO PURCHASE N 7.5 7.5 159600 159600 6/1/2006 5/1/2036 997.5 1103587568 SFR 1 OO PURCHASE N 7.75 7.75 369200 369200 7/1/2006 6/1/2036 2384.42 1103587573 SFR 1 OO PURCHASE N 7.75 7.75 264000 264000 7/1/2006 6/1/2036 1705 1103587576 PUD 1 OO PURCHASE N 8 8 369600 369600 7/1/2006 6/1/2036 2464 1103580413 SFR 1 NOO REFI Y 7.25 7.25 191750 191750 5/1/2006 4/1/2036 1158.49 1103580414 SFR 1 OO PURCHASE N 6.875 6.875 392000 392000 6/1/2006 5/1/2036 2245.83 1103580415 SFR 1 OO REFI Y 6.5 6.5 165000 165000 6/1/2006 5/1/2036 893.75 1103580416 SFR 1 OO PURCHASE N 6.25 6.25 279500 279500 6/1/2006 5/1/2036 1455.73 1103580417 SFR 1 OO REFI Y 7.25 7.25 750000 750000 7/1/2006 6/1/2036 4531.25 1103580419 SFR 1 2ND PURCHASE N 6.25 6.25 196800 196798.36 5/1/2006 4/1/2036 1025 1103580420 SFR 1 2ND PURCHASE N 7.5 7.5 79900 79900 6/1/2006 5/1/2036 499.37 1103580421 SFR 1 OO PURCHASE N 7.375 7.375 196000 196000 6/1/2006 5/1/2036 1204.58 1103580422 SFR 1 2ND PURCHASE N 6.99 6.99 193000 193000 6/1/2006 5/1/2036 1124.23 1103580423 SFR 1 OO PURCHASE N 7.875 7.875 416000 416000 6/1/2006 5/1/2036 2730 1103580424 SFR 1 NOO PURCHASE N 8 8 313800 313800 6/1/2006 5/1/2036 2092 1103580425 SFR 1 NOO REFI Y 8.625 8.625 388000 387999.27 6/1/2006 5/1/2036 2788.75 1103580426 SFR 1 OO PURCHASE N 7.875 7.875 238000 238000 6/1/2006 5/1/2036 1561.88 1103580427 SFR 1 OO PURCHASE N 8.25 8.25 184000 184000 6/1/2006 5/1/2036 1265 1103587578 SFR 1 OO PURCHASE N 7.375 7.375 120000 120000 7/1/2006 6/1/2036 737.5 1103587581 SFR 1 NOO PURCHASE N 8 8 192000 192000 7/1/2006 6/1/2036 1280 1103587820 2-4FAMILY 3 NOO REFI Y 13.15 13.15 115000 114974.58 9/1/2006 8/1/2021 1285.63 1103587827 SFR 1 NOO PURCHASE N 7.75 7.75 147000 146791.81 7/28/2006 6/28/2036 1053.13 1103580428 CONDO 1 OO PURCHASE N 7.125 7.125 287900 287900 6/1/2006 5/1/2036 1709.41 1103580429 SFR 1 2ND PURCHASE N 5.875 5.875 325000 323664.82 6/1/2006 5/1/2036 1922.5 1103580431 SFR 1 OO REFI Y 5.75 5.75 400000 398741.12 7/1/2006 6/1/2036 2334.29 1103580479 SFR 1 OO PURCHASE N 7.375 7.375 408000 408000 8/1/2006 7/1/2036 2507.5 1103580486 2-4FAMILY 2 OO REFI Y 6.99 6.99 650000 649999.74 8/1/2006 7/1/2036 3786.25 1103580512 SFR 1 NOO PURCHASE N 7.375 7.375 188930 188930 8/1/2006 7/1/2036 1161.13 1103580542 SFR 1 OO REFI Y 6.75 6.75 332500 332498.12 8/1/2006 7/1/2036 1870.31 1103580608 SFR 1 2ND REFI N 6.625 6.625 186500 186500 6/1/2006 5/1/2036 1029.64 1103580671 SFR 1 OO REFI Y 11.3 11.3 36000 35987.98 9/1/2006 8/1/2021 351.02 1103580683 PUD 1 OO PURCHASE N 6 6 225000 224773.48 8/1/2006 7/1/2036 1237.98 1103580700 CONDO 1 OO REFI N 6.75 6.75 432000 432000 7/1/2006 6/1/2036 2430 1103580710 PUD 1 OO PURCHASE N 7.875 7.875 500000 500000 8/1/2006 7/1/2036 3281.25 1103580719 SFR 1 OO PURCHASE N 6.5 6.5 403550 403550 8/1/2006 7/1/2036 2185.9 1103580723 SFR 1 OO PURCHASE N 7 7 432800 432800 8/1/2006 7/1/2036 2524.67 1103580769 PUD 1 OO PURCHASE N 7.75 7.75 165100 165100 7/1/2006 6/1/2036 1066.27 1103587834 PUD 1 OO PURCHASE N 9.4 9.4 123705 123580.22 8/1/2006 7/1/2036 1031.17 1103580902 PUD 1 NOO PURCHASE N 7.875 7.875 120000 119834.3 8/1/2006 7/1/2036 870.08 1103581062 SFR 1 OO REFI Y 6 6 256000 255960.86 7/1/2006 6/1/2036 1280 1103580822 SFR 1 OO REFI Y 6.5 6.5 440000 440000 7/1/2006 6/1/2036 2383.33 1103580824 SFR 1 OO REFI Y 7.25 7.25 493000 493000 8/1/2006 7/1/2036 2978.54 1103580847 PUD 1 OO REFI Y 7.779 7.779 668000 668000 7/1/2006 6/1/2036 4330.31 1103580876 SFR 1 OO PURCHASE N 8.125 8.125 296300 296300 7/1/2006 6/1/2036 2006.2 1103580945 SFR 1 NOO PURCHASE N 7.25 7.25 228750 228750 8/1/2006 7/1/2036 1382.03 1103580957 CONDO 1 NOO PURCHASE N 7 7 118230 118230 7/1/2006 6/1/2036 689.68 1103580968 SFR 1 OO REFI Y 8.375 8.375 281250 280335.5 8/1/2006 7/1/2026 2418.55 1103580973 CONDO 1 NOO REFI Y 8.75 8.75 228000 228000 10/1/2006 9/1/2036 1662.5 1103580976 SFR 1 OO PURCHASE N 7.125 7.125 285000 284542.82 8/1/2006 7/1/2036 1920.1 1103581005 SFR 1 OO REFI Y 7.712 7.712 203000 202461.07 7/1/2006 6/1/2036 1448.99 1103581021 SFR 1 NOO PURCHASE N 9 9 328000 328000 8/1/2006 7/1/2036 2460 1103581043 SFR 1 NOO PURCHASE N 7.25 7.25 210000 210000 8/1/2006 7/1/2036 1268.75 1103581060 SFR 1 OO PURCHASE N 7.5 7.5 172000 172000 9/1/2006 8/1/2036 1075 1103581183 SFR 1 OO REFI Y 7.9 7.9 145700 145398.71 7/1/2006 6/1/2036 1058.96 1103581262 PUD 1 OO PURCHASE N 7.5 7.5 280800 280781.27 7/1/2006 6/1/2036 1755 1103581214 2-4FAMILY 2 NOO PURCHASE N 9.375 9.375 280000 280000 9/1/2006 8/1/2036 2187.5 1103581243 CONDO 1 NOO REFI Y 12.5 12.5 113400 113400 7/1/2006 6/1/2036 1181.25 1103581256 TOWNHOUSE 1 NOO PURCHASE N 7.5 7.5 119600 119591.47 7/1/2006 6/1/2036 747.5 1103581260 PUD 1 NOO PURCHASE N 7.875 7.875 83997 83997 7/1/2006 6/1/2036 551.23 1103581261 SFR 1 OO REFI Y 6.375 6.375 350000 350000 6/1/2006 5/1/2036 1859.38 1103581263 SFR 1 OO REFI Y 6.875 6.875 248000 247371.37 7/1/2006 6/1/2036 1629.18 1103581264 PUD 1 OO REFI Y 7.625 7.625 130000 129715.93 7/1/2006 6/1/2036 920.13 1103581265 SFR 1 NOO PURCHASE N 7.375 7.375 173600 173600 7/1/2006 6/1/2036 1066.92 1103581270 PUD 1 NOO PURCHASE N 7.5 7.5 252000 252000 7/1/2006 6/1/2036 1575 1103581272 SFR 1 NOO PURCHASE N 7.5 7.5 240000 240000 7/1/2006 6/1/2036 1500 1103581273 CONDO 1 NOO REFI Y 8.5 8.5 132000 131990.87 7/1/2006 6/1/2036 935 1103581274 SFR 1 OO REFI Y 6.99 6.99 450000 449999.7 6/1/2006 5/1/2036 2621.25 1103581275 SFR 1 NOO PURCHASE N 7.5 7.5 80000 80000 7/1/2006 6/1/2036 500 1103581276 SFR 1 NOO PURCHASE N 7.5 7.5 100000 100000 7/1/2006 6/1/2036 625 1103581278 SFR 1 OO PURCHASE N 8.5 8.5 332000 332000 6/1/2006 5/1/2036 2351.67 1103581279 SFR 1 OO REFI Y 6.875 6.875 337000 337000 7/1/2006 6/1/2036 1930.73 1103581642 PUD 1 NOO PURCHASE N 7.875 7.875 73796 73694.1 8/1/2006 7/1/2036 535.07 1103581762 SFR 1 OO REFI Y 12.525 12.525 55500 55500 10/1/2006 9/1/2021 593.4 1103581283 CONDO 1 2ND PURCHASE N 8.625 8.625 161100 160812.6 7/1/2006 6/1/2036 1253.02 1103581764 CONDO 1 NOO PURCHASE N 8.125 8.125 91000 90820.19 7/1/2006 6/1/2036 675.68 1103581282 PUD 1 2ND REFI Y 6.875 6.875 528000 528000 7/1/2006 6/1/2036 3025 1103581285 SFR 1 NOO REFI Y 7.75 7.75 172000 172000 7/1/2006 6/1/2036 1110.83 1103581289 PUD 1 NOO PURCHASE N 8.875 8.875 315000 314287.09 6/1/2006 5/1/2036 2506.28 1103581292 PUD 1 NOO PURCHASE N 6.99 6.99 127200 127200 6/1/2006 5/1/2036 740.94 1103581296 SFR 1 NOO PURCHASE N 7.375 7.375 67400 67399.61 6/1/2006 5/1/2036 414.23 1103581297 SFR 1 OO REFI Y 6.375 6.375 140000 140000 7/1/2006 6/1/2036 743.75 1103581298 PUD 1 OO PURCHASE N 7 7 207816 207816 7/1/2006 6/1/2036 1212.26 1103581299 SFR 1 OO PURCHASE N 7.75 7.75 179600 179589.01 4/1/2006 3/1/2036 1159.92 1103581306 SFR 1 OO REFI Y 8.392 8.392 300000 297405.12 7/1/2006 6/1/2021 2935.26 1103581343 CONDO 1 NOO PURCHASE N 8.25 8.25 168750 168750 8/1/2006 7/1/2036 1160.16 1103581344 CONDO 1 NOO PURCHASE N 12.4 12.4 45000 44825.68 8/1/2006 7/1/2021 551.71 1103581361 CONDO 1 OO PURCHASE N 7.25 7.25 265400 265400 8/1/2006 7/1/2036 1603.46 1103581374 SFR 1 OO REFI Y 7.5 7.5 177000 177000 8/1/2006 7/1/2036 1106.25 1103581463 CONDO 1 NOO PURCHASE N 7.211 7.211 108430 108430 7/1/2006 6/1/2036 651.57 1103581471 CONDO 1 NOO PURCHASE N 13.43 13.43 38725 38700.64 7/1/2006 6/1/2021 441.43 1103581491 2-4FAMILY 2 NOO PURCHASE N 13 13 52500 52488 9/1/2006 8/1/2021 580.75 1103581531 PUD 1 OO 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216300 216300 8/1/2006 7/1/2036 1171.63 1103581794 SFR 1 OO PURCHASE N 7.75 7.75 315000 315000 9/1/2006 8/1/2036 2034.38 1103581795 SFR 1 OO PURCHASE N 10.99 10.99 95000 94966.05 9/1/2006 8/1/2021 903.99 1103581827 SFR 1 OO PURCHASE N 7.25 7.25 160000 159999.73 8/1/2006 7/1/2036 966.67 1103581848 SFR 1 OO REFI Y 6.375 6.375 240000 240000 7/1/2006 6/1/2036 1275 1103588184 SFR 1 OO PURCHASE N 11.5 11.5 31000 30990.09 9/1/2006 8/1/2021 306.99 1103588274 SFR 1 NOO PURCHASE N 13.25 13.25 20000 19995.68 9/1/2006 8/1/2021 225.15 1103588362 SFR 1 OO PURCHASE N 7.5 7.5 232000 232000 8/1/2006 7/1/2036 1450 1103588346 PUD 1 2ND PURCHASE N 14.625 14.625 20950 20945.33 8/1/2006 7/1/2021 258.63 1103581893 SFR 1 NOO REFI Y 7.875 7.875 999500 999500 8/1/2006 7/1/2036 6559.22 1103581901 2-4FAMILY 3 OO PURCHASE N 8.6 8.6 142500 142431.23 8/1/2006 7/1/2036 1055.51 1103581912 2-4FAMILY 3 OO PURCHASE N 11.99 11.99 47500 47472.61 8/1/2006 7/1/2036 488.23 1103581926 2-4FAMILY 2 NOO PURCHASE N 8.375 8.375 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1103582267 SFR 1 OO REFI Y 7.25 7.25 212000 212000 9/1/2006 8/1/2036 1280.83 1103582270 SFR 1 NOO REFI Y 7.5 7.5 297500 297500 8/1/2006 7/1/2036 1859.37 1103582299 SFR 1 OO REFI Y 6.625 6.625 290000 290000 8/1/2006 7/1/2036 1601.04 1103582300 SFR 1 OO PURCHASE N 6.125 6.125 330000 330000 8/1/2006 7/1/2036 1684.38 1103582302 2-4FAMILY 4 OO PURCHASE N 7 7 735000 735000 8/1/2006 7/1/2036 4287.5 1103582312 PUD 1 OO PURCHASE N 7.75 7.75 70000 70000 10/1/2006 9/1/2036 452.08 1103583016 SFR 1 OO REFI Y 8 8 74000 74000 7/1/2006 6/1/2036 493.33 1103583132 SFR 1 NOO REFI Y 7.625 7.625 138750 138649.58 9/1/2006 8/1/2036 982.06 1103583147 PUD 1 2ND PURCHASE N 9.25 9.25 197065 196962.83 9/1/2006 8/1/2036 1621.21 1103582400 SFR 1 OO PURCHASE N 6.75 6.75 324150 324149.34 8/1/2006 7/1/2036 1823.34 1103582404 2-4FAMILY 4 OO PURCHASE N 9.6 9.6 320000 320000 8/1/2006 7/1/2036 2560 1103582426 SFR 1 OO PURCHASE N 8.95 8.95 264000 263826.99 7/1/2006 6/1/2036 2026.24 1103582443 CONDO 1 OO PURCHASE N 7.25 7.25 467920 467920 7/1/2006 6/1/2036 2827.02 1103582454 SFR 1 OO PURCHASE N 8.075 8.075 233600 233600 7/1/2006 6/1/2036 1571.93 1103582497 SFR 1 OO REFI Y 6.875 6.875 272000 271966.77 7/1/2006 6/1/2036 1558.33 1103582560 SFR 1 OO PURCHASE N 6.5 6.5 301600 301600 7/1/2006 6/1/2036 1633.67 1103582565 CONDO 1 OO REFI N 6.25 6.25 432000 432000 8/1/2006 7/1/2036 2250 1103582594 PUD 1 OO PURCHASE N 7.625 7.625 139600 139600 8/1/2006 7/1/2036 887.04 1103582599 SFR 1 NOO PURCHASE N 8.75 8.75 252000 252000 6/1/2006 5/1/2036 1837.5 1103582608 SFR 1 OO REFI Y 7.125 7.125 472000 472000 7/1/2006 6/1/2036 2802.5 1103582613 CONDO 1 OO PURCHASE N 7.25 7.25 130896 130708.16 7/1/2006 6/1/2036 837.31 1103582662 SFR 1 OO PURCHASE N 6.75 6.75 605500 605500 7/1/2006 6/1/2036 3405.94 1103582667 SFR 1 OO REFI N 6.375 6.375 442000 441997.82 8/1/2006 7/1/2036 2348.13 1103582700 SFR 1 OO REFI Y 8 8 288000 288000 9/1/2006 8/1/2036 1920 1103585194 SFR 1 OO PURCHASE N 7.875 7.875 749950 749950 9/1/2006 8/1/2036 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292455 291967.11 7/1/2006 6/1/2036 2342.65 1103582894 PUD 1 2ND PURCHASE N 8 8 290600 290600 8/1/2006 7/1/2036 1937.33 1103582895 SFR 1 OO REFI Y 7.625 7.625 255500 255500 8/1/2006 7/1/2036 1623.49 1103582940 SFR 1 OO REFI Y 7.125 7.125 151300 151130.46 7/1/2006 6/1/2036 898.34 1103582957 SFR 1 OO PURCHASE N 7.625 7.625 392000 392000 7/1/2006 6/1/2036 2490.83 1103582959 SFR 1 OO PURCHASE N 7.25 7.25 296000 295769.09 6/1/2006 5/1/2036 2019.24 1103582982 CONDO 1 OO PURCHASE N 5.875 5.875 391350 391350 7/1/2006 6/1/2036 1915.98 1103583194 CONDO 1 NOO PURCHASE N 8.125 8.125 76500 76457.6 8/1/2006 7/1/2036 539.1 1103583454 SFR 1 OO REFI N 8.375 8.375 81600 81498.21 9/1/2006 8/1/2036 620.22 1103583224 PUD 1 2ND PURCHASE N 7.75 7.75 154500 154404.56 8/1/2006 7/1/2036 1045.38 1103583033 SFR 1 OO PURCHASE N 7.25 7.25 414000 413352.13 8/1/2006 7/1/2036 2824.21 1103583088 SFR 1 NOO REFI N 7.25 7.25 291000 291000 8/1/2006 7/1/2036 1758.13 1103583110 SFR 1 NOO REFI Y 7.99 7.99 217500 217500 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1689.57 1103583318 PUD 1 OO PURCHASE N 6.375 6.375 520000 519000 7/1/2006 6/1/2036 2762.5 1103583336 SFR 1 OO PURCHASE N 7.75 7.75 217100 217100 7/1/2006 6/1/2036 1402.1 1103583338 SFR 1 OO REFI Y 7.125 7.125 440000 440000 7/1/2006 6/1/2036 2612.5 1103583339 SFR 1 NOO REFI Y 6.875 6.875 188500 188500 7/1/2006 6/1/2036 1079.95 1103583340 SFR 1 OO REFI Y 6.75 6.75 1350000 1350000 7/1/2006 6/1/2036 7593.75 1103583342 TOWNHOUSE 1 OO PURCHASE N 6.875 6.875 120250 120250 7/1/2006 6/1/2036 688.93 1103583343 SFR 1 OO PURCHASE N 8.125 8.125 190800 190800 7/1/2006 6/1/2036 1291.88 1103583344 SFR 1 OO PURCHASE N 6.875 6.875 144950 144777.46 7/1/2006 6/1/2036 887.63 1103583395 PUD 1 OO PURCHASE N 7.625 7.625 288000 287187.16 7/1/2006 6/1/2036 2038.45 1103583403 SFR 1 OO REFI Y 7.5 7.5 338500 338500 7/1/2006 6/1/2036 2115.63 1103583405 PUD 1 OO PURCHASE N 7 7 264000 263347.01 7/1/2006 6/1/2036 1756.4 1103583347 HI-RISE 1 OO REFI Y 6.875 6.875 205000 205000 7/1/2006 6/1/2036 1174.48 1103583349 SFR 1 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6.875 6.875 304000 304000 7/1/2006 6/1/2036 1741.67 1103583393 PUD 1 OO PURCHASE N 6.875 6.875 311920 311920 7/1/2006 6/1/2036 1787.04 1103583399 SFR 1 OO PURCHASE N 6.875 6.875 356000 355037.31 7/1/2006 6/1/2036 2338.67 1103583401 PUD 1 OO PURCHASE N 6.875 6.875 214200 213657.05 7/1/2006 6/1/2036 1407.14 1103583402 SFR 1 OO REFI Y 6.875 6.875 464000 464000 7/1/2006 6/1/2036 2658.33 1103583406 PUD 1 OO PURCHASE N 6.875 6.875 185600 185129.53 7/1/2006 6/1/2036 1219.26 1103583425 TOWNHOUSE 1 NOO PURCHASE N 7 7 132900 132900 8/1/2006 7/1/2036 775.25 1103583443 SFR 1 NOO PURCHASE N 7.375 7.375 108500 108500 8/1/2006 7/1/2036 666.82 1103590838 CONDO 1 OO REFI N 10.35 10.35 28500 28488.3 9/1/2006 8/1/2021 257.51 1103593687 PUD 1 OO REFI Y 9.1 9.1 520000 520000 9/1/2006 8/1/2036 3943.33 1103602244 SFR 1 OO REFI Y 7.437 7.437 190000 189423 10/1/2006 9/1/2021 1754.53 2503181031 PUD 1 OO REFI Y 11.175 11.175 35800 35800 10/1/2006 9/1/2021 345.67 1103583496 SFR 1 OO PURCHASE N 7.5 7.5 400000 400000 8/1/2006 7/1/2036 2500 1103583506 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 336000 336000 9/1/2006 8/1/2036 2030 1103583514 2-4FAMILY 2 OO PURCHASE N 11.6 11.6 84000 84000 9/1/2006 8/1/2021 812 1103583526 2-4FAMILY 2 NOO REFI Y 7.875 7.875 95900 95337.72 8/1/2006 7/1/2021 909.56 1103583527 2-4FAMILY 2 NOO REFI Y 7.875 7.875 93100 92554.13 8/1/2006 7/1/2021 883.01 1103583564 SFR 1 OO REFI Y 6.875 6.875 301000 300900 8/1/2006 7/1/2036 1724.48 1103583622 SFR 1 OO PURCHASE N 11.75 11.75 97900 97840.49 8/1/2006 7/1/2021 988.21 1103583699 SFR 1 OO PURCHASE N 7.125 7.125 132000 131853.48 7/1/2006 6/1/2036 832.3 1103583831 SFR 1 NOO PURCHASE N 7.5 7.5 150000 150000 8/1/2006 7/1/2036 937.5 1103583587 SFR 1 NOO REFI Y 6.875 6.875 476000 476000 8/1/2006 7/1/2036 2727.08 1103583603 PUD 1 NOO PURCHASE N 8 8 364000 364000 9/1/2006 8/1/2036 2426.67 1103583604 PUD 1 NOO REFI Y 6.875 6.875 150000 150000 8/1/2006 7/1/2036 859.38 1103583618 SFR 1 OO PURCHASE N 7.5 7.5 391600 391600 8/1/2006 7/1/2036 2447.5 1103583623 CONDO 1 OO PURCHASE N 5.75 5.75 266000 266000 8/1/2006 7/1/2036 1274.58 1103583642 SFR 1 OO REFI Y 7.75 7.75 273000 273000 8/1/2006 7/1/2036 1763.13 1103583650 PUD 1 OO PURCHASE N 7.5 7.5 164000 164000 8/1/2006 7/1/2036 1025 1103583652 SFR 1 OO PURCHASE N 6.875 6.875 141400 141400 8/1/2006 7/1/2036 810.1 1103583704 CONDO 1 OO PURCHASE N 8 8 144000 144000 9/1/2006 8/1/2036 960 1103583735 CONDO 1 OO REFI N 7.625 7.625 1259531 1259531 9/1/2006 8/1/2036 8003.27 1103583777 PUD 1 OO PURCHASE N 7.25 7.25 584000 584000 7/1/2006 6/1/2036 3528.33 1103583794 SFR 1 OO REFI Y 7.25 7.25 445000 445000 7/1/2006 6/1/2036 2688.54 1103583844 SFR 1 OO PURCHASE N 7.5 7.5 581250 581250 8/1/2006 7/1/2036 3632.81 1103583906 2-4FAMILY 2 OO REFI Y 7.25 7.25 243800 243418.47 8/1/2006 7/1/2036 1663.15 1103583941 CONDO 1 OO PURCHASE N 7.7 7.7 230300 230300 8/1/2006 7/1/2036 1477.76 1103583956 SFR 1 NOO PURCHASE N 7.5 7.5 396000 396000 8/1/2006 7/1/2036 2475 1103584033 SFR 1 OO PURCHASE N 7.375 7.375 312000 312000 8/1/2006 7/1/2036 1917.5 1103584057 CONDO 1 OO REFI N 7.25 7.25 428000 428000 8/1/2006 7/1/2036 2585.83 1103584078 SFR 1 NOO REFI N 7.375 7.375 127000 127000 8/1/2006 7/1/2036 780.52 1103584097 CONDO 1 OO PURCHASE N 7 7 559000 559000 8/1/2006 7/1/2036 3260.83 1103584100 SFR 1 OO REFI Y 6.875 6.875 1080000 1080000 8/1/2006 7/1/2036 6187.5 1103584105 SFR 1 OO PURCHASE N 8.125 8.125 319850 319850 7/1/2006 6/1/2036 2165.65 1103584127 SFR 1 OO REFI Y 7.25 7.25 250000 249608.78 8/1/2006 7/1/2036 1705.44 1103584433 SFR 1 OO PURCHASE N 11.625 11.625 78500 78450.96 8/1/2006 7/1/2021 784.87 1103584467 SFR 1 OO PURCHASE N 12.5 12.5 321000 321000 8/1/2006 7/1/2021 3343.75 1103584475 SFR 1 OO PURCHASE N 12 12 55000 54984.26 9/1/2006 8/1/2021 565.74 1103584132 CONDO 1 OO PURCHASE N 7 7 172200 172200 8/1/2006 7/1/2036 1004.5 1103584157 HI-RISE 1 2ND PURCHASE N 6.875 6.875 317500 317500 8/1/2006 7/1/2036 1819.01 1103584183 SFR 1 NOO PURCHASE N 8.125 8.125 100125 100125 8/1/2006 7/1/2036 677.93 1103584193 CONDO 1 OO PURCHASE N 7.25 7.25 169520 169520 7/1/2006 6/1/2036 1024.18 1103584237 SFR 1 OO REFI Y 6.5 6.5 458500 457249.79 7/1/2006 6/1/2036 2898.03 1103584265 SFR 1 OO REFI Y 8.5 8.5 273750 273750 8/1/2006 7/1/2036 1939.06 1103584332 PUD 1 OO PURCHASE N 9 9 204000 203888.57 9/1/2006 8/1/2036 1641.43 1103584203 SFR 1 OO PURCHASE N 6.5 6.5 397500 397500 8/1/2006 7/1/2036 2153.13 1103584214 SFR 1 NOO PURCHASE N 6.375 6.375 626500 626500 8/1/2006 7/1/2036 3328.28 1103584218 CONDO 1 OO PURCHASE N 6.25 6.25 369600 369600 6/1/2006 5/1/2036 1925 1103584219 CONDO 1 OO PURCHASE N 6.125 6.125 399920 399920 7/1/2006 6/1/2036 2041.26 1103584220 CONDO 1 OO PURCHASE N 6.875 6.875 243200 243200 6/1/2006 5/1/2036 1393.33 1103584221 SFR 1 2ND PURCHASE N 6.75 6.75 204000 204000 7/1/2006 6/1/2036 1147.5 1103584222 SFR 1 OO PURCHASE N 6.5 6.5 416000 416000 7/1/2006 6/1/2036 2253.33 1103584223 SFR 1 2ND PURCHASE N 6.75 6.75 271600 270656.71 6/1/2006 5/1/2036 1761.59 1103584224 CONDO 1 OO PURCHASE N 5.875 5.875 100000 99692.62 7/1/2006 6/1/2036 591.54 1103584226 SFR 1 OO PURCHASE N 6.25 6.25 417000 415404.93 7/1/2006 6/1/2036 2567.54 1103584227 PUD 1 OO PURCHASE N 6.625 6.625 994000 994000 7/1/2006 6/1/2036 5487.71 1103584228 PUD 1 OO REFI N 7.125 7.125 784000 784000 7/1/2006 6/1/2036 4655 1103584229 SFR 1 OO PURCHASE N 6.375 6.375 544000 544000 7/1/2006 6/1/2036 2890 1103584230 2-4FAMILY 4 OO REFI Y 6.25 6.25 650000 649985.42 7/1/2006 6/1/2036 3385.42 1103584231 PUD 1 OO PURCHASE N 6.375 6.375 489675 489675 6/1/2006 5/1/2036 2601.4 1103584232 SFR 1 OO PURCHASE N 6.75 6.75 376000 376000 6/1/2006 5/1/2036 2115 1103584233 SFR 1 OO PURCHASE N 6.375 6.375 608000 608000 6/1/2006 5/1/2036 3230 1103584234 SFR 1 OO REFI Y 6.25 6.25 780000 779962.5 7/1/2006 6/1/2036 4062.5 1103584235 CONDO 1 OO PURCHASE N 6.875 6.875 499880 499880 7/1/2006 6/1/2036 2863.9 1103584236 PUD 1 OO PURCHASE N 6.625 6.625 735000 735000 7/1/2006 6/1/2036 4057.81 1103584238 SFR 1 OO REFI Y 6.375 6.375 235000 235000 7/1/2006 6/1/2036 1248.44 1103584239 SFR 1 OO REFI Y 6.625 6.625 557600 557600 7/1/2006 6/1/2036 3078.42 1103584240 SFR 1 OO REFI Y 7.25 7.25 500000 500000 6/1/2006 5/1/2036 3020.83 1103584241 SFR 1 OO REFI Y 6.375 6.375 500000 500000 7/1/2006 6/1/2036 2656.25 1103584242 SFR 1 OO REFI Y 6.75 6.75 500000 500000 7/1/2006 6/1/2036 2812.5 1103584243 SFR 1 OO REFI Y 6.875 6.875 495000 495000 7/1/2006 6/1/2036 2835.94 1103584494 SFR 1 OO REFI N 10.875 10.875 43000 42984.25 9/1/2006 8/1/2021 405.44 1103585221 HI-RISE 1 2ND REFI Y 7.875 7.875 168000 167884.38 9/1/2006 8/1/2036 1218.12 1103586421 SFR 1 OO PURCHASE N 6.125 6.125 284800 284523.19 9/1/2006 8/1/2036 1730.48 1103586422 SFR 1 OO PURCHASE N 9.875 9.875 71200 71167.66 9/1/2006 8/1/2021 618.26 1103584244 SFR 1 OO REFI N 7 7 586740 586740 7/1/2006 6/1/2036 3422.65 3900014066 SFR 1 OO PURCHASE N 8 8 104405 100361.13 10/1/2002 9/1/2032 766.09 3900014070 SFR 1 OO REFI N 7.625 7.625 100800 96720.19 10/1/2002 9/1/2032 713.46 3900014096 SFR 1 OO REFI Y 8.25 8.25 125000 120128.63 7/1/2002 6/1/2032 939.08 1103584245 SFR 1 OO REFI Y 6.875 6.875 440000 440000 6/1/2006 5/1/2036 2520.83 1103584246 SFR 1 OO PURCHASE N 6.875 6.875 472000 472000 7/1/2006 6/1/2036 2704.17 1103584247 SFR 1 OO REFI Y 6.625 6.625 435000 433719.24 7/1/2006 6/1/2036 2785.35 1103584303 CONDO 1 2ND PURCHASE N 8.125 8.125 140710 140525.28 8/1/2006 7/1/2036 1044.77 1103584310 SFR 1 OO PURCHASE N 6.625 6.625 412000 412000 8/1/2006 7/1/2036 2274.58 1103584373 PUD 1 NOO PURCHASE N 6.875 6.875 258700 258700 8/1/2006 7/1/2036 1482.14 1103584464 SFR 1 OO PURCHASE N 7.75 7.75 749000 749000 8/1/2006 7/1/2036 4837.29 1103584468 SFR 1 OO PURCHASE N 8 8 220000 220000 9/1/2006 8/1/2036 1466.67 1103584486 PUD 1 OO REFI Y 6.875 6.875 154400 153876.66 6/1/2006 5/1/2036 1014.3 1103584546 CONDO 1 NOO REFI N 7.375 7.375 315000 315000 9/1/2006 8/1/2036 1935.94 1103584554 SFR 1 OO PURCHASE N 7.75 7.75 738750 738750 9/1/2006 8/1/2036 4771.09 1103584558 PUD 1 NOO PURCHASE N 7.125 7.125 358400 358400 8/1/2006 7/1/2036 2128 1103584559 PUD 1 NOO PURCHASE N 12.95 12.95 128000 127940.46 8/1/2006 7/1/2021 1410.94 1103584560 CONDO 1 NOO PURCHASE N 7.25 7.25 126630 126630 7/1/2006 6/1/2036 765.06 1103584561 SFR 1 OO PURCHASE N 6.75 6.75 143920 143920 7/1/2006 6/1/2036 809.55 1103584562 2-4FAMILY 2 OO PURCHASE N 7.375 7.375 382000 382000 7/1/2006 6/1/2036 2347.71 1103584564 2-4FAMILY 2 NOO REFI N 8.875 8.875 210000 210000 7/1/2006 6/1/2036 1553.13 1103584565 2-4FAMILY 4 OO REFI Y 5.375 5.375 249000 249000 7/1/2006 6/1/2036 1115.31 1103584567 SFR 1 OO REFI Y 8 8 256000 256000 7/1/2006 6/1/2036 1706.67 1103584568 PUD 1 OO PURCHASE N 7.375 7.375 190400 190399.25 7/1/2006 6/1/2036 1170.17 1103584571 SFR 1 OO PURCHASE N 6.5 6.5 122960 122960 7/1/2006 6/1/2036 666.03 1103584572 PUD 1 NOO PURCHASE N 9.625 9.625 536840 536840 7/1/2006 6/1/2036 4305.9 1103584573 SFR 1 OO PURCHASE N 6.875 6.875 349600 349600 7/1/2006 6/1/2036 2002.92 1103584574 PUD 1 NOO PURCHASE N 8 8 437500 436613.46 7/1/2006 6/1/2036 3210.22 1103584575 SFR 1 NOO PURCHASE N 7.25 7.25 405000 405000 7/1/2006 6/1/2036 2446.88 1103584576 SFR 1 OO PURCHASE N 7.5 7.5 250320 249820 6/1/2006 5/1/2036 1564.5 1103584578 SFR 1 NOO PURCHASE N 8.625 8.625 67920 67798.84 7/1/2006 6/1/2036 528.27 1103584579 PUD 1 2ND PURCHASE N 8.25 8.25 183672 183672 7/1/2006 6/1/2036 1262.75 1103584582 CONDO 1 OO PURCHASE N 8 8 239200 239200 7/1/2006 6/1/2036 1594.67 1103584599 PUD 1 OO PURCHASE N 8.875 8.875 376105 376105 8/1/2006 7/1/2036 2781.61 1103584730 PUD 1 OO PURCHASE N 10.625 10.625 50600 50580.43 9/1/2006 8/1/2021 467.59 1103584768 SFR 1 OO REFI Y 8.285 8.285 208000 207735.71 8/1/2006 7/1/2036 1567.76 1103584781 SFR 1 NOO PURCHASE N 12.025 12.025 50000 49971.4 8/1/2006 7/1/2021 515.27 1103584785 2-4FAMILY 3 OO PURCHASE N 13.25 13.25 195000 194915.27 8/1/2006 7/1/2021 2195.26 1103584665 SFR 1 OO REFI Y 6.875 6.875 550000 550000 8/1/2006 7/1/2036 3151.04 1103584682 SFR 1 OO REFI Y 6.25 6.25 440000 440000 8/1/2006 7/1/2036 2291.67 1103584683 HI-RISE 1 2ND PURCHASE N 7.625 7.625 707700 707700 8/1/2006 7/1/2036 4496.84 1103584685 SFR 1 NOO REFI Y 8.75 8.75 302400 302400 8/1/2006 7/1/2036 2205 1103584711 SFR 1 NOO REFI Y 7.25 7.25 137250 137250 8/1/2006 7/1/2036 829.22 1103584713 SFR 1 OO REFI N 7.375 7.375 282000 282000 8/1/2006 7/1/2036 1733.13 1103584724 PUD 1 OO PURCHASE N 7.25 7.25 202400 202399.83 9/1/2006 8/1/2036 1222.83 1103584733 CONDO 1 2ND PURCHASE N 7.5 7.5 320000 320000 8/1/2006 7/1/2036 2000 1103584780 SFR 1 NOO PURCHASE N 7.125 7.125 140000 140000 8/1/2006 7/1/2036 831.25 1103584783 2-4FAMILY 3 OO PURCHASE N 7.875 7.875 455000 455000 8/1/2006 7/1/2036 2985.94 1103584801 HI-RISE 1 2ND PURCHASE N 6.5 6.5 371800 371700 8/1/2006 7/1/2036 2013.92 1103584844 SFR 1 OO PURCHASE N 6.5 6.5 215200 215200 8/1/2006 7/1/2036 1165.67 1103584867 CONDO 1 2ND PURCHASE N 6 6 308000 308000 8/1/2006 7/1/2036 1540 1103585124 SFR 1 OO PURCHASE N 7.75 7.75 367500 366979.56 8/1/2006 7/1/2036 2632.82 1103584873 2-4FAMILY 3 NOO PURCHASE N 7.625 7.625 102000 101967.6 8/1/2006 7/1/2036 648.13 1103584882 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 147000 147000 8/1/2006 7/1/2036 934.06 1103584883 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 146300 146300 8/1/2006 7/1/2036 929.61 1103584884 SFR 1 NOO REFI Y 6.375 6.375 336000 336000 8/1/2006 7/1/2036 1785 1103584892 SFR 1 OO REFI Y 8.125 8.125 165000 165000 8/1/2006 7/1/2036 1117.19 1103584893 SFR 1 OO REFI Y 7.75 7.75 296000 296000 8/1/2006 7/1/2036 1911.67 1103584895 SFR 1 OO PURCHASE N 7.875 7.875 136000 136000 9/1/2006 8/1/2036 892.5 1103584899 CONDO 1 NOO PURCHASE N 8.125 8.125 147200 147200 7/1/2006 6/1/2036 996.67 1103584911 CONDO 1 NOO PURCHASE N 6.125 6.125 300000 300000 8/1/2006 7/1/2036 1531.25 1103584924 SFR 1 OO REFI N 7.4 7.4 122800 122800 9/1/2006 8/1/2036 757.27 1103584938 CONDO 1 OO REFI N 11.875 11.875 68800 68759.32 8/1/2006 7/1/2021 701.07 1103584965 PUD 1 OO PURCHASE N 7.375 7.375 206250 206250 8/1/2006 7/1/2036 1267.58 1103584977 CONDO 1 NOO PURCHASE N 8 8 106400 106400 8/1/2006 7/1/2036 709.33 1103584978 CONDO 1 NOO PURCHASE N 13.025 13.025 38000 37982.62 8/1/2006 7/1/2021 421.1 1103584997 SFR 1 OO PURCHASE N 8.5 8.5 120320 120320 8/1/2006 7/1/2036 852.27 1103584999 TOWNHOUSE 1 OO REFI Y 8.125 8.125 100000 100000 8/1/2006 7/1/2036 677.08 1103585018 SFR 1 OO PURCHASE N 7.75 7.75 203000 202712.52 8/1/2006 7/1/2036 1454.32 1103585069 SFR 1 OO REFI Y 8 8 160000 159784.56 8/1/2006 7/1/2036 1174.03 1103585092 2-4FAMILY 2 OO REFI Y 6.375 6.375 455000 455000 7/1/2006 6/1/2036 2417.19 3900014103 PUD 1 OO PURCHASE N 8 8 219925 205824.94 11/1/2002 10/1/2032 1613.73 1103585021 SFR 1 OO PURCHASE N 7.99 7.99 288000 288000 8/1/2006 7/1/2036 1917.6 1103585037 SFR 1 NOO PURCHASE N 7.75 7.75 350000 350000 8/1/2006 7/1/2036 2260.42 1103585041 SFR 1 OO REFI Y 6.5 6.5 1050000 1050000 8/1/2006 7/1/2036 5687.5 1103585074 SFR 1 OO PURCHASE N 6.5 6.5 538000 536543.66 7/1/2006 6/1/2036 2914.17 1103585075 SFR 1 OO REFI Y 5.999 5.999 280000 280000 7/1/2006 6/1/2036 1399.77 1103585076 SFR 1 OO PURCHASE N 5.999 5.999 307300 307300 7/1/2006 6/1/2036 1536.24 1103585077 SFR 1 OO REFI Y 5.999 5.999 546000 545958.54 6/1/2006 5/1/2036 2729.55 1103585078 SFR 1 NOO REFI Y 5.75 5.75 385000 385000 7/1/2006 6/1/2036 1844.79 1103585079 CONDO 1 NOO REFI Y 5.875 5.875 398943 398943 7/1/2006 6/1/2036 1953.16 1103585080 CONDO 1 NOO REFI Y 5.875 5.875 353449 353449 7/1/2006 6/1/2036 1730.43 1103585081 CONDO 1 NOO REFI Y 5.875 5.875 377460 377460 7/1/2006 6/1/2036 1847.98 1103585082 CONDO 1 NOO REFI Y 5.875 5.875 360448 360448 7/1/2006 6/1/2036 1764.69 1103585083 SFR 1 OO REFI N 6.25 6.25 423500 423500 6/1/2006 5/1/2036 2205.73 1103585084 PUD 1 OO REFI Y 6.375 6.375 735000 735000 7/1/2006 6/1/2036 3904.69 1103585085 CONDO 1 OO PURCHASE N 6.875 6.875 219920 219920 6/1/2006 5/1/2036 1259.96 1103585305 SFR 1 NOO PURCHASE N 9.5 9.5 72000 71928.88 8/1/2006 7/1/2036 605.42 1103585331 2-4FAMILY 4 OO PURCHASE N 12.125 12.125 130000 130000 10/1/2006 9/1/2021 1349.72 1103585335 SFR 1 OO PURCHASE N 12 12 65950 65931.13 9/1/2006 8/1/2021 678.37 1103585086 SFR 1 OO REFI Y 7.25 7.25 576000 576000 7/1/2006 6/1/2036 3480 1103585087 CONDO 1 NOO REFI Y 6.25 6.25 211000 211000 7/1/2006 6/1/2036 1098.96 1103585088 SFR 1 OO PURCHASE N 6.25 6.25 313250 313250 7/1/2006 6/1/2036 1631.51 1103585089 SFR 1 OO REFI Y 5.999 5.999 430000 430000 7/1/2006 6/1/2036 2149.64 1103585090 CONDO 1 OO REFI Y 6 6 402500 402500 7/1/2006 6/1/2036 2012.5 1103585091 SFR 1 OO PURCHASE N 6.5 6.5 660000 660000 7/1/2006 6/1/2036 3575 1103585093 SFR 1 NOO REFI Y 6.375 6.375 450000 450000 7/1/2006 6/1/2036 2390.63 1103585094 SFR 1 NOO REFI Y 6.375 6.375 404000 404000 7/1/2006 6/1/2036 2146.25 1103585095 CONDO 1 OO PURCHASE N 6.375 6.375 318000 318000 7/1/2006 6/1/2036 1689.38 1103585096 SFR 1 OO REFI Y 6.25 6.25 248000 247290.38 7/1/2006 6/1/2036 1526.98 1103585097 SFR 1 OO REFI Y 6.5 6.5 476000 476000 7/1/2006 6/1/2036 2578.33 1103585098 PUD 1 OO PURCHASE N 6.999 6.999 288000 288000 7/1/2006 6/1/2036 1679.76 1103585099 SFR 1 OO REFI Y 6.5 6.5 238000 237900 7/1/2006 6/1/2036 1289.17 1103585153 PUD 1 OO PURCHASE N 7.625 7.625 295100 294100 8/1/2006 7/1/2036 1875.11 1103585178 CONDO 1 2ND PURCHASE N 7 7 300000 300000 8/1/2006 7/1/2036 1750 1103585245 SFR 1 OO REFI Y 11.5 11.5 32500 32479.13 8/1/2006 7/1/2021 321.84 1103585268 SFR 1 NOO REFI Y 7.375 7.375 570000 569566.28 9/1/2006 8/1/2036 3936.85 1103585289 2-4FAMILY 3 OO PURCHASE N 12.875 12.875 104000 103950.8 8/1/2006 7/1/2021 1140.3 1103585238 SFR 1 OO PURCHASE N 8.125 8.125 223920 223920 8/1/2006 7/1/2036 1516.13 1103585276 SFR 1 OO PURCHASE N 9.99 9.99 472400 472400 8/1/2006 7/1/2036 3932.73 1103585288 2-4FAMILY 3 OO PURCHASE N 8.875 8.875 416000 416000 8/1/2006 7/1/2036 3076.67 1103585290 SFR 1 OO PURCHASE N 7.625 7.625 394000 393582.15 8/1/2006 7/1/2036 2503.54 1103585312 SFR 1 NOO PURCHASE N 7.5 7.5 150500 150500 9/1/2006 8/1/2036 940.63 1103585327 2-4FAMILY 4 OO PURCHASE N 8.75 8.75 520000 520000 10/1/2006 9/1/2036 4090.85 1103585377 SFR 1 OO REFI N 9 9 135850 135701.04 8/1/2006 7/1/2036 1093.08 1103585385 HI-RISE 1 2ND PURCHASE N 7.375 7.375 580900 580900 9/1/2006 8/1/2036 3570.11 1103585444 HI-RISE 1 NOO PURCHASE N 6.5 6.5 200000 200000 8/1/2006 7/1/2036 1083.33 1103585463 CONDO 1 OO PURCHASE N 7.875 7.875 212000 212000 7/1/2006 6/1/2036 1391.25 1103585472 2-4FAMILY 2 OO PURCHASE N 8.375 8.375 460300 460300 10/1/2006 9/1/2036 3212.51 1103585530 SFR 1 OO PURCHASE N 7.125 7.125 412500 412500 8/1/2006 7/1/2036 2449.22 1103585539 SFR 1 NOO REFI Y 7 7 378000 378000 8/1/2006 7/1/2036 2205 1103585553 SFR 1 NOO PURCHASE N 7.875 7.875 460000 460000 8/1/2006 7/1/2036 3018.75 1103585561 CONDO 1 NOO REFI N 7.125 7.125 217500 217048.11 8/1/2006 7/1/2036 1465.34 1103585569 SFR 1 OO PURCHASE N 8.5 8.5 456000 456000 8/1/2006 7/1/2036 3230 1103585578 SFR 1 NOO REFI N 7.125 7.125 190000 189695.21 8/1/2006 7/1/2036 1280.07 1103585592 SFR 1 NOO REFI Y 7.875 7.875 225750 225750 8/1/2006 7/1/2036 1481.48 1103585655 SFR 1 OO REFI Y 7.625 7.625 122500 122500 9/1/2006 8/1/2036 778.39 1103585674 SFR 1 OO PURCHASE N 12.85 12.85 52000 51975.27 8/1/2006 7/1/2021 569.13 1103585702 PUD 1 OO PURCHASE N 7.25 7.25 200000 200000 8/1/2006 7/1/2036 1208.33 1103585747 SFR 1 OO REFI Y 6.99 6.99 220500 220136.75 8/1/2006 7/1/2036 1465.51 1103585760 SFR 1 OO REFI Y 6.375 6.375 720000 718662.74 8/1/2006 7/1/2036 4491.86 1103585767 SFR 1 NOO REFI Y 7.375 7.375 132000 132000 8/1/2006 7/1/2036 811.25 1103585772 SFR 1 OO PURCHASE N 7.75 7.75 416250 416250 8/1/2006 7/1/2036 2688.28 1103585773 SFR 1 OO PURCHASE N 12.5 12.5 138750 138678.61 8/1/2006 7/1/2021 1480.82 1103586300 2-4FAMILY 3 OO PURCHASE N 8 8 512000 510962.5 7/1/2006 6/1/2036 3756.87 1103586301 SFR 1 OO PURCHASE N 7.875 7.875 248000 247310.57 6/1/2006 5/1/2036 1798.17 1103586375 SFR 1 OO PURCHASE N 8 8 564000 564000 8/1/2006 7/1/2036 3760 1103585784 CONDO 1 OO PURCHASE N 7.125 7.125 114240 114240 8/1/2006 7/1/2036 678.3 1103585789 2-4FAMILY 2 OO PURCHASE N 8.125 8.125 134800 134711.82 9/1/2006 8/1/2036 1000.89 1103585790 2-4FAMILY 2 OO PURCHASE N 11.875 11.875 33700 33690.09 9/1/2006 8/1/2021 343.4 1103586051 CONDO 1 OO PURCHASE N 8.375 8.375 161242 161242 8/1/2006 7/1/2036 1125.33 1103586133 SFR 1 OO PURCHASE N 12.25 12.25 83901 83901 9/1/2006 8/1/2036 856.49 1103585796 SFR 1 OO PURCHASE N 6.5 6.5 1400000 1400000 10/1/2006 9/1/2036 7583.33 1103585925 HI-RISE 1 OO PURCHASE N 6.875 6.875 252800 252800 8/1/2006 7/1/2036 1448.33 1103585972 SFR 1 OO REFI N 6.5 6.5 227500 227087.57 8/1/2006 7/1/2036 1437.95 1103585979 2-4FAMILY 4 OO PURCHASE N 7.875 7.875 423750 423750 8/1/2006 7/1/2036 2780.86 1103585980 SFR 1 OO PURCHASE N 5.875 5.875 308000 308000 8/1/2006 7/1/2036 1507.92 1103586010 SFR 1 OO PURCHASE N 6.875 6.875 310000 310000 8/1/2006 7/1/2036 1776.04 1103586012 SFR 1 NOO PURCHASE N 8.375 8.375 543200 543200 8/1/2006 7/1/2036 3791.08 1103586015 SFR 1 NOO PURCHASE N 7.99 7.99 140000 140000 8/1/2006 7/1/2036 932.17 1103586020 HI-RISE 1 NOO PURCHASE N 6.75 6.75 478400 478400 8/1/2006 7/1/2036 2691 1103586039 SFR 1 NOO PURCHASE N 7.5 7.5 156000 155767.74 8/1/2006 7/1/2036 1090.77 1103586073 2-4FAMILY 3 OO PURCHASE N 7.875 7.875 352000 351990 8/1/2006 7/1/2036 2310 1103586239 SFR 1 2ND PURCHASE N 8.75 8.75 202800 202565.79 7/27/2006 6/27/2036 1595.43 1103586246 SFR 1 2ND PURCHASE N 11.525 11.525 38025 37998.4 7/27/2006 6/27/2021 377.29 1103586104 SFR 1 OO REFI Y 7.125 7.125 170000 169727.31 8/1/2006 7/1/2036 1145.32 1103586126 SFR 1 OO REFI Y 8.875 8.875 125000 124859.32 8/1/2006 7/1/2036 994.56 1103586601 SFR 1 NOO REFI Y 7.75 7.75 140000 139701.65 7/1/2006 6/1/2036 1002.98 1103586611 SFR 1 NOO REFI Y 8 8 144000 143708.21 7/1/2006 6/1/2036 1056.62 1103586656 SFR 1 OO PURCHASE N 7.75 7.75 234040 234040 10/1/2006 9/1/2036 1511.51 1103586144 2-4FAMILY 2 OO REFI Y 7 7 125000 125000 8/1/2006 7/1/2036 729.17 1103586199 SFR 1 OO REFI Y 6.75 6.75 243500 243500 8/1/2006 7/1/2036 1369.69 1103586213 PUD 1 NOO REFI Y 7.25 7.25 320000 320000 8/1/2006 7/1/2036 1933.33 1103586225 SFR 1 OO REFI N 6.75 6.75 388000 388000 8/1/2006 7/1/2036 2182.5 1103586230 PUD 1 NOO PURCHASE N 7 7 116161 116161 8/1/2006 7/1/2036 677.61 1103586235 SFR 1 OO REFI N 6.5 6.5 205000 205000 8/1/2006 7/1/2036 1110.42 1103586291 SFR 1 OO REFI Y 6.625 6.625 492000 492000 8/1/2006 7/1/2036 2716.25 1103586296 SFR 1 NOO REFI Y 8.5 8.5 89600 89600 8/1/2006 7/1/2036 634.67 1103586302 CONDO 1 NOO REFI Y 6.625 6.625 200000 199467.71 7/1/2006 6/1/2036 1280.62 1103586303 SFR 1 2ND PURCHASE N 6.625 6.625 127900 127231.9 7/1/2006 6/1/2036 818.96 1103586304 SFR 1 OO PURCHASE N 7.75 7.75 208000 208000 7/1/2006 6/1/2036 1343.33 1103586320 SFR 1 NOO PURCHASE N 7.5 7.5 168000 168000 9/1/2006 8/1/2036 1050 1103586366 SFR 1 OO REFI N 6.75 6.75 482800 482800 8/1/2006 7/1/2036 2715.75 1103586432 SFR 1 OO PURCHASE N 8.375 8.375 1425000 1425000 10/1/2006 9/1/2036 9945.31 1103586441 HI-RISE 1 NOO PURCHASE N 9.875 9.875 183200 183200 9/1/2006 8/1/2036 1507.58 1103586442 HI-RISE 1 NOO PURCHASE N 13.625 13.625 34350 34343.19 9/1/2006 8/1/2021 396.83 1103586571 CONDO 1 OO REFI Y 6.375 6.375 423500 422713.42 8/1/2006 7/1/2036 2642.09 1103586594 CONDO 1 OO PURCHASE N 8.25 8.25 268000 267311.74 7/1/2006 6/1/2036 2013.39 1103586455 SFR 1 OO PURCHASE N 6.875 6.875 336750 336182.56 8/1/2006 7/1/2036 2212.21 1103586516 HI-RISE 1 NOO PURCHASE N 7.25 7.25 208750 208423.33 8/1/2006 7/1/2036 1424.04 1103586542 SFR 1 NOO REFI Y 8.5 8.5 120000 120000 8/1/2006 7/1/2036 850 1103586561 SFR 1 OO PURCHASE N 7.125 7.125 232000 232000 9/1/2006 8/1/2036 1377.5 1103586581 SFR 1 OO REFI Y 7.125 7.125 357000 356736.6 8/1/2006 7/1/2036 2251 1103586588 CONDO 1 2ND PURCHASE N 6.875 6.875 275200 275200 7/1/2006 6/1/2036 1576.67 1103586589 CONDO 1 OO PURCHASE N 8.625 8.625 394250 394250 7/1/2006 6/1/2036 2833.67 1103586590 PUD 1 OO PURCHASE N 7 7 153000 152621.57 7/1/2006 6/1/2036 1017.91 1103586591 2-4FAMILY 2 NOO PURCHASE N 7.75 7.75 221400 221399.95 7/1/2006 6/1/2036 1429.88 1103586592 2-4FAMILY 2 NOO PURCHASE N 7.375 7.375 214400 213742.4 7/1/2006 6/1/2036 1480.81 1103586593 SFR 1 OO PURCHASE N 8.1 8.1 292000 291420.16 7/1/2006 6/1/2036 2162.98 1103586595 CONDO 1 OO PURCHASE N 7 7 1000000 1000000 7/1/2006 6/1/2036 5833.33 1103586596 PUD 1 2ND PURCHASE N 6.75 6.75 256700 256700 7/1/2006 6/1/2036 1443.94 1103586598 HI-RISE 1 2ND PURCHASE N 7.25 7.25 240000 239245.45 7/1/2006 6/1/2036 1637.22 1103586599 CONDO 1 OO PURCHASE N 6.75 6.75 189000 189000 7/1/2006 6/1/2036 1063.13 1103586600 CONDO 1 OO PURCHASE N 7 7 456000 456000 6/1/2006 5/1/2036 2660 1103586602 SFR 1 NOO REFI Y 7.5 7.5 148000 147668.41 7/1/2006 6/1/2036 1034.84 1103586603 2-4FAMILY 3 NOO PURCHASE N 7.75 7.75 85680 85436.56 7/1/2006 6/1/2036 613.82 1103586604 2-4FAMILY 2 NOO REFI Y 7.75 7.75 93750 93483.6 7/1/2006 6/1/2036 671.64 1103586605 2-4FAMILY 2 OO PURCHASE N 6.875 6.875 376000 376000 7/1/2006 6/1/2036 2154.17 1103586607 SFR 1 2ND REFI Y 7.25 7.25 440000 439738.91 7/1/2006 6/1/2036 2658.33 1103586608 CONDO 1 OO PURCHASE N 7.375 7.375 125600 125206.76 7/1/2006 6/1/2036 867.49 1103586610 SFR 1 OO REFI Y 6.75 6.75 152600 152600 7/1/2006 6/1/2036 858.38 1103586612 SFR 1 NOO PURCHASE N 7 7 143616 143616 7/1/2006 6/1/2036 837.76 1103586614 SFR 1 OO PURCHASE N 6.5 6.5 250000 250000 7/1/2006 6/1/2036 1354.17 1103586615 CONDO 1 OO PURCHASE N 7.5 7.5 239900 239362.52 7/1/2006 6/1/2036 1677.42 1103586711 SFR 1 OO REFI Y 11.45 11.45 23000 22992.57 9/1/2006 8/1/2021 226.89 1103587214 SFR 1 OO REFI Y 6.625 6.625 232700 232700 7/1/2006 6/1/2036 1284.7 1103587586 SFR 1 OO PURCHASE N 8 8 220000 220000 7/1/2006 6/1/2036 1466.67 1103586616 PUD 1 OO REFI Y 6.875 6.875 256000 256000 6/1/2006 5/1/2036 1466.67 1103586617 PUD 1 OO PURCHASE N 6.625 6.625 287840 287840 6/1/2006 5/1/2036 1589.12 1103587587 SFR 1 OO PURCHASE N 8 8 232000 232000 7/1/2006 6/1/2036 1546.67 1103587595 SFR 1 OO PURCHASE N 7.75 7.75 279200 279200 7/1/2006 6/1/2036 1803.17 1103586618 SFR 1 OO REFI Y 7.625 7.625 228500 228000.7 7/1/2006 6/1/2036 1617.31 1103586620 PUD 1 NOO REFI Y 9.375 9.375 170000 170000 7/1/2006 6/1/2036 1328.13 1103586621 SFR 1 OO PURCHASE N 7.125 7.125 103824 103824 7/1/2006 6/1/2036 616.46 1103586659 CONDO 1 OO PURCHASE N 7.875 7.875 152000 152000 8/1/2006 7/1/2036 997.5 1103586672 2-4FAMILY 3 OO PURCHASE N 8.99 8.99 231700 231573.18 9/1/2006 8/1/2036 1862.64 1103586684 SFR 1 OO PURCHASE N 7.5 7.5 405000 405000 8/1/2006 7/1/2036 2531.25 1103586699 SFR 1 OO REFI Y 6.875 6.875 224000 223883.33 8/1/2006 7/1/2036 1283.33 1103586716 SFR 1 OO REFI Y 6.875 6.875 127000 126187.56 8/1/2006 7/1/2021 1132.66 1103586731 SFR 1 OO PURCHASE N 7.125 7.125 200000 200000 8/1/2006 7/1/2036 1187.5 1103586740 SFR 1 OO REFI Y 8.375 8.375 476000 476000 8/1/2006 7/1/2036 3322.08 1103586797 CONDO 1 OO PURCHASE N 6.375 6.375 504000 504000 8/1/2006 7/1/2036 2677.5 1103586799 PUD 1 OO PURCHASE N 7 7 456000 456000 8/1/2006 7/1/2036 2660 1103586834 PUD 1 OO PURCHASE N 7.25 7.25 511900 511900 8/1/2006 7/1/2036 3092.73 1103586840 SFR 1 OO PURCHASE N 7.375 7.375 368000 368000 8/1/2006 7/1/2036 2261.67 1103586881 SFR 1 OO PURCHASE N 7.875 7.875 248000 248000 8/1/2006 7/1/2036 1627.5 1103586883 SFR 1 OO PURCHASE N 8.125 8.125 192000 192000 8/1/2006 7/1/2036 1300 1103586889 SFR 1 2ND REFI Y 6.625 6.625 721000 721000 8/1/2006 7/1/2036 3980.52 1103586894 SFR 1 OO REFI Y 12.375 12.375 33200 33191.27 9/1/2006 8/1/2021 351.11 1103586899 CONDO 1 OO REFI N 6.93 6.93 645000 645000 8/1/2006 7/1/2036 3724.88 1103586900 CONDO 1 OO REFI N 11.17 11.17 86000 85940.64 8/1/2006 7/1/2021 830.06 1103586915 SFR 1 OO REFI Y 7.75 7.75 575000 575000 9/1/2006 8/1/2036 3713.54 1103586916 SFR 1 OO REFI Y 11.75 11.75 160000 159951.61 9/1/2006 8/1/2021 1615.06 1103586946 HI-RISE 1 2ND PURCHASE N 6.875 6.875 315000 314469.2 8/1/2006 7/1/2036 2069.33 1103586972 SFR 1 OO PURCHASE N 7.5 7.5 450000 450000 8/1/2006 7/1/2036 2812.5 1103586985 SFR 1 OO REFI Y 6.625 6.625 500000 499999.98 8/1/2006 7/1/2036 2760.42 1103586997 CONDO 1 2ND PURCHASE N 8.875 8.875 135192 135192 6/1/2006 5/1/2036 999.86 1103587010 2-4FAMILY 2 NOO PURCHASE N 8.625 8.625 206400 206278.14 9/1/2006 8/1/2036 1605.36 1103587011 2-4FAMILY 2 NOO PURCHASE N 12.275 12.275 38700 38689.58 9/1/2006 8/1/2021 406.29 1103587034 SFR 1 NOO REFI Y 7.625 7.625 188000 187727 8/1/2006 7/1/2036 1330.65 1103587077 SFR 1 OO PURCHASE N 7.75 7.75 388000 388000 7/1/2006 6/1/2036 2505.83 1103587206 SFR 1 OO PURCHASE N 6.5 6.5 464000 464000 7/1/2006 6/1/2036 2513.33 1103587210 SFR 1 NOO PURCHASE N 7.375 7.375 83600 83408 7/1/2006 6/1/2036 577.4 1103587054 SFR 1 OO PURCHASE N 6.75 6.75 252800 252800 8/1/2006 7/1/2036 1422 1103587058 PUD 1 NOO REFI Y 7.875 7.875 175000 175000 8/1/2006 7/1/2036 1148.44 1103587078 2-4FAMILY 2 OO PURCHASE N 7.5 7.5 612000 612000 7/1/2006 6/1/2036 3825 1103587079 PUD 1 OO PURCHASE N 7.5 7.5 840000 840000 7/1/2006 6/1/2036 5250 1103587080 SFR 1 OO PURCHASE N 6.875 6.875 154800 154799.2 8/1/2006 7/1/2036 886.88 1103587081 CONDO 1 OO PURCHASE N 5.75 5.75 385650 385650 8/1/2006 7/1/2036 1847.91 1103587082 SFR 1 OO PURCHASE N 6.375 6.375 99400 99400 5/1/2006 4/1/2036 528.06 1103587083 PUD 1 OO REFI Y 7 7 258800 258800 7/1/2006 6/1/2036 1509.67 1103587084 SFR 1 OO PURCHASE N 7.375 7.375 234400 234400 7/1/2006 6/1/2036 1440.58 1103587086 PUD 1 OO PURCHASE N 6.99 6.99 340000 340000 8/1/2006 7/1/2036 1980.5 1103587087 PUD 1 OO PURCHASE N 7.25 7.25 259600 259600 7/1/2006 6/1/2036 1568.42 1103587088 PUD 1 OO PURCHASE N 6.75 6.75 172000 172000 7/1/2006 6/1/2036 967.5 1103587089 SFR 1 OO PURCHASE N 7.125 7.125 400000 400000 7/1/2006 6/1/2036 2375 1103587090 SFR 1 OO PURCHASE N 6.5 6.5 141600 141600 7/1/2006 6/1/2036 767 1103587091 SFR 1 OO REFI N 7 7 408000 408000 7/1/2006 6/1/2036 2380 1103587092 PUD 1 OO PURCHASE N 6.625 6.625 110650 110650 7/1/2006 6/1/2036 610.88 1103587093 SFR 1 OO REFI N 7 7 332000 332000 7/1/2006 6/1/2036 1936.67 1103587094 SFR 1 OO REFI N 6.875 6.875 415200 414500.36 8/1/2006 7/1/2036 2727.57 1103587095 SFR 1 OO PURCHASE N 6.875 6.875 122150 122150 7/1/2006 6/1/2036 699.82 1103587096 SFR 1 OO PURCHASE N 7 7 512000 512000 7/1/2006 6/1/2036 2986.67 1103587097 SFR 1 OO REFI N 6.875 6.875 332000 332000 7/1/2006 6/1/2036 1902.08 1103587098 SFR 1 OO PURCHASE N 7 7 180000 179704.06 8/1/2006 7/1/2036 1197.54 1103587134 PUD 1 OO PURCHASE N 7.375 7.375 335000 334488.62 8/1/2006 7/1/2036 2313.76 1103587148 TOWNHOUSE 1 OO PURCHASE N 7.5 7.5 208000 208000 8/1/2006 7/1/2036 1300 1103587176 SFR 1 OO REFI Y 7.5 7.5 620000 620000 7/1/2006 6/1/2036 3875 1103587177 SFR 1 OO PURCHASE N 7 7 201000 201000 6/1/2006 5/1/2036 1172.5 1103587178 SFR 1 2ND PURCHASE N 6.875 6.875 260000 260000 7/1/2006 6/1/2036 1489.58 1103587179 SFR 1 OO PURCHASE N 6.25 6.25 488000 486603.66 7/1/2006 6/1/2036 3004.7 1103587180 SFR 1 OO PURCHASE N 6.625 6.625 279900 279900 7/1/2006 6/1/2036 1545.28 1103587181 SFR 1 OO PURCHASE N 6.375 6.375 193100 193100 7/1/2006 6/1/2036 1025.84 1103587182 CONDO 1 OO PURCHASE N 6.875 6.875 412000 412000 7/1/2006 6/1/2036 2360.42 1103587183 SFR 1 OO PURCHASE N 8.125 8.125 244000 244000 7/1/2006 6/1/2036 1652.08 1103587184 SFR 1 NOO REFI Y 7.5 7.5 230400 230400 7/1/2006 6/1/2036 1440 1103587185 SFR 1 OO PURCHASE N 6.875 6.875 169600 169170.1 7/1/2006 6/1/2036 1114.15 1103587186 SFR 1 OO PURCHASE N 6.75 6.75 335200 335200 7/1/2006 6/1/2036 1885.5 1103587187 SFR 1 OO PURCHASE N 6.25 6.25 209000 209000 7/1/2006 6/1/2036 1088.54 1103587188 CONDO 1 OO PURCHASE N 6.5 6.5 336000 336000 7/1/2006 6/1/2036 1820 1103587189 SFR 1 OO PURCHASE N 7 7 308000 308000 7/1/2006 6/1/2036 1796.67 1103587190 SFR 1 OO PURCHASE N 7.25 7.25 195200 195200 7/1/2006 6/1/2036 1179.33 1103587191 CONDO 1 NOO PURCHASE N 8.125 8.125 203600 203600 7/1/2006 6/1/2036 1378.54 1103587192 SFR 1 OO PURCHASE N 7.5 7.5 171900 171900 7/1/2006 6/1/2036 1074.38 1103587193 SFR 1 OO PURCHASE N 7.125 7.125 750000 750000 7/1/2006 6/1/2036 4453.12 1103587194 SFR 1 2ND REFI N 6.75 6.75 158500 158088.28 7/1/2006 6/1/2036 1028.03 1103587195 SFR 1 OO PURCHASE N 7.375 7.375 302800 302800 8/1/2006 7/1/2036 1860.96 1103587196 SFR 1 NOO REFI Y 6.125 6.125 268000 268000 7/1/2006 6/1/2036 1367.92 1103587197 CONDO 1 OO PURCHASE N 7.75 7.75 327200 327200 7/1/2006 6/1/2036 2113.17 1103587198 SFR 1 NOO PURCHASE N 7.5 7.5 94000 93998.89 8/1/2006 7/1/2036 587.5 1103587199 SFR 1 NOO PURCHASE N 7.375 7.375 141000 141000 8/1/2006 7/1/2036 866.56 1103587200 SFR 1 OO PURCHASE N 7.375 7.375 192000 192000 8/1/2006 7/1/2036 1180 1103587202 SFR 1 OO REFI Y 7 7 270000 270000 7/1/2006 6/1/2036 1575 1103587203 SFR 1 NOO PURCHASE N 7.625 7.625 270000 270000 7/1/2006 6/1/2036 1715.63 1103587204 CONDO 1 OO PURCHASE N 7.75 7.75 464000 464000 7/1/2006 6/1/2036 2996.67 1103587205 SFR 1 NOO PURCHASE N 7 7 126300 126300 7/1/2006 6/1/2036 736.75 1103587207 SFR 1 OO REFI Y 7.25 7.25 191100 191100 7/1/2006 6/1/2036 1154.56 1103587209 SFR 1 OO REFI Y 7.25 7.25 300000 299293.66 7/1/2006 6/1/2036 2046.53 1103587211 SFR 1 2ND PURCHASE N 6.875 6.875 91100 90869.09 7/1/2006 6/1/2036 598.46 1103587215 SFR 1 OO PURCHASE N 7 7 526500 524758.55 6/1/2006 5/1/2036 3502.82 1103587220 PUD 1 OO REFI Y 8.99 8.99 481500 481500 8/1/2006 7/1/2036 3607.24 1103587245 CONDO 1 OO PURCHASE N 7 7 213150 213150 9/1/2006 8/1/2036 1243.38 1103587248 PUD 1 2ND REFI Y 8.625 8.625 196000 196000 9/1/2006 8/1/2036 1408.75 1103587260 SFR 1 NOO PURCHASE N 7.125 7.125 107100 107100 8/1/2006 7/1/2036 635.91 1103587270 2-4FAMILY 2 NOO REFI Y 8.375 8.375 204750 204750 8/1/2006 7/1/2036 1428.98 1103587301 PUD 1 OO PURCHASE N 8.25 8.25 280000 280000 9/1/2006 8/1/2036 1925 1103587315 PUD 1 OO PURCHASE N 13.225 13.225 120000 119973.92 9/1/2006 8/1/2021 1348.58 1103587322 SFR 1 OO PURCHASE N 7.495 7.495 275600 275600 9/1/2006 8/1/2036 1721.35 1103587329 SFR 1 OO REFI N 6.625 6.625 408750 408750 8/1/2006 7/1/2036 2256.64 1103587333 2-4FAMILY 2 NOO PURCHASE N 7.5 7.5 429100 428461.1 8/1/2006 7/1/2036 3000.33 1103587336 PUD 1 OO PURCHASE N 7.375 7.375 206500 206500 8/1/2006 7/1/2036 1269.11 1103587352 SFR 1 NOO PURCHASE N 8.5 8.5 204000 204000 8/1/2006 7/1/2036 1445 1103587353 SFR 1 NOO PURCHASE N 12.4 12.4 25500 25486.57 8/1/2006 7/1/2021 270.18 1103587356 PUD 1 2ND PURCHASE N 8.5 8.5 111800 111664.06 8/1/2006 7/1/2036 859.65 1103587404 2-4FAMILY 4 NOO PURCHASE N 10.25 10.25 109600 109507.68 8/1/2006 7/1/2036 982.13 1103587431 2-4FAMILY 4 NOO PURCHASE N 10.25 10.25 109600 109507.68 8/1/2006 7/1/2036 982.13 1103587437 HI-RISE 1 2ND REFI Y 7.75 7.75 232400 232400 9/1/2006 8/1/2036 1500.92 1103587464 2-4FAMILY 2 OO REFI Y 6.5 6.5 371000 371000 8/1/2006 7/1/2036 2009.58 1103587468 SFR 1 NOO PURCHASE N 7.5 7.5 139650 139650 9/1/2006 8/1/2036 872.81 1103587469 SFR 1 NOO PURCHASE N 11.875 11.875 49875 49860.32 9/1/2006 8/1/2036 508.23 1103587487 SFR 1 OO REFI Y 7.905 7.905 350000 350000 8/1/2006 7/1/2036 2305.63 1103587476 SFR 1 NOO REFI Y 6.625 6.625 220000 220000 8/1/2006 7/1/2036 1214.58 1103587489 SFR 1 OO REFI Y 7.4 7.4 146000 146000 8/1/2006 7/1/2036 900.33 1103587507 CONDO 1 OO PURCHASE N 6.875 6.875 304800 304800 8/1/2006 7/1/2036 1746.25 1103587510 SFR 1 NOO REFI Y 8.011 8.011 215000 214711.16 8/1/2006 7/1/2036 1579.24 1103587517 SFR 1 NOO PURCHASE N 13.225 13.225 42250 42231.52 8/1/2006 7/1/2021 474.82 1103587538 SFR 1 OO REFI Y 7 7 440050 440049.19 8/1/2006 7/1/2036 2566.96 1103587555 TOWNHOUSE 1 OO PURCHASE N 7.5 7.5 227900 227900 7/1/2006 6/1/2036 1424.38 1103587559 SFR 1 OO PURCHASE N 6.875 6.875 114800 114800 7/1/2006 6/1/2036 657.71 1103587560 SFR 1 OO PURCHASE N 8 8 179300 179300 7/1/2006 6/1/2036 1195.33 1103587563 PUD 1 OO PURCHASE N 7.75 7.75 584800 584800 7/1/2006 6/1/2036 3776.83 1103587564 SFR 1 OO PURCHASE N 7.75 7.75 281600 281600 7/1/2006 6/1/2036 1818.67 1103587566 SFR 1 OO REFI N 7.875 7.875 240000 240000 7/1/2006 6/1/2036 1575 1103587569 SFR 1 OO PURCHASE N 7.75 7.75 304000 304000 7/1/2006 6/1/2036 1963.33 1103587570 PUD 1 OO REFI Y 7 7 392000 392000 7/1/2006 6/1/2036 2286.67 1103587571 PUD 1 2ND PURCHASE N 7.5 7.5 300950 300950 7/1/2006 6/1/2036 1880.94 1103587572 2-4FAMILY 4 NOO PURCHASE N 9.75 9.75 94000 93911.92 8/1/2006 7/1/2036 807.61 1103587574 CONDO 1 OO PURCHASE N 7 7 219600 219056.84 7/1/2006 6/1/2036 1461 1103587579 TOWNHOUSE 1 OO PURCHASE N 7.75 7.75 327900 327900 7/1/2006 6/1/2036 2117.69 1103587580 SFR 1 OO PURCHASE N 7.75 7.75 245600 245600 7/1/2006 6/1/2036 1586.17 1103587582 SFR 1 OO PURCHASE N 8.375 8.375 218300 218300 7/1/2006 6/1/2036 1523.55 1103587583 SFR 1 OO PURCHASE N 6.5 6.5 239200 239200 7/1/2006 6/1/2036 1295.67 1103587584 SFR 1 OO PURCHASE N 7.375 7.375 228000 228000 7/1/2006 6/1/2036 1401.25 1103587585 TOWNHOUSE 1 OO PURCHASE N 8.25 8.25 198400 198400 7/1/2006 6/1/2036 1364 1103587588 SFR 1 OO PURCHASE N 7.375 7.375 289600 289600 7/1/2006 6/1/2036 1779.83 1103587590 SFR 1 OO PURCHASE N 7.25 7.25 207200 207200 7/1/2006 6/1/2036 1251.83 1103587591 TOWNHOUSE 1 OO REFI Y 7.75 7.75 180000 179616.41 7/1/2006 6/1/2036 1289.54 1103587592 SFR 1 OO PURCHASE N 7.375 7.375 176000 176000 7/1/2006 6/1/2036 1081.67 1103587593 PUD 1 OO PURCHASE N 7 7 174400 173968.62 7/1/2006 6/1/2036 1160.29 1103587594 PUD 1 OO PURCHASE N 7.875 7.875 499900 498861.13 7/1/2006 6/1/2036 3624.62 1103587597 SFR 1 OO PURCHASE N 7.25 7.25 420000 420000 7/1/2006 6/1/2036 2537.5 1103587599 SFR 1 OO PURCHASE N 6.875 6.875 100000 100000 7/1/2006 6/1/2036 572.92 1103587601 SFR 1 OO PURCHASE N 8.425 8.425 280000 279000 6/1/2006 5/1/2036 1965.83 1103587602 PUD 1 OO REFI N 7.65 7.65 96000 95791.29 7/1/2006 6/1/2036 681.13 1103587603 PUD 1 OO REFI Y 7.75 7.75 418000 417109.22 7/1/2006 6/1/2036 2994.6 1103587606 SFR 1 OO REFI Y 6 6 370000 369439.84 7/1/2006 6/1/2036 2035.79 1103587607 SFR 1 NOO PURCHASE N 9.375 9.375 75800 75684.26 7/1/2006 6/1/2036 630.47 1103587608 TOWNHOUSE 1 OO REFI Y 7.875 7.875 128000 127531.36 7/1/2006 6/1/2036 928.09 1103587609 SFR 1 OO REFI Y 7.375 7.375 72000 71336.42 7/1/2006 6/1/2021 662.34 1103587612 SFR 1 OO PURCHASE N 7.15 7.15 204000 204000 7/1/2006 6/1/2036 1215.5 1103587613 PUD 1 OO PURCHASE N 6.6 6.6 492000 492000 7/1/2006 6/1/2036 2706 1103587614 SFR 1 OO PURCHASE N 7.65 7.65 484050 484050 6/1/2006 5/1/2036 3085.82 1103587615 CONDO 1 OO PURCHASE N 8 8 811284 811284 7/1/2006 6/1/2036 5408.56 1103587616 SFR 1 OO PURCHASE N 7.15 7.15 169600 169055.33 6/1/2006 5/1/2036 1145.49 1103587617 SFR 1 OO REFI Y 7.05 7.05 150000 149632.6 7/1/2006 6/1/2036 1003 1103587618 HI-RISE 1 OO PURCHASE N 7.85 7.85 396000 395172.88 7/1/2006 6/1/2036 2864.41 1103587619 SFR 1 NOO PURCHASE N 8.4 8.4 173600 173600 7/1/2006 6/1/2036 1215.2 1103587620 SFR 1 OO PURCHASE N 7.175 7.175 495950 494764.87 7/1/2006 6/1/2036 3358.06 1103587621 PUD 1 OO PURCHASE N 7.925 7.925 533300 533300 7/1/2006 6/1/2036 3522 1103587639 SFR 1 OO PURCHASE N 11.5 11.5 81000 80947.97 8/1/2006 7/1/2021 802.14 1103587795 PUD 1 NOO PURCHASE N 12.5 12.5 70250 70213.85 8/1/2006 7/1/2021 749.75 1103587798 2-4FAMILY 3 NOO REFI N 8.5 8.5 402500 402256.16 9/1/2006 8/1/2036 3094.88 1103587622 SFR 1 OO PURCHASE N 7.25 7.25 180000 180000 7/1/2006 6/1/2036 1087.5 1103587623 SFR 1 OO PURCHASE N 6.85 6.85 452000 452000 7/1/2006 6/1/2036 2580.17 1103587624 SFR 1 OO PURCHASE N 6.75 6.75 286000 286000 7/1/2006 6/1/2036 1608.75 1103587625 SFR 1 OO PURCHASE N 7.95 7.95 215250 215250 7/1/2006 6/1/2036 1426.03 1103587626 SFR 1 OO PURCHASE N 8.1 8.1 152000 151698.16 7/1/2006 6/1/2036 1125.94 1103587627 SFR 1 OO PURCHASE N 7.025 7.025 180000 180000 7/1/2006 6/1/2036 1053.75 1103587628 SFR 1 OO PURCHASE N 7.6 7.6 648000 648000 7/1/2006 6/1/2036 4104 1103587629 SFR 1 OO PURCHASE N 6.8 6.8 239960 239960 7/1/2006 6/1/2036 1359.77 1103587630 SFR 1 OO REFI Y 7.5 7.5 272000 271390.63 7/1/2006 6/1/2036 1901.86 1103587631 SFR 1 NOO REFI Y 8.55 8.55 420000 420000 7/1/2006 6/1/2036 2992.5 1103587632 SFR 1 OO REFI Y 7.95 7.95 261600 261600 7/1/2006 6/1/2036 1733.1 1103587633 SFR 1 OO REFI Y 7.6 7.6 232000 232000 7/1/2006 6/1/2036 1469.33 1103587634 SFR 1 OO PURCHASE N 7.325 7.325 540000 540000 7/1/2006 6/1/2036 3296.25 1103587635 SFR 1 OO PURCHASE N 6.95 6.95 333600 333600 7/1/2006 6/1/2036 1932.1 1103587637 SFR 1 OO PURCHASE N 8 8 324000 324000 8/1/2006 7/1/2036 2160 1103587863 CONDO 1 OO REFI Y 7.75 7.75 235000 234800 9/1/2006 8/1/2036 1517.71 1103587890 2-4FAMILY 2 NOO PURCHASE N 13.375 13.375 31500 31500 10/1/2006 9/1/2021 357.71 1103587650 SFR 1 OO REFI Y 6.5 6.5 525000 525000 8/1/2006 7/1/2036 2843.75 1103587661 PUD 1 2ND PURCHASE N 8.75 8.75 176350 176350 8/1/2006 7/1/2036 1285.89 1103587726 SFR 1 OO PURCHASE N 6.875 6.875 448000 448000 8/1/2006 7/1/2036 2566.67 1103587781 SFR 1 OO REFI N 6 6 268200 268180 8/1/2006 7/1/2036 1341 1103587792 SFR 1 OO REFI Y 6.125 6.125 431250 431250 8/1/2006 7/1/2036 2201.17 1103587794 PUD 1 NOO PURCHASE N 7.125 7.125 196700 196700 8/1/2006 7/1/2036 1167.91 1103587797 SFR 1 OO PURCHASE N 6.75 6.75 372000 372000 10/1/2006 9/1/2036 2092.5 1103587829 CONDO 1 2ND PURCHASE N 7.25 7.25 125930 125930 9/1/2006 8/1/2036 760.83 1103587853 2-4FAMILY 2 NOO PURCHASE N 7.875 7.875 207200 207200 8/1/2006 7/1/2036 1359.75 1103587870 SFR 1 OO PURCHASE N 9.5 9.5 184491 184491 9/1/2006 8/1/2036 1460.55 1103587884 CONDO 1 2ND PURCHASE N 7.75 7.75 196950 196950 9/1/2006 8/1/2036 1271.97 1103587886 2-4FAMILY 2 NOO PURCHASE N 9.125 9.125 168000 168000 10/1/2006 9/1/2036 1277.5 1103587887 SFR 1 OO REFI N 7.9 7.9 219000 218699.11 8/1/2006 7/1/2036 1591.7 1103587899 PUD 1 OO REFI Y 7 7 335000 335000 8/1/2006 7/1/2036 1954.17 1103587907 CONDO 1 OO PURCHASE N 7.88 7.88 162720 162720 9/1/2006 8/1/2036 1068.53 1103587911 SFR 1 2ND PURCHASE N 8.125 8.125 374500 374500 8/1/2006 7/1/2036 2535.68 1103587917 SFR 1 OO REFI N 12.75 12.75 35350 35341.44 9/1/2006 8/1/2021 384.15 1103587926 CONDO 1 2ND PURCHASE N 8.5 8.5 103425 103425 10/1/2006 9/1/2036 732.59 1103587999 HI-RISE 1 NOO REFI Y 7 7 191750 191750 9/1/2006 8/1/2036 1118.54 1103588004 SFR 1 OO PURCHASE N 7.125 7.125 276800 276048.01 9/1/2006 8/1/2036 1643.5 1103588015 PUD 1 OO REFI N 6.875 6.875 236000 236000 8/1/2006 7/1/2036 1352.08 1103588019 CONDO 1 OO PURCHASE N 7.5 7.5 296000 296000 9/1/2006 8/1/2036 1850 1103588046 SFR 1 OO REFI Y 7.75 7.75 300000 299360.67 7/1/2006 6/1/2036 2149.24 1103588051 SFR 1 NOO PURCHASE N 8.25 8.25 392000 392000 9/1/2006 8/1/2036 2695 1103588090 SFR 1 2ND PURCHASE N 8 8 213500 213500 8/1/2006 7/1/2036 1423.33 1103588094 CONDO 1 2ND PURCHASE N 12.375 12.375 44975 44963.16 9/1/2006 8/1/2021 475.64 1103588102 SFR 1 OO PURCHASE N 7.6 7.6 465500 465500 8/1/2006 7/1/2036 2948.17 1103588107 PUD 1 OO REFI Y 7 7 382500 382500 9/1/2006 8/1/2036 2231.25 1103588114 SFR 1 OO PURCHASE N 6.625 6.625 375920 375920 8/1/2006 7/1/2036 2075.39 1103588127 PUD 1 OO REFI N 7.875 7.875 975000 975000 9/1/2006 8/1/2036 6398.44 1103588128 2-4FAMILY 2 OO REFI Y 8.625 8.625 618750 618750 8/1/2006 7/1/2036 4447.27 1103588138 CONDO 1 OO PURCHASE N 8.5 8.5 225600 225583.22 8/1/2006 7/1/2036 1598 1103588142 SFR 1 NOO REFI Y 7.625 7.625 130200 130200 9/1/2006 8/1/2036 827.31 1103588183 SFR 1 OO PURCHASE N 7.75 7.75 124000 123912.48 9/1/2006 8/1/2036 888.35 1103588135 CONDO 1 OO REFI Y 6.375 6.375 140000 140000 9/1/2006 8/1/2036 743.75 1103588143 SFR 1 2ND PURCHASE N 7.5 7.5 111200 111200 8/1/2006 7/1/2036 695 1103588192 2-4FAMILY 2 NOO REFI N 7.375 7.375 250500 250500 9/1/2006 8/1/2036 1539.53 1103588210 PUD 1 OO PURCHASE N 6.875 6.875 224000 224000 8/1/2006 7/1/2036 1283.33 1103588270 SFR 1 NOO PURCHASE N 8.125 8.125 92100 92100 9/1/2006 8/1/2036 623.59 1103588315 PUD 1 OO PURCHASE N 8.39 8.39 448000 448000 8/1/2006 7/1/2036 3132.27 1103588350 PUD 1 OO PURCHASE N 6.875 6.875 237600 237600 8/1/2006 7/1/2036 1361.25 1103588352 PUD 1 OO REFI Y 7.625 7.625 511000 510900 8/1/2006 7/1/2036 3246.98 1103588355 SFR 1 OO PURCHASE N 7.375 7.375 687200 687200 8/1/2006 7/1/2036 4223.42 1103588356 SFR 1 NOO REFI N 6.5 6.5 176000 176000 8/1/2006 7/1/2036 953.33 1103588357 SFR 1 OO REFI Y 7 7 223000 223000 8/1/2006 7/1/2036 1300.83 1103588358 SFR 1 OO PURCHASE N 7.75 7.75 638400 638400 8/1/2006 7/1/2036 4123 1103588359 CONDO 1 OO PURCHASE N 6.875 6.875 335200 335199.24 8/1/2006 7/1/2036 1920.42 1103588360 SFR 1 OO PURCHASE N 7.375 7.375 311900 311423.88 8/1/2006 7/1/2036 2154.22 1103588361 CONDO 1 OO PURCHASE N 7.625 7.625 404000 404000 8/1/2006 7/1/2036 2567.08 1103588364 2-4FAMILY 2 NOO PURCHASE N 7.625 7.625 500000 499900 8/1/2006 7/1/2036 3177.08 1103588365 CONDO 1 OO PURCHASE N 7.25 7.25 192400 192400 8/1/2006 7/1/2036 1162.42 1103588366 SFR 1 OO PURCHASE N 7.625 7.625 455920 455920 8/1/2006 7/1/2036 2896.99 1103588367 PUD 1 OO REFI Y 7 7 446000 445634.42 9/1/2006 8/1/2036 2967.25 1103588371 SFR 1 NOO PURCHASE N 6.625 6.625 240000 240000 8/1/2006 7/1/2036 1325 1103588372 SFR 1 OO PURCHASE N 7.125 7.125 191600 191600 7/1/2006 6/1/2036 1137.63 1103588373 SFR 1 NOO PURCHASE N 6.75 6.75 273000 273000 8/1/2006 7/1/2036 1535.63 1103588374 2-4FAMILY 4 NOO PURCHASE N 7.5 7.5 675000 675000 7/1/2006 6/1/2036 4218.75 1103588376 SFR 1 NOO PURCHASE N 7.25 7.25 206000 206000 7/1/2006 6/1/2036 1244.58 1103588377 SFR 1 OO REFI N 6.75 6.75 442500 442500 7/1/2006 6/1/2036 2489.06 1103588378 CONDO 1 OO REFI Y 8 8 480000 480000 8/1/2006 7/1/2036 3200 1103588379 SFR 1 NOO REFI N 6.25 6.25 417000 417000 7/1/2006 6/1/2036 2171.88 1103588380 SFR 1 NOO REFI Y 6.875 6.875 385000 385000 7/1/2006 6/1/2036 2205.73 1103588381 SFR 1 NOO REFI Y 6.875 6.875 385000 385000 7/1/2006 6/1/2036 2205.73 1103588383 SFR 1 OO REFI Y 7.75 7.75 498750 498750 8/1/2006 7/1/2036 3221.09 1103588404 PUD 1 OO REFI Y 7.92 7.92 163100 162876.81 8/1/2006 7/1/2036 1187.69 1103588435 PUD 1 NOO PURCHASE N 7.875 7.875 128250 128161.74 9/1/2006 8/1/2036 929.9 1103588443 SFR 1 OO REFI Y 6.5 6.5 110400 110199.86 8/1/2006 7/1/2036 697.8 1103588449 CONDO 1 2ND PURCHASE N 7.875 7.875 166800 166800 9/1/2006 8/1/2036 1094.63 1103588469 SFR 1 OO PURCHASE N 8.875 8.875 212000 212000 8/1/2006 7/1/2036 1567.92 1103588475 SFR 1 NOO REFI Y 7.875 7.875 86250 86190.65 9/1/2006 8/1/2036 625.37 1103588476 SFR 1 2ND PURCHASE N 7.95 7.95 200000 200000 9/1/2006 8/1/2036 1325 1103588489 2-4FAMILY 2 OO PURCHASE N 7.75 7.75 495000 495000 8/1/2006 7/1/2036 3196.88 1103588528 SFR 1 OO REFI Y 6.75 6.75 364000 364000 6/1/2006 5/1/2036 2047.5 1103588529 SFR 1 OO PURCHASE N 7.625 7.625 324000 324000 7/1/2006 6/1/2036 2058.75 1103588530 SFR 1 NOO PURCHASE N 6.5 6.5 360000 360000 7/1/2006 6/1/2036 1950 1103588531 SFR 1 OO PURCHASE N 7.25 7.25 408000 408000 7/1/2006 6/1/2036 2465 1103588532 2-4FAMILY 4 NOO PURCHASE N 7.5 7.5 352000 352000 8/1/2006 7/1/2036 2200 1103588533 CONDO 1 OO PURCHASE N 6.625 6.625 128000 128000 7/1/2006 6/1/2036 706.67 1103588534 SFR 1 OO PURCHASE N 7.625 7.625 360000 360000 7/1/2006 6/1/2036 2287.5 1103588535 PUD 1 OO PURCHASE N 7.375 7.375 262449 262449 7/1/2006 6/1/2036 1612.97 1103588536 SFR 1 OO REFI Y 7.25 7.25 256200 256200 7/1/2006 6/1/2036 1547.88 1103588537 SFR 1 OO PURCHASE N 7.25 7.25 354404 354404 7/1/2006 6/1/2036 2141.19 1103588538 SFR 1 NOO PURCHASE N 7.25 7.25 196000 196000 7/1/2006 6/1/2036 1184.17 1103588539 SFR 1 OO REFI Y 6.75 6.75 200000 200000 7/1/2006 6/1/2036 1125 1103588540 SFR 1 OO PURCHASE N 7.375 7.375 340000 340000 7/1/2006 6/1/2036 2089.58 1103588541 SFR 1 OO PURCHASE N 6.875 6.875 650000 650000 7/1/2006 6/1/2036 3723.96 1103588547 SFR 1 OO REFI N 7.75 7.75 520000 520000 8/1/2006 7/1/2036 3358.33 1103588548 SFR 1 OO REFI Y 6.5 6.5 290000 289474.24 8/1/2006 7/1/2036 1833 1103588563 SFR 1 OO PURCHASE N 6.875 6.875 336894 336040.04 7/1/2006 6/1/2036 2213.15 1103588564 SFR 1 NOO REFI N 7.25 7.25 254000 253401.96 7/1/2006 6/1/2036 1732.73 1103588565 SFR 1 OO PURCHASE N 6.875 6.875 325500 325500 7/1/2006 6/1/2036 1864.84 1103588566 SFR 1 OO REFI Y 6.75 6.75 211000 211000 7/1/2006 6/1/2036 1186.88 1103588567 SFR 1 OO REFI Y 6.25 6.25 650000 650000 8/1/2006 7/1/2036 3385.42 1103588568 SFR 1 OO PURCHASE N 6.75 6.75 192000 192000 7/1/2006 6/1/2036 1080 1103588569 SFR 1 OO PURCHASE N 6.875 6.875 239920 239920 8/1/2006 7/1/2036 1374.54 1103588571 SFR 1 OO REFI N 6.875 6.875 360000 360000 7/1/2006 6/1/2036 2062.5 1103588572 SFR 1 OO REFI Y 7.25 7.25 152000 152000 7/1/2006 6/1/2036 918.33 1103588573 SFR 1 OO PURCHASE N 6.75 6.75 338400 338085.29 7/1/2006 6/1/2036 1903.5 1103588574 SFR 1 OO REFI Y 6.125 6.125 156000 156000 8/1/2006 7/1/2036 796.25 1103588575 SFR 1 OO PURCHASE N 7.125 7.125 417000 417000 7/1/2006 6/1/2036 2475.94 1103588576 SFR 1 OO PURCHASE N 6.75 6.75 283872 283872 6/1/2006 5/1/2036 1596.78 1103588577 2-4FAMILY 3 OO PURCHASE N 7.5 7.5 247200 247200 7/1/2006 6/1/2036 1545 1103588578 PUD 1 OO REFI N 7.25 7.25 424000 424000 8/1/2006 7/1/2036 2561.67 1103588579 SFR 1 OO PURCHASE N 6.75 6.75 619200 619200 7/1/2006 6/1/2036 3483 1103588580 SFR 1 OO REFI Y 6.75 6.75 487500 487500 7/1/2006 6/1/2036 2742.19 1103588581 2-4FAMILY 3 NOO REFI N 7.125 7.125 750000 750000 6/1/2006 5/1/2036 4453.12 1103588583 SFR 1 OO REFI Y 7.782 7.782 297500 297500 8/1/2006 7/1/2036 1929.29 1103588613 CONDO 1 OO PURCHASE N 7 7 208000 208000 8/1/2006 7/1/2036 1213.33 1103588656 SFR 1 NOO PURCHASE N 7.125 7.125 111020 111020 8/1/2006 7/1/2036 659.18 1103588657 SFR 1 NOO PURCHASE N 11.35 11.35 39650 39623.68 8/1/2006 7/1/2021 388.12 1103588682 PUD 1 NOO PURCHASE N 8.77 8.77 338711 338711 9/1/2006 8/1/2036 2475.41 1103588683 PUD 1 NOO PURCHASE N 14.63 14.63 63508 63498 9/1/2006 8/1/2021 784.27 1103588684 SFR 1 NOO REFI Y 7.75 7.75 234500 234500 8/1/2006 7/1/2036 1514.48 1103588702 SFR 1 OO REFI Y 12.3 12.3 100000 100000 9/1/2006 8/1/2021 1025 1103588719 2-4FAMILY 2 NOO PURCHASE N 8.625 8.625 165900 165900 9/1/2006 8/1/2036 1192.41 1103588737 PUD 1 OO REFI N 7.5 7.5 328000 328000 8/1/2006 7/1/2036 2050 1103588769 CONDO 1 OO PURCHASE N 8.625 8.625 148000 148000 8/1/2006 7/1/2036 1063.75 1103588770 PUD 1 NOO PURCHASE N 7.875 7.875 164000 163773.54 8/1/2006 7/1/2036 1189.11 1103588771 CONDO 1 NOO PURCHASE N 7.625 7.625 77600 77600 8/1/2006 7/1/2036 493.08 1103588772 CONDO 1 NOO PURCHASE N 6.25 6.25 216000 216000 8/1/2006 7/1/2036 1125 1103588773 CONDO 1 OO PURCHASE N 6.75 6.75 173150 173150 6/1/2006 5/1/2036 973.97 1103588774 2-4FAMILY 3 OO PURCHASE N 6.875 6.875 194670 194176.54 7/1/2006 6/1/2036 1278.84 1103588776 SFR 1 OO PURCHASE N 6.875 6.875 214400 214400 7/1/2006 6/1/2036 1228.33 1103588777 SFR 1 OO PURCHASE N 7.375 7.375 185400 185400 7/1/2006 6/1/2036 1139.44 1103588780 SFR 1 OO PURCHASE N 7.25 7.25 200800 200800 8/1/2006 7/1/2036 1213.17 1103588787 CONDO 1 OO PURCHASE N 6.99 6.99 503300 503300 8/1/2006 7/1/2036 2931.72 1103588790 SFR 1 OO REFI Y 7.375 7.375 500000 500000 8/1/2006 7/1/2036 3072.92 1103588813 2-4FAMILY 2 NOO PURCHASE N 14.375 14.375 59250 59240.11 9/1/2006 8/1/2021 719.66 1103588822 PUD 1 NOO PURCHASE N 16 16 30750 30742.93 8/1/2006 7/1/2021 413.51 1103588827 SFR 1 OO PURCHASE N 13.25 13.25 46350 46319.61 7/1/2006 6/1/2021 521.8 1103588847 SFR 1 OO REFI Y 12.25 12.25 20500 20488.84 8/1/2006 7/1/2021 214.82 1103588859 SFR 1 OO PURCHASE N 8.55 8.55 510000 510000 8/1/2006 7/1/2036 3633.75 1103588927 PUD 1 OO REFI Y 12.05 12.05 34000 33990.38 9/1/2006 8/1/2021 351.04 1103588928 SFR 1 NOO REFI N 7.25 7.25 318750 318750 9/1/2006 8/1/2036 1925.78 1103588939 PUD 1 NOO PURCHASE N 7.125 7.125 165287 165154.82 8/10/2006 7/10/2036 1113.57 1103588940 PUD 1 NOO PURCHASE N 13.6 13.6 47225 47215.58 8/10/2006 7/10/2021 544.64 1103588962 CONDO 1 NOO PURCHASE N 7.25 7.25 216000 216000 9/1/2006 8/1/2036 1305 1103588969 SFR 1 OO REFI Y 6.75 6.75 484250 484250 8/1/2006 7/1/2036 2723.91 1103588978 SFR 1 OO PURCHASE N 6.375 6.375 310392 310392 8/1/2006 7/1/2036 1648.96 1103588984 PUD 1 OO PURCHASE N 7.75 7.75 360000 360000 8/1/2006 7/1/2036 2325 1103589013 PUD 1 OO REFI Y 8.5 8.5 200000 200000 9/1/2006 8/1/2036 1416.67 1103589016 CONDO 1 OO REFI N 6.875 6.875 1000000 1000000 8/1/2006 7/1/2036 5729.17 1103589029 2-4FAMILY 2 NOO PURCHASE N 8 8 236600 236600 8/1/2006 7/1/2036 1577.33 1103589035 2-4FAMILY 2 NOO PURCHASE N 12.9 12.9 67600 67568.19 8/1/2006 7/1/2021 742.52 1103589068 2-4FAMILY 2 NOO PURCHASE N 9.125 9.125 476000 476000 9/1/2006 8/1/2036 3619.58 1103589070 2-4FAMILY 2 NOO PURCHASE N 14.1 14.1 89250 89234.12 9/1/2006 8/1/2021 1064.57 1103589074 SFR 1 NOO PURCHASE N 7.875 7.875 70000 70000 9/1/2006 8/1/2036 459.38 1103589077 SFR 1 NOO PURCHASE N 13.375 13.375 25000 24994.75 9/1/2006 8/1/2021 283.9 1103589084 PUD 1 OO PURCHASE N 7.75 7.75 314250 314250 9/1/2006 8/1/2036 2029.53 1103589096 SFR 1 NOO PURCHASE N 8.82 8.82 440000 439499.17 8/1/2006 7/1/2036 3483.5 1103589097 SFR 1 OO REFI N 6.75 6.75 392000 392000 8/1/2006 7/1/2036 2205 1103589102 SFR 1 OO REFI Y 6.5 6.5 612000 612000 8/1/2006 7/1/2036 3315 1103589103 SFR 1 OO REFI N 6.5 6.5 400000 400000 8/1/2006 7/1/2036 2166.67 1103589104 SFR 1 NOO REFI Y 6.5 6.5 458000 458000 8/1/2006 7/1/2036 2480.83 1103589105 PUD 1 OO PURCHASE N 7.125 7.125 552700 552681.66 8/1/2006 7/1/2036 3281.66 1103589106 SFR 1 OO REFI N 6.625 6.625 456000 456000 8/1/2006 7/1/2036 2517.5 1103589107 SFR 1 OO PURCHASE N 6.5 6.5 463200 463200 8/1/2006 7/1/2036 2509 1103589109 SFR 1 OO REFI Y 6.5 6.5 434000 434000 8/1/2006 7/1/2036 2350.83 1103589111 SFR 1 OO PURCHASE N 6.5 6.5 700000 699991.67 8/1/2006 7/1/2036 3791.67 1103589112 SFR 1 OO PURCHASE N 6.5 6.5 600000 599248.65 8/1/2006 7/1/2036 3250 1103589113 CONDO 1 OO PURCHASE N 6.625 6.625 323200 323200 8/1/2006 7/1/2036 1784.33 1103589114 SFR 1 OO PURCHASE N 5.875 5.875 703000 703000 8/1/2006 7/1/2036 3441.77 1103589115 SFR 1 OO PURCHASE N 7.5 7.5 484000 484000 8/1/2006 7/1/2036 3025 1103589116 SFR 1 OO REFI Y 6.875 6.875 395000 395000 8/1/2006 7/1/2036 2263.02 1103589117 SFR 1 OO PURCHASE N 6.75 6.75 399000 399000 8/1/2006 7/1/2036 2244.38 1103589118 SFR 1 OO REFI Y 6.375 6.375 245000 245000 8/1/2006 7/1/2036 1301.56 1103589119 CONDO 1 OO PURCHASE N 6.375 6.375 280000 280000 8/1/2006 7/1/2036 1487.5 1103589134 SFR 1 OO PURCHASE N 7 7 126375 126375 8/1/2006 7/1/2036 737.19 1103589139 SFR 1 OO PURCHASE N 7.625 7.625 449950 449950 10/1/2006 9/1/2036 2859.06 1103589140 SFR 1 OO REFI Y 6.5 6.5 170000 170000 8/1/2006 7/1/2036 920.83 1103589152 SFR 1 OO PURCHASE N 11.625 11.625 42125 42098.69 8/1/2006 7/1/2021 421.18 1103589213 SFR 1 OO REFI Y 6.75 6.75 415000 415000 8/1/2006 7/1/2036 2334.38 1103589239 SFR 1 OO PURCHASE N 6.375 6.375 124900 124900 8/1/2006 7/1/2036 663.53 1103589269 SFR 1 OO REFI Y 7.75 7.75 128700 128609.17 9/1/2006 8/1/2036 922.02 1103589271 CONDO 1 NOO PURCHASE N 7.5 7.5 210000 210000 8/1/2006 7/1/2036 1312.5 1103589272 CONDO 1 NOO PURCHASE N 12.4 12.4 75000 74960.54 8/1/2006 7/1/2021 794.63 1103589313 SFR 1 OO REFI N 11.875 11.875 56000 55983.53 9/1/2006 8/1/2021 570.64 1103589323 SFR 1 NOO PURCHASE N 6.625 6.625 424000 424000 8/1/2006 7/1/2036 2340.83 1103589344 PUD 1 OO REFI N 8.75 8.75 126000 126000 9/1/2006 8/1/2036 918.75 1103589374 PUD 1 NOO PURCHASE N 8.375 8.375 161000 161000 8/1/2006 7/1/2036 1123.65 1103589376 SFR 1 OO PURCHASE N 7.75 7.75 426400 426400 8/1/2006 7/1/2036 2753.83 1103589420 PUD 1 2ND PURCHASE N 6.75 6.75 1312500 1312500 7/1/2006 6/1/2036 7382.81 1103589421 SFR 1 NOO PURCHASE N 8.5 8.5 360000 360000 8/1/2006 7/1/2036 2550 1103589422 SFR 1 OO PURCHASE N 6.5 6.5 850000 850000 8/1/2006 7/1/2036 4604.17 1103589423 SFR 1 OO PURCHASE N 6.625 6.625 228000 227985 5/1/2006 4/1/2036 1258.75 1103589425 SFR 1 OO REFI Y 7 7 1460000 1460000 8/1/2006 7/1/2036 8516.67 1103589426 SFR 1 OO REFI Y 6.5 6.5 365500 365500 8/1/2006 7/1/2036 1979.79 1103589427 SFR 1 OO PURCHASE N 8.5 8.5 481558 481558 8/1/2006 7/1/2036 3411.04 1103589428 CONDO 1 OO PURCHASE N 6.5 6.5 135755 135755 7/1/2006 6/1/2036 735.34 1103589430 SFR 1 OO REFI Y 6.25 6.25 289000 289000 8/1/2006 7/1/2036 1505.21 1103589431 SFR 1 NOO REFI Y 6.875 6.875 150000 149500 8/1/2006 7/1/2036 859.38 1103589452 SFR 1 NOO PURCHASE N 7.625 7.625 109200 109200 9/1/2006 8/1/2036 693.87 1103589453 SFR 1 NOO PURCHASE N 11.725 11.725 39000 38988.13 9/1/2006 8/1/2021 392.93 1103589499 SFR 1 NOO PURCHASE N 8.75 8.75 78000 77955.12 9/1/2006 8/1/2036 613.63 1103589528 PUD 1 OO REFI N 11.99 11.99 36400 36379.03 8/1/2006 7/1/2036 374.13 1103589539 SFR 1 OO REFI Y 7.5 7.5 269000 268800.36 9/1/2006 8/1/2036 1880.89 1103589552 SFR 1 OO REFI Y 7.625 7.625 308000 308000 9/1/2006 8/1/2036 1957.08 1103589637 HI-RISE 1 2ND PURCHASE N 7.5 7.5 353500 353500 10/1/2006 9/1/2036 2209.38 1103589638 HI-RISE 1 2ND PURCHASE N 12.5 12.5 126200 126200 10/1/2006 9/1/2036 1346.88 1103589640 PUD 1 NOO PURCHASE N 8.5 8.5 198000 198000 9/1/2006 8/1/2036 1402.5 1103589641 PUD 1 NOO PURCHASE N 14 14 52800 52790.38 9/1/2006 8/1/2021 625.62 1103589651 SFR 1 2ND PURCHASE N 8.72 8.75 123450 123450 8/1/2006 7/1/2036 897.07 1103589658 2-4FAMILY 3 OO PURCHASE N 8.75 8.75 268000 268000 8/1/2006 7/1/2036 1954.17 1103589668 SFR 1 OO PURCHASE N 5.875 5.875 426300 426300 9/1/2006 8/1/2036 2087.09 1103589669 SFR 1 OO PURCHASE N 11.625 11.625 182700 182643.2 9/1/2006 8/1/2021 1826.71 1103589686 SFR 1 NOO PURCHASE N 6.75 6.75 111300 111300 8/1/2006 7/1/2036 626.06 1103589698 CONDO 1 OO PURCHASE N 13.38 13.38 40680 40671.46 9/1/2006 8/1/2021 462.12 1103589705 SFR 1 OO PURCHASE N 8.375 8.375 190000 190000 9/1/2006 8/1/2036 1326.04 1103589719 CONDO 1 NOO PURCHASE N 10.875 10.875 132750 132701.36 8/17/2006 7/17/2036 1251.69 1103589720 SFR 1 OO PURCHASE N 7 7 241920 241920 9/1/2006 8/1/2036 1411.2 1103589724 SFR 1 OO PURCHASE N 6.875 6.875 420000 420000 9/1/2006 8/1/2036 2406.25 1103589727 2-4FAMILY 2 OO PURCHASE N 8.25 8.25 212000 211864.81 9/1/2006 8/1/2036 1592.69 1103589728 2-4FAMILY 2 OO PURCHASE N 12.125 12.125 53000 52985.25 9/1/2006 8/1/2021 550.27 1103589731 PUD 1 OO PURCHASE N 6.375 6.375 323400 323390 9/1/2006 8/1/2036 1718.06 1103589735 SFR 1 OO REFI Y 12.55 12.55 46000 46000 9/1/2006 8/1/2021 481.08 1103589739 2-4FAMILY 2 OO REFI Y 7.25 7.25 232000 232000 9/1/2006 8/1/2036 1401.67 1103589740 2-4FAMILY 2 OO REFI Y 12.375 12.375 58000 57984.74 9/1/2006 8/1/2021 613.39 1103589753 CONDO 1 OO REFI N 6.5 6.5 245000 245000 9/1/2006 8/1/2036 1327.08 1103589754 SFR 1 NOO PURCHASE N 8.125 8.125 123750 123750 8/1/2006 7/1/2036 837.89 1103589755 SFR 1 NOO PURCHASE N 13.875 13.875 33000 32987.55 8/1/2006 7/1/2021 387.75 1103589779 SFR 1 OO PURCHASE N 6.75 6.75 462000 462000 10/1/2006 9/1/2036 2598.75 1103589790 SFR 1 OO REFI N 6.25 6.25 135000 133994.79 9/1/2006 8/1/2036 703.13 1103589800 2-4FAMILY 4 NOO PURCHASE N 7.5 7.5 495000 495000 10/1/2006 9/1/2036 3093.75 1103589804 SFR 1 OO REFI Y 8.25 8.25 154000 154000 9/1/2006 8/1/2036 1058.75 1103589805 SFR 1 OO REFI Y 7.692 7.692 660000 660000 8/1/2006 7/1/2036 4230.6 1103589808 SFR 1 OO REFI Y 6 6 260000 260000 8/1/2006 7/1/2036 1300 1103589821 CONDO 1 NOO PURCHASE N 8.375 8.375 173250 173250 8/1/2006 7/1/2036 1209.14 1103589833 SFR 1 2ND REFI Y 8.25 8.25 160000 159795.24 8/1/2006 7/1/2036 1202.03 1103589845 SFR 1 OO REFI Y 6.95 6.95 890000 884343.41 8/1/2006 7/1/2021 7974.71 1103589847 2-4FAMILY 2 OO REFI Y 8.75 8.75 228000 228000 9/1/2006 8/1/2036 1662.5 1103589850 PUD 1 NOO PURCHASE N 8.125 8.125 83965 83910.07 9/1/2006 8/1/2036 623.44 1103589862 SFR 1 NOO PURCHASE N 7.5 7.5 215200 215200 8/1/2006 7/1/2036 1345 1103589872 SFR 1 OO PURCHASE N 6.875 6.875 288400 288400 9/1/2006 8/1/2036 1652.29 1103589892 SFR 1 OO PURCHASE N 7 7 318750 318750 9/1/2006 8/1/2036 1859.38 1103589893 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 524000 524000 9/1/2006 8/1/2036 3329.58 1103589896 PUD 1 OO REFI N 8.25 8.25 249750 249750 8/1/2006 7/1/2036 1717.03 1103589905 SFR 1 OO PURCHASE N 8.875 8.875 201620 201393.1 8/1/2006 7/1/2036 1604.18 1103589918 SFR 1 OO REFI Y 8.761 8.761 378750 378750 9/1/2006 8/1/2036 2765.19 1103589921 PUD 1 OO PURCHASE N 6.875 6.875 159100 159100 8/1/2006 7/1/2036 911.51 1103589922 SFR 1 OO PURCHASE N 6.875 6.875 269600 269600 8/1/2006 7/1/2036 1544.58 1103589923 SFR 1 OO REFI Y 6.75 6.75 749950 749950 8/1/2006 7/1/2036 4218.47 1103589924 CONDO 1 OO PURCHASE N 6.875 6.875 364000 364000 8/1/2006 7/1/2036 2085.42 1103589925 SFR 1 OO PURCHASE N 6.5 6.5 360000 360000 8/1/2006 7/1/2036 1950 1103589926 SFR 1 OO PURCHASE N 6.875 6.875 195200 195200 8/1/2006 7/1/2036 1118.33 1103589929 SFR 1 OO REFI Y 7.5 7.5 348000 348000 8/1/2006 7/1/2036 2175 1103589930 SFR 1 OO REFI N 7.5 7.5 376000 376000 8/1/2006 7/1/2036 2350 1103589931 PUD 1 OO PURCHASE N 7.625 7.625 580800 580800 8/1/2006 7/1/2036 3690.5 1103589932 SFR 1 OO REFI Y 6.125 6.125 352000 352000 8/1/2006 7/1/2036 1796.67 1103589933 SFR 1 OO REFI Y 7.375 7.375 525000 525000 8/1/2006 7/1/2036 3226.56 1103589934 SFR 1 OO PURCHASE N 6.875 6.875 363750 363750 8/1/2006 7/1/2036 2083.98 1103589935 CONDO 1 OO PURCHASE N 6.5 6.5 71900 71900 8/1/2006 7/1/2036 389.46 1103589936 CONDO 1 OO PURCHASE N 7.875 7.875 299250 299044.06 8/1/2006 7/1/2036 1963.83 1103589937 SFR 1 OO PURCHASE N 4.875 4.875 112800 112764.28 8/1/2006 7/1/2036 458.25 1103589939 PUD 1 OO PURCHASE N 6.625 6.625 145500 145500 8/1/2006 7/1/2036 803.28 1103589940 CONDO 1 OO PURCHASE N 6.375 6.375 364000 364000 8/1/2006 7/1/2036 1933.75 1103589941 SFR 1 OO PURCHASE N 6.875 6.875 252000 252000 8/1/2006 7/1/2036 1443.75 1103589942 PUD 1 2ND PURCHASE N 7.75 7.75 417000 417000 8/1/2006 7/1/2036 2693.13 1103589943 SFR 1 OO REFI Y 7.875 7.875 300000 300000 8/1/2006 7/1/2036 1968.75 1103589945 SFR 1 OO PURCHASE N 7 7 292000 292000 8/1/2006 7/1/2036 1703.33 1103589946 SFR 1 OO REFI N 6.875 6.875 292000 292000 8/1/2006 7/1/2036 1672.92 1103589947 PUD 1 OO PURCHASE N 7.125 7.125 386150 386150 8/1/2006 7/1/2036 2292.77 1103589948 SFR 1 OO PURCHASE N 6.125 6.125 368000 367999.94 8/1/2006 7/1/2036 1878.33 1103589949 PUD 1 OO PURCHASE N 6.5 6.5 159450 159450 8/1/2006 7/1/2036 863.69 1103589950 HI-RISE 1 2ND REFI Y 7.875 7.875 648000 648000 8/1/2006 7/1/2036 4252.5 1103589951 CONDO 1 OO REFI Y 6.375 6.375 165000 164693.54 8/1/2006 7/1/2036 1029.39 1103589952 HI-RISE 1 OO PURCHASE N 7.625 7.625 100000 100000 8/1/2006 7/1/2036 635.42 1103589953 SFR 1 OO PURCHASE N 6.75 6.75 404000 404000 8/1/2006 7/1/2036 2272.5 1103589959 CONDO 1 NOO PURCHASE N 8.625 8.625 167650 167650 8/1/2006 7/1/2036 1204.98 1103589987 PUD 1 NOO PURCHASE N 7.75 7.75 120800 120628.93 8/1/2006 7/1/2036 865.43 1103589988 PUD 1 OO REFI Y 6.875 6.875 417000 417000 8/1/2006 7/1/2036 2389.06 1103589989 PUD 1 OO REFI Y 6.625 6.625 217750 217750 8/1/2006 7/1/2036 1202.16 1103589990 PUD 1 NOO REFI Y 7.375 7.375 101600 101600 8/1/2006 7/1/2036 624.42 1103589991 SFR 1 NOO PURCHASE N 7 7 144000 144000 8/1/2006 7/1/2036 840 1103589992 SFR 1 NOO PURCHASE N 7.875 7.875 180000 180000 8/1/2006 7/1/2036 1181.25 1103589993 SFR 1 NOO REFI Y 7.375 7.375 206250 205935.15 8/1/2006 7/1/2036 1424.52 1103589994 SFR 1 NOO REFI Y 6.75 6.75 240000 240000 8/1/2006 7/1/2036 1350 1103589995 SFR 1 OO PURCHASE N 6.875 6.875 240000 240000 8/1/2006 7/1/2036 1375 1103589996 SFR 1 OO PURCHASE N 6.875 6.875 318950 318947.32 8/1/2006 7/1/2036 1827.32 1103589997 SFR 1 NOO REFI N 6.625 6.625 350000 350000 8/1/2006 7/1/2036 1932.29 1103589998 SFR 1 OO REFI Y 6.75 6.75 404000 404000 8/1/2006 7/1/2036 2272.5 1103589999 SFR 1 NOO REFI N 7.5 7.5 438900 438900 8/1/2006 7/1/2036 2743.13 1103590000 SFR 1 OO REFI Y 6.875 6.875 640000 640000 8/1/2006 7/1/2036 3666.67 1103590001 SFR 1 OO REFI Y 5.75 5.75 728000 726476.19 8/1/2006 7/1/2036 4248.42 1103590002 SFR 1 OO PURCHASE N 7 7 240000 240000 8/1/2006 7/1/2036 1400 1103590003 TOWNHOUSE 1 NOO PURCHASE N 7.875 7.875 178500 178253.51 8/1/2006 7/1/2036 1294.25 1103590004 2-4FAMILY 2 NOO REFI Y 6.75 6.75 150000 149740.97 8/1/2006 7/1/2036 972.9 1103590026 2-4FAMILY 2 NOO PURCHASE N 8.375 8.375 220000 219725.56 8/1/2006 7/1/2036 1672.16 1103590071 SFR 1 NOO PURCHASE N 7.5 7.5 100100 100100 8/1/2006 7/1/2036 625.62 1103590072 SFR 1 NOO PURCHASE N 12.6 12.6 35750 35732 8/1/2006 7/1/2021 384.33 1103590123 SFR 1 OO REFI Y 7.375 7.375 500000 500000 8/1/2006 7/1/2036 3072.92 1103590148 PUD 1 OO PURCHASE N 7.5 7.5 176550 176550 9/1/2006 8/1/2036 1103.44 1103590154 SFR 1 OO PURCHASE N 8.3 8.3 171500 171500 9/1/2006 8/1/2036 1186.21 1103590155 SFR 1 OO PURCHASE N 10.875 10.875 57200 57179.05 9/1/2006 8/1/2021 539.33 1103590165 PUD 1 OO PURCHASE N 8.5 8.5 598996 598996 9/1/2006 8/1/2036 4242.89 1103590168 SFR 1 OO PURCHASE N 7.625 7.625 240000 240000 8/1/2006 7/1/2036 1525 1103590181 2-4FAMILY 2 NOO REFI Y 6.875 6.875 200000 200000 8/1/2006 7/1/2036 1145.83 1103590191 SFR 1 OO PURCHASE N 7.875 7.875 353500 353500 9/1/2006 8/1/2036 2319.84 1103590192 SFR 1 OO PURCHASE N 11.6 11.6 151500 151452.64 9/1/2006 8/1/2021 1511.86 1103590227 PUD 1 OO PURCHASE N 8.5 8.5 282600 282600 9/1/2006 8/1/2036 2001.75 1103590234 CONDO 1 OO PURCHASE N 7 7 324800 324800 9/1/2006 8/1/2036 1894.67 1103590288 SFR 1 OO REFI Y 6.375 6.375 269750 269750 8/1/2006 7/1/2036 1433.05 1103590301 SFR 1 OO REFI Y 8.125 8.125 464000 464000 9/1/2006 8/1/2036 3141.67 1103590312 SFR 1 NOO 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78400 78376.29 9/1/2006 8/1/2021 791.38 1103590470 SFR 1 OO REFI Y 12.55 12.55 43900 43900 9/1/2006 8/1/2021 459.12 1103590537 SFR 1 OO REFI Y 7.125 7.125 75000 74530.49 8/1/2006 7/1/2021 679.37 1103590538 PUD 1 OO REFI Y 8.99 8.99 580000 579362.68 8/1/2006 7/1/2036 4662.64 1103590567 CONDO 1 NOO REFI Y 12.625 12.625 103500 103474.24 9/1/2006 8/1/2036 1114.67 1103590571 SFR 1 OO REFI Y 7.25 7.25 300000 299765.97 9/1/2006 8/1/2036 2046.53 1103590595 SFR 1 NOO PURCHASE N 12.75 12.75 38250 38231.4 8/1/2006 7/1/2036 415.66 1103590596 SFR 1 NOO REFI N 6.5 6.5 170000 170000 9/1/2006 8/1/2036 920.83 1103590614 SFR 1 NOO PURCHASE N 7.5 7.5 175000 175000 9/1/2006 8/1/2036 1093.75 1103590615 SFR 1 NOO PURCHASE N 11.75 11.75 62500 62481.09 9/1/2006 8/1/2021 630.89 1103590630 SFR 1 OO PURCHASE N 6.375 6.375 500000 500000 9/1/2006 8/1/2036 2656.25 1103590631 SFR 1 OO REFI Y 10.375 10.375 251100 251100 8/1/2006 7/1/2036 2170.97 1103590634 CONDO 1 NOO REFI Y 10.445 10.445 280000 280000 8/1/2006 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7.375 117750 117750 8/1/2006 7/1/2036 723.67 1103590809 SFR 1 OO PURCHASE N 13 13 23550 23539.18 8/1/2006 7/1/2021 260.51 1103590824 SFR 1 OO REFI Y 8.375 8.375 418000 417740.18 9/1/2006 8/1/2036 3177.11 1103590835 SFR 1 NOO REFI N 7.5 7.5 158000 157882.74 9/1/2006 8/1/2036 1104.76 1103590842 CONDO 1 2ND REFI Y 7.25 7.25 238400 238199.99 9/1/2006 8/1/2036 1440.33 1103590844 SFR 1 OO PURCHASE N 7.25 7.25 279200 279200 9/1/2006 8/1/2036 1686.83 1103590849 CONDO 1 NOO PURCHASE N 7.625 7.625 246750 246750 9/1/2006 8/1/2036 1567.89 1103590907 PUD 1 OO REFI Y 7.125 7.125 200000 200000 9/1/2006 8/1/2036 1187.5 1103590935 HI-RISE 1 2ND PURCHASE N 10.71 10.71 160000 159939.24 9/1/2006 8/1/2036 1488.76 1103590936 SFR 1 NOO PURCHASE N 7.875 7.875 637500 637500 10/1/2006 9/1/2036 4183.59 1103590940 SFR 1 OO PURCHASE N 7.25 7.25 320000 320000 8/1/2006 7/1/2036 1933.33 1103590941 CONDO 1 OO PURCHASE N 6.5 6.5 884000 884000 8/1/2006 7/1/2036 4788.33 1103590944 CONDO 1 NOO PURCHASE N 7.75 7.75 148000 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8 8 260000 259850.55 8/1/2006 7/1/2036 1807.81 1103591043 CONDO 1 NOO PURCHASE N 8.75 8.75 92700 92592.95 8/1/2006 7/1/2036 729.27 1103591044 SFR 1 NOO PURCHASE N 8.625 8.625 62500 62425.93 8/1/2006 7/1/2036 486.12 1103591045 SFR 1 NOO PURCHASE N 8.375 8.375 368000 368000 8/1/2006 7/1/2036 2568.33 1103591046 SFR 1 NOO PURCHASE N 7.375 7.375 159840 159730.1 8/1/2006 7/1/2036 1037.13 1103591047 SFR 1 NOO PURCHASE N 9.25 9.25 153000 152939.1 8/1/2006 7/1/2036 1209.71 1103591048 CONDO 1 NOO PURCHASE N 8.875 8.875 169120 169120 8/1/2006 7/1/2036 1250.78 1103591049 PUD 1 NOO PURCHASE N 8.25 8.25 225600 225600 8/1/2006 7/1/2036 1551 1103591050 PUD 1 NOO PURCHASE N 7.875 7.875 167712 167712 8/1/2006 7/1/2036 1100.61 1103591051 CONDO 1 NOO PURCHASE N 7.375 7.375 68800 68752.7 8/1/2006 7/1/2036 446.41 1103591052 SFR 1 NOO PURCHASE N 8.375 8.375 232000 231880.42 8/1/2006 7/1/2036 1678.75 1103591053 CONDO 1 NOO PURCHASE N 8.25 8.25 288000 287846.03 8/1/2006 7/1/2036 2056.72 1103591054 2-4FAMILY 2 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489271.16 8/1/2006 7/1/2036 3221.89 1103591069 SFR 1 OO PURCHASE N 7.125 7.125 292000 292000 8/1/2006 7/1/2036 1733.75 1103591070 SFR 1 OO REFI Y 7.125 7.125 176000 175870.14 8/1/2006 7/1/2036 1109.74 1103591071 SFR 1 OO REFI Y 7 7 201000 200669.52 8/1/2006 7/1/2036 1337.26 1103591072 CONDO 1 OO REFI Y 7.375 7.375 346000 345762.13 8/1/2006 7/1/2036 2245.03 1103591073 PUD 1 OO PURCHASE N 7.125 7.125 379200 379200 8/1/2006 7/1/2036 2251.5 1103591074 SFR 1 OO REFI N 6.75 6.75 260000 259786.94 8/1/2006 7/1/2036 1568.73 1103591076 SFR 1 OO PURCHASE N 7.25 7.25 324000 324000 8/1/2006 7/1/2036 1957.5 1103591079 SFR 1 OO REFI N 7.25 7.25 486000 486000 8/1/2006 7/1/2036 2936.25 1103591080 CONDO 1 OO PURCHASE N 7.375 7.375 207200 206913.36 6/1/2006 5/1/2036 1344.42 1103591081 PUD 1 OO PURCHASE N 7.125 7.125 354800 354800 7/1/2006 6/1/2036 2106.63 1103591082 SFR 1 OO REFI Y 7.5 7.5 347000 347000 8/1/2006 7/1/2036 2168.75 1103591083 SFR 1 OO PURCHASE N 6.625 6.625 408000 407278.07 8/1/2006 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8.25 8.25 146000 145906.9 9/1/2006 8/1/2036 1096.85 1103591656 HI-RISE 1 2ND PURCHASE N 6.875 6.875 367500 367500 9/1/2006 8/1/2036 2105.47 1103591664 SFR 1 OO PURCHASE N 7.625 7.625 184000 184000 9/1/2006 8/1/2036 1169.17 1103591671 CONDO 1 NOO PURCHASE N 7.99 7.99 132930 132930 9/1/2006 8/1/2036 885.09 1103591672 CONDO 1 NOO PURCHASE N 13.99 13.99 37980 37973.07 9/1/2006 8/1/2021 449.71 1103591697 SFR 1 NOO PURCHASE N 8.125 8.125 84000 83945.05 9/1/2006 8/1/2036 623.7 1103591698 SFR 1 NOO PURCHASE N 14.375 14.375 30000 29995 9/1/2006 8/1/2021 364.38 1103591699 SFR 1 NOO REFI Y 6.625 6.625 770000 770000 9/1/2006 8/1/2036 4251.04 1103591703 2-4FAMILY 2 NOO REFI Y 9.625 9.625 228000 228000 9/1/2006 8/1/2036 1828.75 1103591704 2-4FAMILY 2 NOO REFI Y 13.725 13.725 42750 42741.71 9/1/2006 8/1/2021 497.24 1103591712 SFR 1 OO REFI N 8.25 8.25 501200 501200 9/1/2006 8/1/2036 3445.75 1103591713 SFR 1 OO REFI Y 11.475 11.475 214800 214730.98 9/1/2006 8/1/2021 2123.05 1103591715 2-4FAMILY 4 NOO PURCHASE N 8 8 318000 318000 9/1/2006 8/1/2036 2120 1103591726 SFR 1 NOO REFI Y 9.49 9.49 96000 95946.45 7/1/2006 6/1/2036 776.91 1103591727 SFR 1 NOO REFI Y 9.49 9.49 96000 95946.45 7/1/2006 6/1/2036 776.91 1103591761 SFR 1 OO PURCHASE N 7.5 7.5 308800 308800 9/1/2006 8/1/2036 1930 1103591762 SFR 1 OO PURCHASE N 12.125 12.125 77200 77178.52 9/1/2006 8/1/2021 801.52 1103591782 SFR 1 OO REFI Y 6.875 6.875 380100 380100 8/1/2006 7/1/2036 2177.66 1103591789 HI-RISE 1 OO REFI Y 7.875 7.875 152750 152644.88 9/1/2006 8/1/2036 1107.54 1103591800 PUD 1 OO PURCHASE N 7.25 7.25 279900 279681.65 9/1/2006 8/1/2036 1909.41 1103591801 SFR 1 OO PURCHASE N 8.16 8.16 159200 159200 9/1/2006 8/1/2036 1082.56 1103591802 SFR 1 OO PURCHASE N 10.63 10.63 39800 39784.62 9/1/2006 8/1/2021 367.94 1103591803 2-4FAMILY 3 NOO REFI Y 7.5 7.5 375000 375000 9/1/2006 8/1/2036 2343.75 1103591810 SFR 1 OO PURCHASE N 7.5 7.5 150000 149776.66 9/1/2006 8/1/2036 1048.82 1103591811 SFR 1 2ND PURCHASE N 7.25 7.25 173600 173600 8/1/2006 7/1/2036 1048.83 1103591827 SFR 1 NOO PURCHASE N 8.5 8.5 96000 95941.84 9/1/2006 8/1/2036 738.16 1103591843 PUD 1 NOO PURCHASE N 8.25 8.25 465150 464853.39 9/1/2006 8/1/2036 3494.52 1103591845 PUD 1 NOO PURCHASE N 12.875 12.875 58100 58086.33 9/1/2006 8/1/2021 637.03 1103593690 SFR 1 2ND REFI Y 10.6 10.6 44250 44232.79 9/1/2006 8/1/2021 408.09 1103591855 SFR 1 OO PURCHASE N 7.75 7.75 207200 207200 10/1/2006 9/1/2036 1338.17 1103591860 SFR 1 OO PURCHASE N 12.125 12.125 51800 51800 10/1/2006 9/1/2021 523.4 1103591872 PUD 1 OO PURCHASE N 8.5 8.5 699300 699300 9/1/2006 8/1/2036 4953.38 1103591873 PUD 1 2ND PURCHASE N 12.125 12.125 63500 63482.32 9/1/2006 8/1/2021 659.29 1103591880 SFR 1 OO PURCHASE N 8.75 8.75 157500 157409.39 9/1/2006 8/1/2036 1239.05 1103591881 PUD 1 OO PURCHASE N 12.95 12.95 299700 299630.68 9/1/2006 8/1/2021 3303.58 1103591882 SFR 1 OO PURCHASE N 8.125 8.125 266913 266738.4 9/1/2006 8/1/2036 1981.82 1103591885 SFR 1 OO PURCHASE N 8.125 8.125 335200 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7.5 7.5 632400 632400 8/1/2006 7/1/2036 3952.5 1103592001 SFR 1 OO PURCHASE N 6.375 6.375 488000 488000 8/1/2006 7/1/2036 2592.5 1103592040 PUD 1 OO PURCHASE N 7.89 7.89 200000 200000 9/1/2006 8/1/2036 1315 1103592049 PUD 1 OO PURCHASE N 13.5 13.5 50000 49989.79 9/1/2006 8/1/2021 572.71 1103592051 SFR 1 OO REFI Y 12.55 12.55 49500 49500 9/1/2006 8/1/2021 517.69 1103592078 SFR 1 NOO REFI N 7.766 7.766 318500 318275.93 9/1/2006 8/1/2036 2285.3 1103592079 PUD 1 OO PURCHASE N 7.5 7.5 258543 257373.59 4/1/2006 3/1/2036 1807.77 1103592109 CONDO 1 OO PURCHASE N 7.875 7.875 276000 276000 9/1/2006 8/1/2036 1811.25 1103592115 2-4FAMILY 3 NOO PURCHASE N 11.25 11.25 440000 440000 9/1/2006 8/1/2036 4125 1103592116 SFR 1 NOO PURCHASE N 8.875 8.875 112500 112436.92 8/26/2006 7/26/2036 895.11 1103592117 SFR 1 NOO PURCHASE N 13.85 13.85 30000 29994.34 8/26/2006 7/26/2021 351.91 1103592136 SFR 1 NOO PURCHASE N 7.625 7.625 180000 180000 9/1/2006 8/1/2036 1143.75 1103592155 SFR 1 NOO PURCHASE N 7.375 7.375 132300 132300 9/1/2006 8/1/2036 813.09 1103592156 SFR 1 NOO PURCHASE N 12.5 12.5 37800 37790.33 9/1/2006 8/1/2021 403.42 1103592167 SFR 1 OO REFI Y 6.375 6.375 180000 180000 9/1/2006 8/1/2036 956.25 1103592186 CONDO 1 NOO PURCHASE N 8 8 136493 136493 9/1/2006 8/1/2036 909.95 1103592188 CONDO 1 NOO PURCHASE N 9.35 9.35 135992 135922.96 9/1/2006 8/1/2036 1128.64 1103592190 CONDO 1 NOO PURCHASE N 13.75 13.75 48747 48737.6 9/1/2006 8/1/2021 567.96 1103592202 SFR 1 NOO PURCHASE N 8 8 163800 163800 9/1/2006 8/1/2036 1092 1103592203 SFR 1 NOO PURCHASE N 13.8 13.8 58500 58488.85 9/1/2006 8/1/2021 683.9 1103592209 2-4FAMILY 2 NOO PURCHASE N 7.75 7.75 102900 102900 9/1/2006 8/1/2036 664.56 1103592210 2-4FAMILY 2 NOO PURCHASE N 12.875 12.875 29400 29393.09 9/1/2006 8/1/2021 322.35 1103592228 SFR 1 NOO REFI Y 7.625 7.625 110000 109920.39 9/1/2006 8/1/2036 778.57 1103592241 SFR 1 OO PURCHASE N 7.875 7.875 390957 390957 9/1/2006 8/1/2036 2565.66 1103592247 PUD 1 OO REFI Y 11 11 32500 32488.41 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380000 8/1/2006 7/1/2036 2375 1103592382 SFR 1 OO REFI Y 7.75 7.75 352000 352000 8/1/2006 7/1/2036 2273.33 1103592383 SFR 1 OO REFI Y 6.875 6.875 400000 400000 8/1/2006 7/1/2036 2291.67 1103592385 PUD 1 OO REFI Y 6.625 6.625 252800 252800 8/1/2006 7/1/2036 1395.67 1103592386 HI-RISE 1 2ND PURCHASE N 8.625 8.625 188900 188900 8/1/2006 7/1/2036 1357.72 1103592387 SFR 1 OO REFI Y 6.75 6.75 375000 375000 8/1/2006 7/1/2036 2109.38 1103592388 SFR 1 NOO PURCHASE N 7.625 7.625 132800 132800 8/1/2006 7/1/2036 843.83 1103592389 SFR 1 OO REFI Y 6.625 6.625 216000 215617.81 8/1/2006 7/1/2036 1383.07 1103592390 SFR 1 OO REFI Y 6.75 6.75 198750 198750 8/1/2006 7/1/2036 1117.97 1103592391 SFR 1 OO REFI Y 7.375 7.375 320000 320000 8/1/2006 7/1/2036 1966.67 1103592393 SFR 1 OO REFI Y 5.5 5.5 344000 344000 8/1/2006 7/1/2036 1576.67 1103592394 SFR 1 OO REFI Y 6.75 6.75 172000 171988.17 8/1/2006 7/1/2036 967.5 1103592395 PUD 1 NOO PURCHASE N 7.75 7.75 372000 372000 8/1/2006 7/1/2036 2402.5 1103592396 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570000 570000 9/1/2006 8/1/2036 3087.5 1103592530 SFR 1 NOO PURCHASE N 8 8 105000 105000 10/1/2006 9/1/2036 700 1103592531 SFR 1 NOO PURCHASE N 12.8 12.8 30000 30000 10/1/2006 9/1/2021 327.18 1103592537 SFR 1 OO REFI Y 12.5 12.5 57500 57485.29 9/1/2006 8/1/2036 613.67 1103592552 SFR 1 OO PURCHASE N 7.375 7.375 117600 117600 9/1/2006 8/1/2036 722.75 1103592553 SFR 1 OO PURCHASE N 11.6 11.6 42000 41986.87 9/1/2006 8/1/2021 419.13 1103592580 2-4FAMILY 2 NOO PURCHASE N 7.75 7.75 255000 255000 9/1/2006 8/1/2036 1646.88 1103592619 SFR 1 OO PURCHASE N 8.375 8.375 214200 214200 8/1/2006 7/1/2036 1494.94 1103592639 2-4FAMILY 2 NOO PURCHASE N 13.125 13.125 68000 67984.88 9/1/2006 8/1/2021 758.87 1103592649 SFR 1 OO PURCHASE N 8.1 8.1 355000 354901.22 9/1/2006 8/1/2036 2495.03 1103592672 SFR 1 NOO PURCHASE N 8.25 8.25 170400 170291.34 8/7/2006 7/7/2036 1280.16 1103592673 SFR 1 NOO PURCHASE N 11.9 11.9 31950 31940.65 8/7/2006 7/7/2021 326.19 1103592748 CONDO 1 OO REFI N 6.875 6.875 352500 352203.86 9/1/2006 8/1/2036 2315.67 1103592775 PUD 1 OO REFI Y 7.52 7.52 108000 107920.17 9/1/2006 8/1/2036 756.63 1103592784 PUD 1 OO PURCHASE N 11.75 11.75 20000 19993.95 9/1/2006 8/1/2021 201.88 1103592785 SFR 1 OO REFI N 7.99 7.99 477600 477600 9/1/2006 8/1/2036 3180.02 1103592864 SFR 1 OO PURCHASE N 6.875 6.875 480000 477960.47 5/1/2006 4/1/2036 3153.26 1103592865 SFR 1 OO PURCHASE N 10.25 10.25 120000 119744.06 5/1/2006 4/1/2021 1075.32 1103592867 SFR 1 NOO PURCHASE N 7.625 7.625 125000 125000 9/1/2006 8/1/2036 794.27 1103592872 HI-RISE 1 NOO PURCHASE N 7.625 7.625 374062 373791.26 9/1/2006 8/1/2036 2647.59 1103592873 CONDO 1 2ND PURCHASE N 8.875 8.875 133492 133492 9/1/2006 8/1/2036 987.29 1103592874 CONDO 1 2ND PURCHASE N 12.95 12.95 25030 25024.22 9/1/2006 8/1/2021 275.9 1103592888 SFR 1 OO PURCHASE N 6.75 6.75 240955 240955 8/1/2006 7/1/2036 1355.37 1103592889 2-4FAMILY 3 NOO PURCHASE N 7.5 7.5 388000 384731.69 11/1/2005 10/1/2035 2712.95 1103592890 2-4FAMILY 2 OO PURCHASE N 7.5 7.5 272000 272000 8/1/2006 7/1/2036 1700 1103592891 SFR 1 OO PURCHASE N 7.625 7.625 337600 337600 7/1/2006 6/1/2036 2145.17 1103592892 CONDO 1 OO PURCHASE N 7.125 7.125 65100 65100 7/1/2006 6/1/2036 386.53 1103592894 SFR 1 NOO PURCHASE N 7.75 7.75 280000 280000 8/1/2006 7/1/2036 1808.33 1103592895 SFR 1 NOO PURCHASE N 6.875 6.875 180000 180000 8/1/2006 7/1/2036 1031.25 1103592897 SFR 1 OO PURCHASE N 7 7 315200 315200 7/1/2006 6/1/2036 1838.67 1103592899 SFR 1 OO PURCHASE N 6.5 6.5 284900 284900 8/1/2006 7/1/2036 1543.21 1103592901 2-4FAMILY 2 NOO REFI Y 7 7 393400 393400 8/1/2006 7/1/2036 2294.83 1103592902 SFR 1 OO PURCHASE N 7.875 7.875 200000 200000 7/1/2006 6/1/2036 1312.5 1103592903 SFR 1 OO PURCHASE N 7.875 7.875 253600 253600 7/1/2006 6/1/2036 1664.25 1103592904 SFR 1 OO PURCHASE N 7.125 7.125 175200 175200 7/1/2006 6/1/2036 1040.25 1103592905 CONDO 1 OO PURCHASE N 6.25 6.25 145600 145322.98 8/1/2006 7/1/2036 896.48 1103592906 CONDO 1 OO REFI Y 7.625 7.625 191250 191250 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1691.67 1103592947 SFR 1 2ND PURCHASE N 7.375 7.375 234000 234000 8/1/2006 7/1/2036 1438.13 1103592948 SFR 1 OO REFI Y 6.875 6.875 516000 516000 8/1/2006 7/1/2036 2956.25 1103592949 SFR 1 OO PURCHASE N 6.75 6.75 417000 417000 8/1/2006 7/1/2036 2345.63 1103592950 SFR 1 NOO REFI Y 6.625 6.625 390000 390000 8/1/2006 7/1/2036 2153.13 1103592951 CONDO 1 OO PURCHASE N 7.5 7.5 204400 204400 8/1/2006 7/1/2036 1277.5 1103592952 SFR 1 OO PURCHASE N 7.5 7.5 700000 700000 8/1/2006 7/1/2036 4375 1103592953 SFR 1 OO PURCHASE N 6.625 6.625 276000 276000 8/1/2006 7/1/2036 1523.75 1103592954 SFR 1 OO PURCHASE N 7.125 7.125 600000 600000 8/1/2006 7/1/2036 3562.5 1103592955 2-4FAMILY 2 OO REFI Y 6.75 6.75 260000 260000 8/1/2006 7/1/2036 1462.5 1103592956 CONDO 1 OO PURCHASE N 6.25 6.25 345600 345600 8/1/2006 7/1/2036 1800 1103592957 SFR 1 OO REFI Y 7 7 253500 253500 8/1/2006 7/1/2036 1478.75 1103592958 2-4FAMILY 4 OO REFI Y 6.875 6.875 630000 630000 8/1/2006 7/1/2036 3609.38 1103592959 2-4FAMILY 2 OO REFI Y 7 7 255000 255000 8/1/2006 7/1/2036 1487.5 1103592960 SFR 1 OO REFI Y 7 7 620000 620000 8/1/2006 7/1/2036 3616.67 1103592961 SFR 1 OO REFI Y 6.125 6.125 288000 288000 7/1/2006 6/1/2036 1470 1103592962 SFR 1 OO PURCHASE N 7 7 352000 352000 8/1/2006 7/1/2036 2053.33 1103592963 SFR 1 OO PURCHASE N 7 7 480000 480000 8/1/2006 7/1/2036 2800 1103592987 SFR 1 NOO REFI N 6.75 6.75 205000 205000 9/1/2006 8/1/2036 1153.13 1103592989 HI-RISE 1 NOO PURCHASE N 7.625 7.625 374062 373791.26 9/1/2006 8/1/2036 2647.59 1103592991 SFR 1 OO PURCHASE N 7.25 7.25 237600 237600 9/1/2006 8/1/2036 1435.5 1103592994 SFR 1 OO PURCHASE N 12.5 12.5 59400 59384.8 9/1/2006 8/1/2021 633.95 1103593019 SFR 1 OO PURCHASE N 6.75 6.75 452000 452000 10/1/2006 9/1/2036 2542.5 1103593023 SFR 1 NOO PURCHASE N 8.75 8.75 188800 188800 10/1/2006 9/1/2036 1376.67 1103593026 SFR 1 NOO PURCHASE N 12.75 12.75 35400 35400 10/1/2006 9/1/2021 384.69 1103593036 SFR 1 NOO PURCHASE N 6.75 6.75 363200 363200 10/1/2006 9/1/2036 2043 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OO PURCHASE N 12 12 48590 48576.1 9/1/2006 8/1/2021 499.8 1103593480 SFR 1 OO REFI Y 9.75 9.75 244000 243886.16 9/1/2006 8/1/2036 2096.34 1103593483 SFR 1 NOO REFI Y 9.375 9.375 129600 129600 9/1/2006 8/1/2036 1012.5 1103593492 SFR 1 NOO REFI N 8.75 8.75 103500 103440.45 8/17/2006 7/17/2036 814.24 1103593493 SFR 1 NOO REFI Y 12.85 12.85 27600 27593.47 8/17/2006 7/17/2021 302.08 1103593495 SFR 1 NOO REFI Y 9.375 9.375 124000 124000 9/1/2006 8/1/2036 968.75 1103593503 SFR 1 OO PURCHASE N 6.75 6.75 463750 463750 9/1/2006 8/1/2036 2608.59 1103593509 SFR 1 OO PURCHASE N 10.75 10.75 86950 86917.27 9/1/2006 8/1/2021 811.66 1103593521 SFR 1 OO REFI Y 7.375 7.375 156000 155881.29 9/1/2006 8/1/2036 1077.46 1103593547 SFR 1 NOO REFI Y 6.75 6.75 329000 329000 9/1/2006 8/1/2036 1850.63 1103593548 SFR 1 NOO REFI Y 11.875 11.875 80000 79976.47 9/1/2006 8/1/2021 815.2 1103593586 SFR 1 NOO PURCHASE N 6.25 6.25 453700 453700 9/1/2006 8/1/2036 2363.02 1103593587 SFR 1 NOO PURCHASE N 11.875 11.875 90800 90773.29 9/1/2006 8/1/2021 925.25 1103593594 SFR 1 NOO PURCHASE N 6.5 6.5 310000 310000 9/1/2006 8/1/2036 1679.17 1103593635 SFR 1 OO PURCHASE N 6.99 6.99 207900 207900 9/1/2006 8/1/2036 1211.02 1103593636 PUD 1 NOO REFI Y 8.875 8.875 208500 208383.11 9/1/2006 8/1/2036 1658.92 1103593641 SFR 1 NOO REFI Y 6.25 6.25 110000 109895.63 9/1/2006 8/1/2036 677.29 1103593661 PUD 1 NOO PURCHASE N 7.75 7.75 256000 256000 9/1/2006 8/1/2036 1653.33 1103593663 PUD 1 NOO REFI Y 7.125 7.125 198000 198000 10/1/2006 9/1/2036 1175.63 1103593669 SFR 1 NOO REFI N 8.125 8.125 432000 432000 9/1/2006 8/1/2036 2925 1103593685 SFR 1 OO PURCHASE N 8.125 8.125 280000 280000 9/1/2006 8/1/2036 1895.83 1103593686 SFR 1 OO PURCHASE N 11.875 11.875 70000 69979.41 9/1/2006 8/1/2021 713.3 1103593692 CONDO 1 OO PURCHASE N 7.625 7.625 256000 256000 9/1/2006 8/1/2036 1626.67 1103593693 CONDO 1 OO PURCHASE N 12 12 64000 64000 9/1/2006 8/1/2021 640 1103593727 SFR 1 2ND PURCHASE N 7.875 7.875 142400 142400 9/1/2006 8/1/2036 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SFR 1 2ND REFI Y 7.625 7.625 465000 465000 8/1/2006 7/1/2036 2954.69 1103593900 SFR 1 OO PURCHASE N 7.375 7.375 604000 603077.98 8/1/2006 7/1/2036 4171.68 1103593901 SFR 1 OO REFI Y 6.875 6.875 300000 300000 8/1/2006 7/1/2036 1718.75 1103593910 2-4FAMILY 3 OO PURCHASE N 11.5 11.5 80400 80348.37 8/1/2006 7/1/2021 796.19 1103593922 SFR 1 OO REFI Y 7.75 7.75 417000 417000 7/1/2006 6/1/2036 2693.13 1103593923 SFR 1 OO REFI N 6.875 6.875 267500 266333.84 7/1/2006 6/1/2036 1532.55 1103593924 SFR 1 NOO PURCHASE N 7.125 7.125 290736 290736 7/1/2006 6/1/2036 1726.25 1103593925 SFR 1 OO PURCHASE N 7.25 7.25 452866 452866 8/1/2006 7/1/2036 2736.07 1103593927 SFR 1 OO PURCHASE N 7.875 7.875 376000 376000 7/1/2006 6/1/2036 2467.5 1103593928 SFR 1 OO REFI Y 7.5 7.5 372800 372800 7/1/2006 6/1/2036 2330 1103593929 SFR 1 OO PURCHASE N 6.75 6.75 256000 256000 8/1/2006 7/1/2036 1440 1103593930 CONDO 1 OO REFI Y 6.5 6.5 240000 240000 7/1/2006 6/1/2036 1300 1103593932 SFR 1 OO PURCHASE N 7.5 7.5 412000 411999.46 8/1/2006 7/1/2036 2575 1103593934 SFR 1 OO PURCHASE N 6.875 6.875 231200 231200 7/1/2006 6/1/2036 1324.58 1103593935 SFR 1 OO PURCHASE N 6.25 6.25 416990 416990 7/1/2006 6/1/2036 2171.82 1103593936 SFR 1 OO PURCHASE N 6.75 6.75 384000 384000 7/1/2006 6/1/2036 2490.62 1103593937 SFR 1 OO PURCHASE N 6.625 6.625 372000 372000 8/1/2006 7/1/2036 2053.75 1103593938 SFR 1 OO PURCHASE N 7.25 7.25 336000 336000 8/1/2006 7/1/2036 2030 1103593939 SFR 1 OO PURCHASE N 7.5 7.5 417000 417000 8/1/2006 7/1/2036 2606.25 1103593940 CONDO 1 OO REFI Y 6.125 6.125 182000 181466.61 7/1/2006 6/1/2036 1105.85 1103593946 SFR 1 OO PURCHASE N 5.625 5.625 176000 175975 8/1/2006 7/1/2036 825 1103593947 PUD 1 OO PURCHASE N 6.375 6.375 171600 171600 6/1/2006 5/1/2036 911.63 1103593948 SFR 1 OO PURCHASE N 6.25 6.25 392000 392000 8/1/2006 7/1/2036 2041.67 1103593949 SFR 1 OO PURCHASE N 6.75 6.75 110000 110000 8/1/2006 7/1/2036 618.75 1103593950 SFR 1 OO PURCHASE N 6.5 6.5 178800 178800 8/1/2006 7/1/2036 968.5 1103593951 CONDO 1 2ND PURCHASE N 6.5 6.5 128000 128000 8/1/2006 7/1/2036 693.33 1103593952 SFR 1 OO PURCHASE N 6.75 6.75 223920 223920 8/1/2006 7/1/2036 1259.55 1103593953 SFR 1 OO PURCHASE N 5.875 5.875 280000 280000 8/1/2006 7/1/2036 1370.83 1103593955 PUD 1 OO REFI N 6.875 6.875 324000 324000 8/1/2006 7/1/2036 1856.25 1103593956 CONDO 1 OO PURCHASE N 6.375 6.375 257250 256936.64 8/1/2006 7/1/2036 1366.64 1103593957 PUD 1 OO PURCHASE N 7.625 7.625 452400 452400 8/1/2006 7/1/2036 2874.63 1103593958 PUD 1 OO PURCHASE N 7.75 7.75 406000 405425.05 8/1/2006 7/1/2036 2908.63 1103593959 PUD 1 OO REFI Y 6.625 6.625 152000 152000 8/1/2006 7/1/2036 839.17 1103593960 SFR 1 OO PURCHASE N 7 7 384000 384000 8/1/2006 7/1/2036 2240 1103593961 SFR 1 OO PURCHASE N 6.875 6.875 373950 373950 8/1/2006 7/1/2036 2142.42 1103593962 SFR 1 OO PURCHASE N 7.625 7.625 480000 480000 8/1/2006 7/1/2036 3050 1103593963 PUD 1 OO PURCHASE N 7.5 7.5 500000 500000 8/1/2006 7/1/2036 3125 1103593964 SFR 1 OO REFI Y 7.5 7.5 468000 468000 8/1/2006 7/1/2036 2925 1103593965 PUD 1 OO PURCHASE N 7.375 7.375 304956 304956 8/1/2006 7/1/2036 1874.21 1103593967 SFR 1 OO REFI Y 6.875 6.875 296800 296800 9/1/2006 8/1/2036 1700.42 1103593968 SFR 1 OO PURCHASE N 7.375 7.375 300000 300000 8/1/2006 7/1/2036 1843.75 1103593969 SFR 1 OO PURCHASE N 6.875 6.875 749280 749280 8/1/2006 7/1/2036 4292.75 1103593971 PUD 1 OO PURCHASE N 7.375 7.375 172000 172000 8/1/2006 7/1/2036 1057.08 1103593972 SFR 1 OO REFI N 6.875 6.875 348000 348000 8/1/2006 7/1/2036 1993.75 1103593973 SFR 1 OO PURCHASE N 6.875 6.875 687900 687900 8/1/2006 7/1/2036 3941.09 1103593974 SFR 1 OO PURCHASE N 7.25 7.25 498750 498750 8/1/2006 7/1/2036 3013.28 1103593975 PUD 1 OO PURCHASE N 6.875 6.875 329600 329600 8/1/2006 7/1/2036 1888.33 1103593976 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 248000 248000 8/1/2006 7/1/2036 1498.33 1103593978 PUD 1 OO REFI N 7.25 7.25 487000 487000 8/1/2006 7/1/2036 2942.29 1103593979 PUD 1 OO REFI Y 6.875 6.875 157400 157400 8/1/2006 7/1/2036 901.77 1103593980 SFR 1 2ND PURCHASE N 7.25 7.25 252000 251794.25 8/1/2006 7/1/2036 1522.5 1103593981 PUD 1 OO PURCHASE N 6.875 6.875 534250 534250 8/1/2006 7/1/2036 3060.81 1103593982 SFR 1 OO PURCHASE N 6.875 6.875 184000 184000 8/1/2006 7/1/2036 1054.17 1103593983 SFR 1 NOO PURCHASE N 7.625 7.625 308900 308900 8/1/2006 7/1/2036 1962.8 1103593984 SFR 1 OO PURCHASE N 7.375 7.375 324000 324000 8/1/2006 7/1/2036 1991.25 1103593985 SFR 1 OO PURCHASE N 6.875 6.875 286400 286400 8/1/2006 7/1/2036 1640.83 1103593986 SFR 1 OO PURCHASE N 7 7 388000 388000 8/1/2006 7/1/2036 2263.33 1103593987 SFR 1 OO PURCHASE N 7.125 7.125 515200 515200 8/1/2006 7/1/2036 3059 1103593988 PUD 1 OO PURCHASE N 7.25 7.25 440000 440000 8/1/2006 7/1/2036 2658.33 1103593989 CONDO 1 OO PURCHASE N 7 7 195000 195000 8/1/2006 7/1/2036 1137.5 1103593990 CONDO 1 OO PURCHASE N 6.875 6.875 417000 417000 8/1/2006 7/1/2036 2389.06 1103593991 SFR 1 OO PURCHASE N 7.75 7.75 348000 348000 8/1/2006 7/1/2036 2247.5 1103593992 SFR 1 OO REFI N 6.875 6.875 280000 280000 8/1/2006 7/1/2036 1604.17 1103593993 SFR 1 OO PURCHASE N 7.875 7.875 479200 479200 8/1/2006 7/1/2036 3144.75 1103593994 PUD 1 OO PURCHASE N 7.375 7.375 519200 519200 8/1/2006 7/1/2036 3190.92 1103593999 SFR 1 NOO REFI Y 6.5 6.5 230300 230300 8/1/2006 7/1/2036 1247.46 1103594000 SFR 1 OO REFI Y 7.125 7.125 380000 379390.44 8/1/2006 7/1/2036 2560.13 1103594001 SFR 1 OO REFI Y 6.75 6.75 346500 346500 8/1/2006 7/1/2036 1949.06 1103594002 SFR 1 NOO REFI N 6.25 6.25 414700 414700 8/1/2006 7/1/2036 2159.9 1103594003 CONDO 1 OO PURCHASE N 6.5 6.5 684855 684855 8/1/2006 7/1/2036 3709.63 1103594004 2-4FAMILY 2 NOO REFI Y 7 7 290000 289381.54 8/1/2006 7/1/2036 1929.38 1103594005 TOWNHOUSE 1 NOO REFI Y 5.75 5.75 221000 221000 7/1/2006 6/1/2036 1058.96 1103594006 PUD 1 OO PURCHASE N 6.999 6.999 452000 452000 8/1/2006 7/1/2036 2636.29 1103594007 PUD 1 OO PURCHASE N 7 7 661440 661440 7/1/2006 6/1/2036 3858.4 1103594008 SFR 1 OO PURCHASE N 6.75 6.75 227500 227500 7/1/2006 6/1/2036 1279.69 1103594009 SFR 1 OO REFI Y 6.75 6.75 200000 199654.63 8/1/2006 7/1/2036 1297.2 1103594010 SFR 1 OO REFI Y 6.125 6.125 255500 255500 7/1/2006 6/1/2036 1304.11 1103594011 SFR 1 2ND REFI Y 6.625 6.625 525000 524536.81 8/1/2006 7/1/2036 2898.44 1103594012 CONDO 1 NOO PURCHASE N 6.875 6.875 196700 196700 8/1/2006 7/1/2036 1126.93 1103594013 SFR 1 OO PURCHASE N 5.875 5.875 382000 382000 8/1/2006 7/1/2036 1870.21 1103594014 SFR 1 OO REFI Y 6.25 6.25 438750 438750 8/1/2006 7/1/2036 2285.16 1103594015 SFR 1 OO REFI N 6.625 6.625 567000 567000 8/1/2006 7/1/2036 3130.31 1103594016 CONDO 1 NOO REFI Y 5.999 5.999 280000 280000 8/1/2006 7/1/2036 1399.77 1103594017 SFR 1 OO REFI Y 6.875 6.875 434000 434000 8/1/2006 7/1/2036 2486.46 1103594018 SFR 1 NOO REFI Y 6.999 6.999 319900 319900 8/1/2006 7/1/2036 1865.82 1103594019 CONDO 1 OO REFI Y 5.999 5.999 252000 252000 7/1/2006 6/1/2036 1259.79 1103594020 SFR 1 OO REFI Y 6.5 6.5 384300 384300 8/1/2006 7/1/2036 2081.63 1103594021 CONDO 1 OO PURCHASE N 7 7 208400 208400 8/1/2006 7/1/2036 1215.67 1103594029 SFR 1 NOO REFI N 7.125 7.125 205207 205207 8/1/2006 7/1/2036 1218.42 1103594030 SFR 1 NOO PURCHASE N 9.625 9.625 151905 151905 8/1/2006 7/1/2036 1218.4 1103594032 2-4FAMILY 2 NOO PURCHASE N 7.875 7.875 284050 284050 6/1/2006 5/1/2036 1864.08 1103594033 CONDO 1 OO PURCHASE N 7.5 7.5 146990 146990 7/1/2006 6/1/2036 918.69 1103594034 SFR 1 OO REFI Y 8.625 8.625 136000 136000 8/1/2006 7/1/2036 977.5 1103594035 SFR 1 2ND REFI Y 8.375 8.375 125100 125100 8/1/2006 7/1/2036 873.09 1103594036 CONDO 1 NOO PURCHASE N 8 8 125520 125520 8/1/2006 7/1/2036 836.8 1103594037 SFR 1 NOO PURCHASE N 7.75 7.75 139000 139000 8/1/2006 7/1/2036 897.71 1103594038 PUD 1 NOO PURCHASE N 8.25 8.25 353020 353020 8/1/2006 7/1/2036 2427.01 1103594039 PUD 1 NOO REFI Y 7.875 7.875 243000 243000 8/1/2006 7/1/2036 1594.69 1103594040 SFR 1 OO REFI N 7.875 7.875 212000 212000 8/1/2006 7/1/2036 1391.25 1103594041 CONDO 1 NOO PURCHASE N 8.125 8.125 175630 175630 7/1/2006 6/1/2036 1189.16 1103594042 CONDO 1 OO PURCHASE N 7.5 7.5 142405 142405 8/1/2006 7/1/2036 890.03 1103594043 CONDO 1 OO PURCHASE N 8.25 8.25 170900 170900 7/1/2006 6/1/2036 1174.94 1103594045 2-4FAMILY 2 NOO REFI Y 7.875 7.875 211000 211000 8/1/2006 7/1/2036 1384.69 1103594047 SFR 1 OO PURCHASE N 6.25 6.25 584000 584000 7/1/2006 6/1/2036 3041.67 1103594049 SFR 1 2ND REFI N 8.125 8.125 252605 244918.65 8/1/2006 7/1/2036 1710.35 1103594050 CONDO 1 OO PURCHASE N 7.375 7.375 144000 144000 8/1/2006 7/1/2036 885 1103594054 CONDO 1 NOO PURCHASE N 7.125 7.125 99840 99840 8/1/2006 7/1/2036 592.8 1103594055 CONDO 1 OO PURCHASE N 7.875 7.875 156750 156750 7/1/2006 6/1/2036 1028.67 1103594057 CONDO 1 NOO PURCHASE N 9 9 166491 166428.57 7/1/2006 6/1/2036 1248.68 1103594058 CONDO 1 2ND PURCHASE N 7.625 7.625 85000 85000 8/1/2006 7/1/2036 540.1 1103594059 SFR 1 OO PURCHASE N 7.625 7.625 216000 216000 7/1/2006 6/1/2036 1372.5 1103594060 CONDO 1 NOO REFI Y 7.875 7.875 576000 576000 7/1/2006 6/1/2036 3780 1103594061 CONDO 1 NOO PURCHASE N 9.75 9.75 141210 141210 8/1/2006 7/1/2036 1147.33 1103594062 PUD 1 OO REFI Y 6.875 6.875 204000 204000 8/1/2006 7/1/2036 1168.75 1103594063 CONDO 1 NOO PURCHASE N 7.5 7.5 142560 142560 8/1/2006 7/1/2036 891 1103594064 CONDO 1 NOO PURCHASE N 8 8 114080 114080 8/1/2006 7/1/2036 760.53 1103594065 PUD 1 OO REFI Y 7.75 7.75 712000 712000 8/1/2006 7/1/2036 4598.33 1103594066 PUD 1 OO PURCHASE N 7.375 7.375 256405 256405 7/1/2006 6/1/2036 1575.82 1103594067 CONDO 1 NOO PURCHASE N 8.5 8.5 122310 122310 7/1/2006 6/1/2036 866.36 1103594068 CONDO 1 NOO PURCHASE N 9.75 9.75 141210 141210 8/1/2006 7/1/2036 1147.33 1103594069 CONDO 1 NOO PURCHASE N 7.625 7.625 124110 124110 8/1/2006 7/1/2036 788.62 1103594070 SFR 1 OO PURCHASE N 7.875 7.875 180500 180500 8/1/2006 7/1/2036 1184.53 1103594071 SFR 1 NOO PURCHASE N 7 7 164000 163999.97 8/1/2006 7/1/2036 956.67 1103594072 CONDO 1 NOO PURCHASE N 6.875 6.875 143920 143920 8/1/2006 7/1/2036 824.54 1103594074 PUD 1 NOO PURCHASE N 7.25 7.25 387000 387000 8/1/2006 7/1/2036 2338.13 1103594075 SFR 1 OO PURCHASE N 7.25 7.25 165000 165000 8/1/2006 7/1/2036 996.88 1103594076 SFR 1 NOO PURCHASE N 7.75 7.75 175750 175750 8/1/2006 7/1/2036 1135.05 1103594077 SFR 1 OO PURCHASE N 8.75 8.75 260727 260727 8/1/2006 7/1/2036 1901.13 1103594078 SFR 1 NOO PURCHASE N 7.875 7.875 170000 170000 8/1/2006 7/1/2036 1115.63 1103594079 PUD 1 OO REFI Y 6.75 6.75 218400 218400 8/1/2006 7/1/2036 1228.5 1103594080 CONDO 1 OO PURCHASE N 7.875 7.875 164900 164900 8/1/2006 7/1/2036 1082.16 1103594081 SFR 1 OO REFI Y 8 8 206000 206000 8/1/2006 7/1/2036 1373.33 1103594082 PUD 1 OO REFI Y 8.375 8.375 229500 229500 8/1/2006 7/1/2036 1601.72 1103594085 CONDO 1 OO PURCHASE N 7.125 7.125 220400 220298.78 7/1/2006 6/1/2036 1308.63 1103594087 SFR 1 OO REFI Y 6.875 6.875 188000 188000 8/1/2006 7/1/2036 1077.08 1103594088 CONDO 1 OO PURCHASE N 7.25 7.25 165000 165000 7/1/2006 6/1/2036 996.88 1103594089 PUD 1 OO REFI Y 7.5 7.5 207000 207000 8/1/2006 7/1/2036 1293.75 1103594090 PUD 1 2ND PURCHASE N 7.625 7.625 362150 362150 7/1/2006 6/1/2036 2301.16 1103594091 SFR 1 OO PURCHASE N 8.25 8.25 408500 408400 8/1/2006 7/1/2036 2808.44 1103594092 CONDO 1 OO PURCHASE N 7.75 7.75 191805 191805 7/1/2006 6/1/2036 1238.74 1103594094 PUD 1 2ND PURCHASE N 7.875 7.875 177650 177650 7/1/2006 6/1/2036 1165.83 1103594095 SFR 1 2ND PURCHASE N 7.125 7.125 256000 256000 8/1/2006 7/1/2036 1520 1103594096 CONDO 1 OO PURCHASE N 7.375 7.375 171900 171900 7/1/2006 6/1/2036 1056.47 1103594097 SFR 1 OO PURCHASE N 6.875 6.875 181600 181600 8/1/2006 7/1/2036 1040.42 1103594098 CONDO 1 2ND PURCHASE N 7.875 7.875 155790 155790 8/1/2006 7/1/2036 1022.37 1103594099 PUD 1 NOO PURCHASE N 8.5 8.5 293550 293550 8/1/2006 7/1/2036 2079.31 1103594100 SFR 1 OO PURCHASE N 7.375 7.375 295200 295200 7/1/2006 6/1/2036 1814.25 1103594101 SFR 1 NOO PURCHASE N 7 7 146300 146300 7/1/2006 6/1/2036 853.42 1103594102 CONDO 1 OO PURCHASE N 6.875 6.875 417600 417600 8/1/2006 7/1/2036 2392.5 1103594103 SFR 1 OO REFI Y 7.5 7.5 204000 203936.25 7/1/2006 6/1/2036 1275 1103594105 PUD 1 2ND PURCHASE N 7.75 7.75 156000 156000 8/1/2006 7/1/2036 1007.5 1103594106 PUD 1 NOO PURCHASE N 7.5 7.5 176990 176990 7/1/2006 6/1/2036 1106.19 1103594107 SFR 1 NOO PURCHASE N 7.375 7.375 132300 132300 8/1/2006 7/1/2036 813.09 1103594108 CONDO 1 NOO PURCHASE N 8.875 8.875 166250 166250 8/1/2006 7/1/2036 1229.56 1103594109 SFR 1 2ND REFI Y 7.75 7.75 178000 178000 7/1/2006 6/1/2036 1149.58 1103594110 CONDO 1 OO REFI Y 7.75 7.75 171000 171000 8/1/2006 7/1/2036 1104.38 1103594111 CONDO 1 OO PURCHASE N 7.875 7.875 128250 128214.17 8/1/2006 7/1/2036 841.64 1103594112 SFR 1 OO PURCHASE N 7.375 7.375 192000 192000 8/1/2006 7/1/2036 1180 1103594113 CONDO 1 NOO PURCHASE N 7.875 7.875 182400 182400 8/1/2006 7/1/2036 1197 1103594114 CONDO 1 NOO PURCHASE N 6.875 6.875 143920 143920 8/1/2006 7/1/2036 824.54 1103594116 PUD 1 OO PURCHASE N 7.625 7.625 148200 148200 8/1/2006 7/1/2036 941.69 1103594117 CONDO 1 OO REFI Y 7.125 7.125 157250 157250 8/1/2006 7/1/2036 933.67 1103594118 2-4FAMILY 4 NOO PURCHASE N 8.625 8.625 252000 252000 8/1/2006 7/1/2036 1811.25 1103594119 PUD 1 NOO PURCHASE N 7.375 7.375 222480 222480 8/1/2006 7/1/2036 1367.33 1103594120 PUD 1 OO PURCHASE N 7.875 7.875 339900 339900 8/1/2006 7/1/2036 2230.59 1103594121 CONDO 1 OO PURCHASE N 7.875 7.875 171900 171900 8/1/2006 7/1/2036 1128.09 1103594122 CONDO 1 OO PURCHASE N 7.125 7.125 86900 86900 8/1/2006 7/1/2036 515.97 1103594123 CONDO 1 OO PURCHASE N 8 8 197600 197600 8/1/2006 7/1/2036 1317.33 1103594124 2-4FAMILY 2 NOO PURCHASE N 8.25 8.25 294500 294500 8/1/2006 7/1/2036 2024.69 1103594125 CONDO 1 OO REFI Y 7.875 7.875 184500 184500 8/1/2006 7/1/2036 1210.78 1103594126 PUD 1 OO PURCHASE N 6.375 6.375 316000 316000 8/1/2006 7/1/2036 1678.75 1103594127 PUD 1 NOO REFI Y 6.875 6.875 465000 465000 8/1/2006 7/1/2036 2664.06 1103594128 SFR 1 OO REFI Y 7 7 180000 180000 8/1/2006 7/1/2036 1050 1103594129 2-4FAMILY 4 NOO PURCHASE N 8.625 8.625 252000 252000 8/1/2006 7/1/2036 1811.25 1103594131 CONDO 1 NOO PURCHASE N 8 8 142405 142405 8/1/2006 7/1/2036 949.37 1103594133 SFR 1 NOO REFI Y 7.25 7.25 135000 135000 8/1/2006 7/1/2036 815.63 1103594136 SFR 1 OO PURCHASE N 6.5 6.5 232000 231999.5 8/1/2006 7/1/2036 1256.67 1103594137 SFR 1 OO PURCHASE N 8.375 8.375 119377 119377 8/1/2006 7/1/2036 833.15 1103594138 CONDO 1 OO PURCHASE N 7.5 7.5 170050 170050 8/1/2006 7/1/2036 1062.81 1103594139 2-4FAMILY 2 NOO REFI Y 7.875 7.875 300000 300000 8/1/2006 7/1/2036 1968.75 1103594140 SFR 1 OO PURCHASE N 7.25 7.25 200000 200000 8/1/2006 7/1/2036 1208.33 1103594141 2-4FAMILY 3 NOO PURCHASE N 8.375 8.375 269100 269100 8/1/2006 7/1/2036 1878.09 1103594142 PUD 1 OO PURCHASE N 6.375 6.375 217600 217600 8/1/2006 7/1/2036 1156 1103594144 PUD 1 OO PURCHASE N 5.5 5.5 295000 295000 8/1/2006 7/1/2036 1352.08 1103594145 SFR 1 NOO PURCHASE N 7.5 7.5 177555 177555 8/1/2006 7/1/2036 1109.72 1103594146 SFR 1 NOO PURCHASE N 7.375 7.375 193500 193500 7/1/2006 6/1/2036 1189.22 1103594147 CONDO 1 OO PURCHASE N 7.5 7.5 184900 184900 8/1/2006 7/1/2036 1155.63 1103594148 CONDO 1 NOO PURCHASE N 7.125 7.125 92625 92625 8/1/2006 7/1/2036 549.96 1103594151 2-4FAMILY 2 NOO PURCHASE N 8.375 8.375 369000 366876.98 1/1/2006 12/1/2035 2804.67 1103594152 SFR 1 NOO PURCHASE N 7.5 7.5 80100 79920.55 7/1/2006 6/1/2036 560.07 1103594153 2-4FAMILY 2 NOO PURCHASE N 9 9 91800 91648.45 7/1/2006 6/1/2036 738.64 1103594154 SFR 1 NOO REFI N 7.75 7.75 223000 222524.76 7/1/2006 6/1/2036 1597.6 1103594155 SFR 1 NOO PURCHASE N 8.75 8.75 52155 52094.77 8/1/2006 7/1/2036 410.3 1103594156 PUD 1 OO PURCHASE N 7.125 7.125 325200 324678.35 8/1/2006 7/1/2036 2190.93 1103594157 PUD 1 OO PURCHASE N 7.5 7.5 265500 264704.44 6/1/2006 5/1/2036 1856.41 1103594158 SFR 1 OO PURCHASE N 8.625 8.625 492000 491416.95 8/1/2006 7/1/2036 3826.73 1103594159 SFR 1 NOO PURCHASE N 8.25 8.25 122455 121824.45 7/1/2006 6/1/2036 919.96 1103594160 CONDO 1 NOO PURCHASE N 8.25 8.25 158792 158486.13 7/1/2006 6/1/2036 1192.95 1103594161 PUD 1 OO REFI Y 6.75 6.75 125840 125622.69 8/1/2006 7/1/2036 816.2 1103594163 CONDO 1 OO REFI N 7.625 7.625 147000 146673.15 7/1/2006 6/1/2036 1040.46 1103594164 SFR 1 NOO PURCHASE N 7.375 7.375 126400 126109.7 7/1/2006 6/1/2036 873.01 1103594165 PUD 1 NOO REFI Y 8.375 8.375 252000 251685.65 8/1/2006 7/1/2036 1915.38 1103594166 CONDO 1 NOO PURCHASE N 6.75 6.75 244000 243578.66 8/1/2006 7/1/2036 1582.58 1103594167 PUD 1 2ND PURCHASE N 6.75 6.75 346750 346151.24 8/1/2006 7/1/2036 2249.01 1103594168 PUD 1 OO PURCHASE N 6.375 6.375 248000 247539.38 8/1/2006 7/1/2036 1547.2 1103594169 SFR 1 OO PURCHASE N 7.875 7.875 218610 218308.13 8/1/2006 7/1/2036 1585.07 1103594170 CONDO 1 NOO PURCHASE N 8.125 8.125 71451 71309.84 7/1/2006 6/1/2036 530.52 1103594171 SFR 1 NOO PURCHASE N 8.125 8.125 171950 171610.29 7/1/2006 6/1/2036 1276.72 1103594172 CONDO 1 NOO PURCHASE N 8.25 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SFR 1 OO PURCHASE N 7.375 7.375 272000 272000 8/1/2006 7/1/2036 1671.67 1103594674 TOWNHOUSE 1 NOO REFI Y 8.375 8.375 108450 108450 8/1/2006 7/1/2036 756.89 1103594675 SFR 1 OO PURCHASE N 7.25 7.25 471900 471900 8/1/2006 7/1/2036 2851.06 1103594676 SFR 1 NOO PURCHASE N 8 8 134000 134000 7/1/2006 6/1/2036 893.33 1103594677 TOWNHOUSE 1 OO REFI Y 7.125 7.125 235000 233528.87 8/1/2006 7/1/2021 2128.7 1103594678 SFR 1 OO REFI N 7.875 7.875 268000 267629.91 8/1/2006 7/1/2036 1943.19 1103594679 SFR 1 OO REFI Y 7.875 7.875 192800 192533.77 8/1/2006 7/1/2036 1397.93 1103594680 HI-RISE 1 OO PURCHASE N 7.875 7.875 207900 207467.95 7/1/2006 6/1/2036 1507.42 1103594681 SFR 1 OO PURCHASE N 7.5 7.5 255000 254830.81 8/1/2006 7/1/2036 1678.08 1103594707 SFR 1 NOO PURCHASE N 7 7 419250 419249.8 9/1/2006 8/1/2036 2445.63 1103594709 SFR 1 OO PURCHASE N 11.5 11.5 29700 29684.63 9/1/2006 8/1/2021 294.12 1103594721 PUD 1 OO REFI Y 12.05 12.05 25500 25492.78 9/1/2006 8/1/2021 263.28 1103594732 TOWNHOUSE 1 OO PURCHASE N 8.5 8.5 322650 322650 10/1/2006 9/1/2036 2285.44 1103594762 SFR 1 OO REFI Y 9.625 9.625 220000 220000 9/1/2006 8/1/2036 1764.58 1103594769 SFR 1 OO REFI Y 13.25 13.25 55000 54988.11 9/1/2006 8/1/2021 619.18 1103594774 2-4FAMILY 4 NOO PURCHASE N 6.875 6.875 132300 132300 9/1/2006 8/1/2036 757.97 1103594796 SFR 1 OO REFI Y 6.375 6.375 550000 550000 9/1/2006 8/1/2036 2921.88 1103594802 PUD 1 OO PURCHASE N 11.9 11.9 70000 69979.52 9/1/2006 8/1/2021 714.65 1103594811 CONDO 1 OO PURCHASE N 7.75 7.75 168000 168000 9/1/2006 8/1/2036 1085 1103594834 CONDO 1 OO REFI Y 12.45 12.45 79800 79779.35 9/1/2006 8/1/2021 848.58 1103594852 CONDO 1 NOO PURCHASE N 8.625 8.625 115000 114932.1 9/1/2006 8/1/2036 894.46 1103594853 SFR 1 OO PURCHASE N 7.25 7.25 377000 376705.91 9/1/2006 8/1/2036 2571.8 1103594870 SFR 1 OO PURCHASE N 7.5 7.5 191200 191058.1 9/1/2006 8/1/2036 1336.9 1103594871 SFR 1 OO PURCHASE N 11.075 11.075 47800 47783.23 9/1/2006 8/1/2021 457.92 1103594887 SFR 1 OO PURCHASE N 9 9 180319 180220.5 9/1/2006 8/1/2036 1450.89 1103594932 SFR 1 OO REFI Y 8.11 8.11 147000 146903.55 9/1/2006 8/1/2036 1089.93 1103594973 CONDO 1 NOO PURCHASE N 6.375 6.375 168000 168000 10/1/2006 9/1/2036 892.5 1103595007 SFR 1 OO PURCHASE N 6.875 6.875 316000 316000 10/1/2006 9/1/2036 1810.42 1103595008 SFR 1 OO PURCHASE N 11.75 11.75 79000 79000 10/1/2006 9/1/2021 797.43 1103595009 PUD 1 NOO PURCHASE N 13.75 13.75 74950 74935.55 9/1/2006 8/1/2021 873.25 1103595055 SFR 1 NOO PURCHASE N 7.75 7.75 266250 266250 10/1/2006 9/1/2036 1719.53 1103595072 SFR 1 OO PURCHASE N 7.375 7.375 360000 360000 9/1/2006 8/1/2036 2212.5 1103595073 SFR 1 OO PURCHASE N 10.5 10.5 90000 89964.23 9/1/2006 8/1/2021 823.27 1103595074 HI-RISE 1 NOO PURCHASE N 8.625 8.625 320250 320250 10/1/2006 9/1/2036 2301.8 1103595087 SFR 1 2ND REFI Y 7.875 7.875 270000 270000 9/1/2006 8/1/2036 1771.88 1103595102 CONDO 1 NOO PURCHASE N 13 13 37398 37398 10/1/2006 9/1/2021 413.7 1103595174 CONDO 1 OO PURCHASE N 7.99 7.99 196000 196000 9/1/2006 8/1/2036 1305.03 1103595211 PUD 1 NOO PURCHASE N 9.125 9.125 399950 399950 9/1/2006 8/1/2036 3041.29 1103595229 TOWNHOUSE 1 NOO PURCHASE N 8.125 8.125 70060 70014.17 9/1/2006 8/1/2036 520.19 1103595251 SFR 1 OO REFI Y 7.42 7.42 585000 585000 9/1/2006 8/1/2036 3617.25 1103595257 HI-RISE 1 NOO PURCHASE N 11.5 11.5 379300 379300 9/1/2006 8/1/2036 3634.96 1103595267 SFR 1 OO PURCHASE N 7.625 7.625 400000 399710.49 9/1/2006 8/1/2036 2831.18 1103595272 PUD 1 OO PURCHASE N 6.375 6.375 460000 460000 10/1/2006 9/1/2036 2443.75 1103595280 CONDO 1 2ND PURCHASE N 7.375 7.375 272300 272300 10/1/2006 9/1/2036 1673.51 1103595287 CONDO 1 2ND PURCHASE N 14.5 14.5 97200 97200 10/1/2006 9/1/2036 1174.5 1103595306 SFR 1 OO REFI Y 6.625 6.625 188000 188000 10/1/2006 9/1/2036 1037.92 1103595336 SFR 1 OO REFI Y 12.5 12.5 40800 40789.56 9/1/2006 8/1/2021 435.44 1103595344 SFR 1 NOO PURCHASE N 7.25 7.25 318500 318500 10/1/2006 9/1/2036 1924.27 1103595346 SFR 1 NOO PURCHASE N 12.375 12.375 113750 113750 10/1/2006 9/1/2021 1202.98 1103595374 CONDO 1 2ND PURCHASE N 8.5 8.5 169500 169500 9/1/2006 8/1/2036 1200.63 1103595375 CONDO 1 2ND PURCHASE N 13.75 13.75 21200 21195.92 9/1/2006 8/1/2036 247 1103595413 CONDO 1 OO PURCHASE N 8.625 8.625 746250 745809.41 9/1/2006 8/1/2036 5804.26 1103595414 CONDO 1 OO PURCHASE N 13.075 13.075 248750 248694.08 9/1/2006 8/1/2021 2766.26 1103595440 PUD 1 OO PURCHASE N 6.5 6.5 1980000 1980000 9/1/2006 8/1/2036 10725 1103595503 SFR 1 OO REFI Y 7.875 7.875 440000 439392.39 9/1/2006 8/1/2036 3190.31 1103595520 PUD 1 OO REFI Y 8.875 8.875 100000 100000 9/1/2006 8/1/2036 739.58 1103595524 SFR 1 OO PURCHASE N 7.875 7.875 108000 108000 10/1/2006 9/1/2036 783.07 1103595528 SFR 1 OO REFI Y 12.99 12.99 34950 34941.99 9/1/2006 8/1/2021 386.34 1103595531 CONDO 1 NOO PURCHASE N 7.75 7.75 104923 104923 10/1/2006 9/1/2036 677.63 1103595534 SFR 1 OO PURCHASE N 7.25 7.25 288000 288000 9/1/2006 8/1/2036 1740 1103595538 SFR 1 OO PURCHASE N 10.5 10.5 72000 71971.39 9/1/2006 8/1/2021 658.61 1103595562 SFR 1 NOO REFI Y 12.5 12.5 35000 34991.04 9/1/2006 8/1/2021 373.54 1103595572 SFR 1 OO PURCHASE N 7.875 7.875 688000 688000 9/1/2006 8/1/2036 4515 1103595575 SFR 1 OO PURCHASE N 6.875 6.875 456750 456750 9/1/2006 8/1/2036 2616.8 1103595589 SFR 1 2ND PURCHASE N 8.75 8.75 143528 143528 10/1/2006 9/1/2036 1046.56 1103595592 SFR 1 OO PURCHASE N 7.375 7.375 253600 253600 9/1/2006 8/1/2036 1558.58 1103595593 SFR 1 OO PURCHASE N 11.875 11.875 63400 63381.35 9/1/2006 8/1/2021 646.05 1103595600 SFR 1 OO PURCHASE N 6.99 6.99 388000 388000 10/1/2006 9/1/2036 2408.34 1103595607 SFR 1 OO PURCHASE N 7.5 7.5 297650 297650 9/1/2006 8/1/2036 1860.31 1103595610 CONDO 1 NOO PURCHASE N 6.5 6.5 146993 146993 9/1/2006 8/1/2036 796.21 1103595613 SFR 1 OO PURCHASE N 10.625 10.625 74400 74371.22 9/1/2006 8/1/2021 687.53 1103595628 SFR 1 OO REFI Y 6.966 6.966 112000 111645.6 9/1/2006 8/1/2021 1004.56 1103595640 CONDO 1 OO PURCHASE N 7.25 7.25 209992 209992 10/1/2006 9/1/2036 1268.7 1103595665 CONDO 1 NOO PURCHASE N 11.75 11.75 52497 52481.12 9/1/2006 8/1/2021 529.91 1103595707 SFR 1 2ND PURCHASE N 8.625 8.625 135200 135200 9/1/2006 8/1/2036 971.75 1103595708 SFR 1 NOO PURCHASE N 8.25 8.25 224000 224000 9/1/2006 8/1/2036 1540 1103595709 SFR 1 NOO PURCHASE N 13.875 13.875 80000 79985.01 9/1/2006 8/1/2021 939.99 1103595718 SFR 1 OO PURCHASE N 8.625 8.625 750000 750000 9/1/2006 8/1/2036 5390.63 1103595757 SFR 1 OO PURCHASE N 8.875 8.875 172000 172000 9/1/2006 8/1/2036 1272.08 1103595758 SFR 1 OO PURCHASE N 11.075 11.075 43000 42984.91 9/1/2006 8/1/2021 411.94 1103595759 SFR 1 OO PURCHASE N 7.75 7.75 246000 246000 10/1/2006 9/1/2036 1588.75 1103595761 SFR 1 OO REFI Y 7.625 7.625 423500 423500 9/1/2006 8/1/2036 2690.99 1103595762 SFR 1 OO REFI Y 12.125 12.125 120000 119966.6 9/1/2006 8/1/2021 1245.9 1103595855 SFR 1 NOO PURCHASE N 7.375 7.375 232875 232875 9/1/2006 8/1/2036 1431.21 1103595856 SFR 1 NOO PURCHASE N 12.875 12.875 62100 62100 9/1/2006 8/1/2036 666.28 1103595878 SFR 1 NOO PURCHASE N 7.25 7.25 321300 321300 9/1/2006 8/1/2036 1941.19 1103595879 SFR 1 NOO PURCHASE N 11.875 11.875 114750 114716.24 9/1/2006 8/1/2021 1169.31 1103595887 2-4FAMILY 4 NOO PURCHASE N 7.5 7.5 336000 336000 10/1/2006 9/1/2036 2100 1103595912 PUD 1 OO REFI Y 7.625 7.625 350000 349746.68 9/1/2006 8/1/2036 2477.28 1103595931 SFR 1 OO PURCHASE N 6.375 6.375 300000 300000 9/1/2006 8/1/2036 1593.75 1103595932 CONDO 1 OO REFI Y 6.875 6.875 108500 108500 9/1/2006 8/1/2036 621.61 1103595940 SFR 1 OO PURCHASE N 7.911 7.911 364025 363273.96 7/1/2006 6/1/2036 2648.54 1103595941 SFR 1 OO PURCHASE N 11.725 11.725 91007 90923.16 7/1/2006 6/1/2036 916.89 1103595945 PUD 1 OO REFI N 6.625 6.625 776250 776250 9/1/2006 8/1/2036 4285.55 1103595948 CONDO 1 2ND PURCHASE N 7.875 7.875 130410 130410 11/1/2006 10/1/2036 855.82 1103595956 2-4FAMILY 2 NOO REFI Y 7.375 7.375 382500 382500 10/1/2006 9/1/2036 2350.78 1103595967 CONDO 1 NOO PURCHASE N 9.15 9.15 148792 148713.23 9/1/2006 8/1/2036 1213.31 1103595968 CONDO 1 NOO PURCHASE N 14.875 14.875 27898 27893.85 9/1/2006 8/1/2021 349.97 1103595986 CONDO 1 OO PURCHASE N 10.75 10.75 41390 41390 9/1/2006 8/1/2021 370.79 1103595996 SFR 1 NOO PURCHASE N 12.125 12.125 46225 46212.14 9/1/2006 8/1/2021 479.93 1103596007 SFR 1 NOO PURCHASE N 7.25 7.25 341250 341250 9/1/2006 8/1/2036 2061.72 1103596008 SFR 1 NOO PURCHASE N 13.1 13.1 68250 68250 9/1/2006 8/1/2021 745.06 1103596068 SFR 1 2ND PURCHASE N 8.75 8.75 174106 174005.83 9/1/2006 8/1/2036 1369.69 1103596075 2-4FAMILY 4 OO PURCHASE N 7.75 7.75 191250 191250 9/1/2006 8/1/2036 1235.16 1103596079 2-4FAMILY 4 OO PURCHASE N 11.5 11.5 63750 63729.63 9/1/2006 8/1/2021 631.31 1103596093 SFR 1 NOO PURCHASE N 6.75 6.75 172550 172550 9/1/2006 8/1/2036 970.59 1103596094 SFR 1 NOO PURCHASE N 12.15 12.15 61600 61582.95 9/1/2006 8/1/2021 640.75 1103596104 PUD 1 2ND PURCHASE N 6.75 6.75 399000 399000 9/1/2006 8/1/2036 2244.38 1103596109 2-4FAMILY 2 NOO REFI Y 7.625 7.625 195000 195000 10/1/2006 9/1/2036 1239.06 1103596115 2-4FAMILY 2 NOO REFI Y 13.3 13.3 52000 52000 10/1/2006 9/1/2021 587.44 1103596119 SFR 1 NOO REFI Y 7 7 301600 301600 9/1/2006 8/1/2036 1759.33 1103596123 2-4FAMILY 2 NOO REFI N 6.75 6.75 420000 420000 10/1/2006 9/1/2036 2362.5 1103596125 2-4FAMILY 4 NOO PURCHASE N 11.875 11.875 96000 96000 10/1/2006 9/1/2021 978.24 1103596137 SFR 1 NOO REFI N 7.25 7.25 127500 127500 10/1/2006 9/1/2036 770.31 1103596157 PUD 1 OO PURCHASE N 7 7 182000 182000 10/1/2006 9/1/2036 1061.67 1103596158 SFR 1 OO REFI Y 7 7 250000 249904.75 9/1/2006 8/1/2036 1553.58 1103596179 PUD 1 OO PURCHASE N 7.25 7.25 416500 416500 9/1/2006 8/1/2036 2516.35 1103596180 PUD 1 OO PURCHASE N 10.875 10.875 104150 104111.84 9/1/2006 8/1/2021 982.02 1103596197 SFR 1 OO PURCHASE N 13.375 13.375 60000 60000 10/1/2006 9/1/2021 681.35 1103596198 SFR 1 OO REFI Y 8 8 158000 158000 9/1/2006 8/1/2036 1053.33 1103596205 CONDO 1 NOO PURCHASE N 7.375 7.375 750000 750000 9/1/2006 8/1/2036 4609.38 1103596213 CONDO 1 NOO PURCHASE N 9.75 9.75 152052 152052 10/1/2006 9/1/2036 1306.36 1103596215 PUD 1 NOO REFI N 6.5 6.5 155800 155800 10/1/2006 9/1/2036 843.92 1103596218 CONDO 1 NOO PURCHASE N 12.875 12.875 209386 209336.75 9/1/2006 8/1/2021 2295.79 1103596227 PUD 1 OO PURCHASE N 8.125 8.125 408500 408500 10/1/2006 9/1/2036 2765.89 1103596243 PUD 1 NOO REFI Y 11.9 11.9 43000 42987.42 9/1/2006 8/1/2021 439 1103596275 SFR 1 OO PURCHASE N 11.125 11.125 61200 61178.77 9/1/2006 8/1/2021 588.61 1103596276 PUD 1 OO REFI Y 10.99 10.99 225000 225000 9/1/2006 8/1/2036 2060.63 1103596286 SFR 1 OO REFI Y 7.94 7.94 247000 246832.24 9/1/2006 8/1/2036 1802.08 1103596288 SFR 1 OO REFI Y 7.125 7.125 324000 324000 9/1/2006 8/1/2036 1923.75 1103596294 SFR 1 OO REFI Y 6.75 6.75 274400 274175.15 8/1/2006 7/1/2036 1655.61 1103596295 SFR 1 NOO REFI N 7.625 7.625 197500 197500 8/1/2006 7/1/2036 1254.95 1103596296 SFR 1 NOO REFI N 7.625 7.625 189800 189800 8/1/2006 7/1/2036 1206.02 1103596297 SFR 1 OO REFI N 7.25 7.25 202300 202300 8/1/2006 7/1/2036 1222.23 1103596298 PUD 1 2ND REFI N 7.625 7.625 271500 271500 8/1/2006 7/1/2036 1725.16 1103596299 PUD 1 2ND REFI N 7.125 7.125 279000 279000 8/1/2006 7/1/2036 1656.56 1103596300 PUD 1 NOO REFI N 8 8 215200 215200 8/1/2006 7/1/2036 1434.67 1103596301 PUD 1 NOO REFI N 8 8 223200 223200 8/1/2006 7/1/2036 1488 1103596302 SFR 1 NOO REFI N 7.5 7.5 168800 168800 8/1/2006 7/1/2036 1055 1103596303 PUD 1 2ND REFI N 7.625 7.625 190800 190800 8/1/2006 7/1/2036 1212.38 1103596304 SFR 1 2ND REFI N 7.625 7.625 224000 224000 8/1/2006 7/1/2036 1423.33 1103596305 SFR 1 2ND REFI N 7.375 7.375 247500 247500 8/1/2006 7/1/2036 1521.09 1103596306 SFR 1 2ND REFI N 7.25 7.25 269600 269600 8/1/2006 7/1/2036 1628.83 1103596307 PUD 1 OO PURCHASE N 7.625 7.625 220428 220428 8/1/2006 7/1/2036 1400.64 1103596308 SFR 1 NOO REFI N 7.625 7.625 224000 224000 8/1/2006 7/1/2036 1423.33 1103596309 PUD 1 2ND REFI N 7.5 7.5 228500 228500 8/1/2006 7/1/2036 1428.13 1103596310 PUD 1 2ND REFI N 8 8 216000 216000 8/1/2006 7/1/2036 1440 1103596312 PUD 1 OO PURCHASE N 7.25 7.25 576000 575980 8/1/2006 7/1/2036 3480 1103596313 SFR 1 OO REFI Y 7.125 7.125 157000 157000 8/1/2006 7/1/2036 932.19 1103596315 CONDO 1 NOO PURCHASE N 7.75 7.75 95920 95920 8/1/2006 7/1/2036 619.48 1103596316 CONDO 1 NOO PURCHASE N 8.125 8.125 202340 202340 8/1/2006 7/1/2036 1370.01 1103596317 PUD 1 OO REFI Y 7 7 176000 176000 8/1/2006 7/1/2036 1026.67 1103596318 CONDO 1 OO PURCHASE N 7.25 7.25 113792 113783.28 8/1/2006 7/1/2036 687.49 1103596319 CONDO 1 NOO PURCHASE N 8.125 8.125 134406.76 134406.76 8/1/2006 7/1/2036 910.05 1103596320 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 150174 150174 8/1/2006 7/1/2036 954.23 1103596321 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 200232 200232 8/1/2006 7/1/2036 1272.31 1103596323 2-4FAMILY 2 NOO PURCHASE N 8 8 105678 105678 8/1/2006 7/1/2036 704.52 1103596324 CONDO 1 NOO PURCHASE N 7.875 7.875 173992 173992 8/1/2006 7/1/2036 1141.82 1103596326 CONDO 1 OO PURCHASE N 7 7 172800 172800 8/1/2006 7/1/2036 1008 1103596327 CONDO 1 NOO PURCHASE N 8.375 8.375 141291 141291 8/1/2006 7/1/2036 986.09 1103596328 PUD 1 NOO PURCHASE N 8.5 8.5 190950 190950 8/1/2006 7/1/2036 1352.56 1103596330 SFR 1 OO PURCHASE N 7.25 7.25 495920 495920 8/1/2006 7/1/2036 2996.18 1103596331 PUD 1 OO PURCHASE N 7.125 7.125 236400 236400 8/1/2006 7/1/2036 1403.63 1103596332 PUD 1 OO PURCHASE N 7.5 7.5 254600 254600 8/1/2006 7/1/2036 1591.25 1103596333 SFR 1 NOO PURCHASE N 6.875 6.875 118500 118500 8/1/2006 7/1/2036 678.91 1103596334 PUD 1 2ND PURCHASE N 7.25 7.25 204111 204111 8/1/2006 7/1/2036 1233.17 1103596335 HI-RISE 1 NOO REFI Y 7.875 7.875 400000 400000 8/1/2006 7/1/2036 2625 1103596336 PUD 1 NOO REFI Y 8.5 8.5 208000 208000 8/1/2006 7/1/2036 1473.33 1103596337 PUD 1 OO PURCHASE N 7.375 7.375 171325 171325 8/1/2006 7/1/2036 1052.93 1103596338 PUD 1 OO PURCHASE N 7 7 184552 184552 8/1/2006 7/1/2036 1076.55 1103596339 PUD 1 OO PURCHASE N 6.75 6.75 181178 181178 8/1/2006 7/1/2036 1019.13 1103596340 PUD 1 NOO PURCHASE N 8 8 181123 181123 8/1/2006 7/1/2036 1207.49 1103596341 PUD 1 OO PURCHASE N 7 7 202017 202017 8/1/2006 7/1/2036 1178.43 1103596342 2-4FAMILY 4 NOO REFI Y 7.625 7.625 288000 288000 8/1/2006 7/1/2036 1830 1103596343 SFR 1 OO REFI Y 7 7 350000 350000 8/1/2006 7/1/2036 2041.67 1103596345 CONDO 1 OO PURCHASE N 8 8 290000 290000 5/1/2006 4/1/2036 1933.33 1103596346 PUD 1 OO REFI Y 7.375 7.375 427500 427500 8/1/2006 7/1/2036 2627.34 1103596349 PUD 1 OO PURCHASE N 7.375 7.375 270400 270400 8/1/2006 7/1/2036 1661.83 1103596350 PUD 1 OO REFI Y 7.875 7.875 328100 328100 8/1/2006 7/1/2036 2153.16 1103596352 PUD 1 OO PURCHASE N 7.25 7.25 358400 358400 8/1/2006 7/1/2036 2165.33 1103596353 PUD 1 OO PURCHASE N 8.375 8.375 169575 169575 8/1/2006 7/1/2036 1183.49 1103596354 PUD 1 OO PURCHASE N 7.5 7.5 227525 227525 8/1/2006 7/1/2036 1422.03 1103596355 SFR 1 OO PURCHASE N 6.875 6.875 280000 280000 8/1/2006 7/1/2036 1604.17 1103596356 SFR 1 OO PURCHASE N 7.375 7.375 205600 205599.95 8/1/2006 7/1/2036 1263.58 1103596357 PUD 1 OO PURCHASE N 7.25 7.25 312000 312000 8/1/2006 7/1/2036 1885 1103596359 PUD 1 OO PURCHASE N 7.625 7.625 396000 396000 8/1/2006 7/1/2036 2516.25 1103596360 PUD 1 OO PURCHASE N 6.875 6.875 336000 336000 8/1/2006 7/1/2036 1925 1103596361 CONDO 1 OO PURCHASE N 8.25 8.25 244000 244000 8/1/2006 7/1/2036 1677.5 1103596362 CONDO 1 OO PURCHASE N 8.375 8.375 274900 274900 8/1/2006 7/1/2036 1918.57 1103596363 CONDO 1 OO REFI Y 7 7 273600 273600 8/1/2006 7/1/2036 1596 1103596364 PUD 1 OO PURCHASE N 7.125 7.125 216000 216000 8/1/2006 7/1/2036 1282.5 1103596365 SFR 1 OO REFI Y 8.125 8.125 192000 192000 6/1/2006 5/1/2036 1300 1103596366 PUD 1 NOO REFI Y 7.625 7.625 250400 250400 8/1/2006 7/1/2036 1591.08 1103596367 PUD 1 OO REFI Y 7.625 7.625 176000 176000 8/1/2006 7/1/2036 1118.33 1103596369 SFR 1 OO PURCHASE N 7.625 7.625 288000 287259.4 8/1/2006 7/1/2036 1830 1103596370 PUD 1 OO PURCHASE N 8.5 8.5 340000 340000 8/1/2006 7/1/2036 2408.33 1103596371 2-4FAMILY 3 NOO PURCHASE N 8.25 8.25 492000 492000 8/1/2006 7/1/2036 3382.5 1103596372 PUD 1 OO PURCHASE N 6.375 6.375 399200 399200 8/1/2006 7/1/2036 2120.75 1103596373 SFR 1 OO REFI Y 6.5 6.5 360000 360000 8/1/2006 7/1/2036 1950 1103596374 SFR 1 NOO PURCHASE N 8.625 8.625 164700 164700 8/1/2006 7/1/2036 1183.78 1103596375 PUD 1 OO REFI N 7.375 7.375 624000 624000 8/1/2006 7/1/2036 3835 1103596376 SFR 1 OO PURCHASE N 6.5 6.5 355000 355000 8/1/2006 7/1/2036 1922.92 1103596377 PUD 1 OO PURCHASE N 8.25 8.25 142000 141976.25 8/1/2006 7/1/2036 976.25 1103596378 SFR 1 OO REFI Y 7.625 7.625 339200 339200 8/1/2006 7/1/2036 2155.33 1103596379 SFR 1 OO PURCHASE N 6.75 6.75 276800 276800 8/1/2006 7/1/2036 1557 1103596380 SFR 1 OO PURCHASE N 6.625 6.625 260000 260000 8/1/2006 7/1/2036 1435.42 1103596381 PUD 1 OO REFI Y 7.875 7.875 305600 305600 8/1/2006 7/1/2036 2005.5 1103596382 2-4FAMILY 4 NOO PURCHASE N 7.5 7.5 371250 371250 8/1/2006 7/1/2036 2320.31 1103596383 SFR 1 OO PURCHASE N 6.875 6.875 183960 183960 8/1/2006 7/1/2036 1053.94 1103596384 PUD 1 OO REFI Y 7.625 7.625 260000 260000 8/1/2006 7/1/2036 1652.08 1103596385 PUD 1 OO REFI Y 7.75 7.75 432000 432000 8/1/2006 7/1/2036 2790 1103596386 PUD 1 OO PURCHASE N 7.125 7.125 400800 400800 8/1/2006 7/1/2036 2379.75 1103596387 PUD 1 NOO PURCHASE N 9.25 9.25 88200 88200 8/1/2006 7/1/2036 679.88 1103596388 PUD 1 NOO PURCHASE N 9.25 9.25 88200 88200 8/1/2006 7/1/2036 679.88 1103596389 SFR 1 NOO PURCHASE N 9.25 9.25 88200 88200 8/1/2006 7/1/2036 679.88 1103596390 SFR 1 OO REFI Y 6.75 6.75 302000 302000 8/1/2006 7/1/2036 1698.75 1103596391 CONDO 1 OO PURCHASE N 6.375 6.375 236000 236000 8/1/2006 7/1/2036 1253.75 1103596392 SFR 1 OO PURCHASE N 6.875 6.875 151200 151200 8/1/2006 7/1/2036 866.25 1103596393 CONDO 1 OO PURCHASE N 9.25 9.25 180000 180000 8/1/2006 7/1/2036 1387.5 1103596395 PUD 1 2ND REFI N 7.125 7.125 227000 226635.86 8/1/2006 7/1/2036 1529.34 1103596396 PUD 1 OO PURCHASE N 7.25 7.25 223200 223041.02 8/1/2006 7/1/2036 1427.75 1103596397 PUD 1 OO REFI Y 6.75 6.75 280000 279770.56 8/1/2006 7/1/2036 1689.4 1103596398 PUD 1 OO PURCHASE N 8 8 109250 109187.19 8/1/2006 7/1/2036 759.63 1103596399 PUD 1 OO REFI Y 7.5 7.5 250750 250583.64 8/1/2006 7/1/2036 1650.11 1103596400 SFR 1 OO REFI Y 6.875 6.875 162500 162371.39 8/1/2006 7/1/2036 995.11 1103596401 CONDO 1 NOO REFI Y 8 8 160000 159908.03 8/1/2006 7/1/2036 1112.5 1103596402 SFR 1 2ND PURCHASE N 7.5 7.5 123200 123118.27 8/1/2006 7/1/2036 810.74 1103596403 SFR 1 OO PURCHASE N 6.875 6.875 234100 233914.75 8/1/2006 7/1/2036 1433.56 1103596404 PUD 1 OO PURCHASE N 7.875 7.875 356250 356037.71 8/1/2006 7/1/2036 2443.69 1103596405 CONDO 1 NOO PURCHASE N 7.5 7.5 113792 113716.5 8/1/2006 7/1/2036 748.83 1103596406 CONDO 1 OO PURCHASE N 7.625 7.625 153425 153326.77 8/1/2006 7/1/2036 1023.85 1103596407 CONDO 1 OO PURCHASE N 6.75 6.75 86879 86807.8 8/1/2006 7/1/2036 524.19 1103596408 PUD 1 OO PURCHASE N 8 8 175920 175818.88 8/1/2006 7/1/2036 1223.19 1103596409 SFR 1 OO REFI Y 7.75 7.75 240800 240651.26 8/1/2006 7/1/2036 1629.3 1103596410 2-4FAMILY 2 NOO PURCHASE N 9.5 9.5 116100 116057.13 8/1/2006 7/1/2036 940.48 1103596412 PUD 1 OO PURCHASE N 7.375 7.375 319920 319700.06 8/1/2006 7/1/2036 2075.81 1103596413 PUD 1 OO REFI Y 7.375 7.375 155000 154893.44 8/1/2006 7/1/2036 1005.72 1103596414 SFR 1 OO REFI Y 7 7 120000 119908.29 8/1/2006 7/1/2036 745.72 1103596415 PUD 1 OO REFI Y 6.375 6.375 285000 284740.96 8/1/2006 7/1/2036 1643.24 1103596416 PUD 1 OO PURCHASE N 7.125 7.125 316000 315766.85 8/1/2006 7/1/2036 1992.48 1103596417 PUD 1 OO PURCHASE N 6.625 6.625 412500 412150.04 8/1/2006 7/1/2036 2451.84 1103596418 SFR 1 OO PURCHASE N 7.25 7.25 296000 295789.17 8/1/2006 7/1/2036 1893.43 1103596419 CONDO 1 OO PURCHASE N 6.875 6.875 291920 291688.98 8/1/2006 7/1/2036 1787.64 1103596420 PUD 1 OO REFI Y 7.875 7.875 256500 256347.14 8/1/2006 7/1/2036 1759.46 1103596421 SFR 1 OO PURCHASE N 7.375 7.375 242940 242772.99 8/1/2006 7/1/2036 1576.32 1103596422 PUD 1 2ND PURCHASE N 7.875 7.875 208000 207876.05 8/1/2006 7/1/2036 1426.77 1103596423 PUD 1 OO PURCHASE N 8 8 289500 289333.59 8/1/2006 7/1/2036 2012.93 1103596424 PUD 1 2ND REFI N 6.75 6.75 252000 251564.84 8/1/2006 7/1/2036 1634.47 1103596425 SFR 1 NOO REFI N 7 7 155000 154745.16 8/1/2006 7/1/2036 1031.22 1103596426 PUD 1 2ND REFI N 7.125 7.125 213600 213257.37 8/1/2006 7/1/2036 1439.06 1103596427 SFR 1 NOO REFI N 7 7 175000 174712.27 8/1/2006 7/1/2036 1164.28 1103596428 SFR 1 2ND REFI N 7 7 172500 172216.37 8/1/2006 7/1/2036 1147.65 1103596430 CONDO 1 2ND PURCHASE N 7.625 7.625 190800 190383.07 7/1/2006 6/1/2036 1350.47 1103596431 CONDO 1 NOO PURCHASE N 6.875 6.875 191992 191668.48 8/1/2006 7/1/2036 1261.25 1103596432 CONDO 1 OO PURCHASE N 7 7 111920 111735.98 8/1/2006 7/1/2036 744.61 1103596433 CONDO 1 OO PURCHASE N 7.375 7.375 91920 91779.69 8/1/2006 7/1/2036 634.87 1103596434 CONDO 1 NOO PURCHASE N 7 7 159992 159678.38 8/1/2006 7/1/2036 1064.43 1103596435 CONDO 1 OO PURCHASE N 7.5 7.5 164990 164744.35 8/1/2006 7/1/2036 1153.63 1103596436 SFR 1 OO REFI Y 6.75 6.75 216000 215627.01 8/1/2006 7/1/2036 1400.97 1103596437 PUD 1 OO PURCHASE N 8 8 86925 86807.97 8/1/2006 7/1/2036 637.82 1103596438 SFR 1 OO PURCHASE N 7.375 7.375 192000 191706.9 8/1/2006 7/1/2036 1326.1 1103596440 SFR 1 OO PURCHASE N 6.875 6.875 180000 179696.69 8/1/2006 7/1/2036 1182.47 1103596441 PUD 1 OO PURCHASE N 8 8 94500 94372.76 8/1/2006 7/1/2036 693.41 1103596442 SFR 1 OO REFI Y 7 7 228000 227625.13 8/1/2006 7/1/2036 1516.89 1103596456 PUD 1 OO PURCHASE N 7.25 7.25 210468 210318.11 8/1/2006 7/1/2036 1346.3 1103596457 PUD 1 OO PURCHASE N 7.125 7.125 365000 364730.7 8/1/2006 7/1/2036 2301.44 1103596458 PUD 1 OO REFI Y 7.125 7.125 503000 502628.88 8/1/2006 7/1/2036 3171.57 1103596460 PUD 1 OO PURCHASE N 8.375 8.375 316900 316736.65 8/1/2006 7/1/2036 2293.09 1103596462 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 261250 261082.75 8/1/2006 7/1/2036 1743.39 1103596463 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 261250 261082.75 8/1/2006 7/1/2036 1743.39 1103596468 SFR 1 NOO PURCHASE N 7.5 7.5 222400 222400 8/1/2006 7/1/2036 1390 1103596469 CONDO 1 NOO PURCHASE N 7 7 384800 384444.67 8/1/2006 7/1/2036 2244.67 1103596472 SFR 1 NOO PURCHASE N 7.375 7.375 248800 248800 8/1/2006 7/1/2036 1529.08 1103596474 SFR 1 OO REFI Y 6.75 6.75 419000 419000 8/1/2006 7/1/2036 2356.88 1103596475 PUD 1 NOO REFI N 7.125 7.125 140000 140000 8/1/2006 7/1/2036 831.25 1103596477 SFR 1 NOO REFI Y 6.75 6.75 264000 264000 8/1/2006 7/1/2036 1485 1103596479 CONDO 1 OO REFI Y 7.375 7.375 524000 524000 8/1/2006 7/1/2036 3220.42 1103596482 SFR 1 OO REFI Y 7.5 7.5 292600 292600 8/1/2006 7/1/2036 1828.75 1103596486 SFR 1 2ND REFI Y 8.125 8.125 221000 220709.89 8/1/2006 7/1/2036 1640.92 1103596487 SFR 1 OO PURCHASE N 6.5 6.5 284000 283485.13 8/1/2006 7/1/2036 1795.07 1103596488 CONDO 1 OO REFI Y 6.5 6.5 348000 347051.08 8/1/2006 7/1/2036 2199.6 1103596489 SFR 1 OO REFI Y 7.25 7.25 115000 114910.29 9/1/2006 8/1/2036 784.5 1103596490 SFR 1 OO PURCHASE N 6.875 6.875 120000 119797.8 8/1/2006 7/1/2036 788.31 1103596491 SFR 1 2ND REFI Y 6.75 6.75 166000 166000 8/1/2006 7/1/2036 933.75 1103596492 2-4FAMILY 3 NOO PURCHASE N 9.5 9.5 236000 236000 7/1/2006 6/1/2036 1868.33 1103596493 SFR 1 OO PURCHASE N 6.875 6.875 176000 176000 8/1/2006 7/1/2036 1008.33 1103596494 SFR 1 OO PURCHASE N 6.875 6.875 118700 118700 8/1/2006 7/1/2036 680.05 1103596495 SFR 1 NOO REFI Y 6.875 6.875 250000 250000 8/1/2006 7/1/2036 1432.29 1103596496 SFR 1 OO PURCHASE N 7.625 7.625 391900 391900 8/1/2006 7/1/2036 2490.2 1103596497 SFR 1 OO REFI Y 7.5 7.5 528000 528000 8/1/2006 7/1/2036 3300 1103596498 2-4FAMILY 2 NOO PURCHASE N 7.625 7.625 158650 158650 8/1/2006 7/1/2036 1008.09 1103596499 SFR 1 OO PURCHASE N 6.875 6.875 128000 128000 8/1/2006 7/1/2036 733.33 1103596500 SFR 1 2ND PURCHASE N 6.5 6.5 650000 650000 9/1/2006 8/1/2036 3520.83 1103596502 SFR 1 OO REFI Y 7.625 7.625 205600 205600 8/1/2006 7/1/2036 1306.42 1103596504 PUD 1 OO PURCHASE N 7.25 7.25 392000 392000 8/1/2006 7/1/2036 2368.33 1103596505 SFR 1 OO PURCHASE N 6.75 6.75 375200 375200 8/1/2006 7/1/2036 2110.5 1103596506 SFR 1 NOO PURCHASE N 7.625 7.625 117200 117200 9/1/2006 8/1/2036 744.71 1103596507 SFR 1 OO REFI Y 6.875 6.875 444000 444000 8/1/2006 7/1/2036 2543.75 1103596508 SFR 1 OO REFI Y 7.625 7.625 448000 448000 8/1/2006 7/1/2036 2846.67 1103596509 SFR 1 OO PURCHASE N 6.625 6.625 369600 369600 8/1/2006 7/1/2036 2040.5 1103596510 SFR 1 OO PURCHASE N 7.75 7.75 621600 621600 8/1/2006 7/1/2036 4014.5 1103596511 CONDO 1 2ND PURCHASE N 7.5 7.5 155300 155300 8/1/2006 7/1/2036 970.62 1103596512 SFR 1 2ND REFI N 6.5 6.5 166500 166500 8/1/2006 7/1/2036 901.88 1103596513 SFR 1 OO REFI Y 5.875 5.875 336100 336100 8/1/2006 7/1/2036 1645.49 1103596514 SFR 1 OO REFI Y 7.25 7.25 250000 250000 8/1/2006 7/1/2036 1510.42 1103596516 SFR 1 OO PURCHASE N 7.625 7.625 116000 115831.55 8/1/2006 7/1/2036 821.04 1103596517 SFR 1 NOO PURCHASE N 7.75 7.75 76100 75992.23 8/1/2006 7/1/2036 545.19 1103596518 SFR 1 NOO PURCHASE N 7.75 7.75 95900 95764.19 8/1/2006 7/1/2036 687.04 1103596519 2-4FAMILY 4 NOO REFI Y 8.375 8.375 980000 978159.83 8/1/2006 7/1/2036 7448.71 1103596520 SFR 1 OO PURCHASE N 7.375 7.375 211600 211276.99 8/1/2006 7/1/2036 1461.47 1103596521 SFR 1 NOO REFI Y 6.875 6.875 168000 168000 8/1/2006 7/1/2036 962.5 1103596522 SFR 1 NOO PURCHASE N 7.875 7.875 122400 122400 9/1/2006 8/1/2036 803.25 1103596530 SFR 1 OO PURCHASE N 8.875 8.875 188900 188900 9/1/2006 8/1/2036 1397.07 1103596531 SFR 1 OO PURCHASE N 13.375 13.375 81000 81000 9/1/2006 8/1/2021 902.81 1103596543 SFR 1 OO REFI N 6.25 6.25 455000 455000 9/1/2006 8/1/2036 2369.79 1103596555 SFR 1 NOO PURCHASE N 8.8 8.8 140000 140000 8/1/2006 7/1/2036 1026.67 1103596556 SFR 1 OO REFI Y 6.4 6.4 318000 318000 8/1/2006 7/1/2036 1696 1103596557 PUD 1 OO PURCHASE N 7.1 7.1 455992 455992 5/1/2006 4/1/2036 2697.95 1103596558 SFR 1 OO REFI N 6.9 6.9 111200 110824.31 6/1/2006 5/1/2036 732.36 1103596559 SFR 1 OO PURCHASE N 7.5 7.5 744400 744400 5/1/2006 4/1/2036 4652.5 1103596560 SFR 1 OO PURCHASE N 7.625 7.625 480000 480000 8/1/2006 7/1/2036 3050 1103596561 SFR 1 OO PURCHASE N 6.875 6.875 256000 256000 7/1/2006 6/1/2036 1466.67 1103596562 SFR 1 OO PURCHASE N 7.125 7.125 304000 304000 8/1/2006 7/1/2036 1805 1103596563 SFR 1 NOO REFI N 7.125 7.125 502000 502000 8/1/2006 7/1/2036 2980.63 1103596564 SFR 1 OO REFI Y 6.975 6.975 316000 316000 8/1/2006 7/1/2036 1836.75 1103596565 SFR 1 NOO PURCHASE N 8.5 8.5 131750 131750 8/1/2006 7/1/2036 933.23 1103596566 SFR 1 OO PURCHASE N 7.225 7.225 360000 360000 8/1/2006 7/1/2036 2167.5 1103596567 SFR 1 OO PURCHASE N 7.1 7.1 368000 368000 8/1/2006 7/1/2036 2177.33 1103596568 SFR 1 OO PURCHASE N 7.2 7.2 158400 158400 8/1/2006 7/1/2036 950.4 1103596569 SFR 1 NOO PURCHASE N 8.875 8.875 119600 119600 8/1/2006 7/1/2036 884.54 1103596570 2-4FAMILY 2 OO PURCHASE N 6.65 6.65 444000 444000 8/1/2006 7/1/2036 2460.5 1103596571 PUD 1 NOO PURCHASE N 8 8 127950 127777.73 8/1/2006 7/1/2036 938.85 1103596572 SFR 1 OO PURCHASE N 7.3 7.3 257200 257200 8/1/2006 7/1/2036 1564.63 1103596573 SFR 1 OO PURCHASE N 7.6 7.6 86720 86720 8/1/2006 7/1/2036 549.23 1103596574 2-4FAMILY 2 OO PURCHASE N 6.95 6.95 387200 387192.53 8/1/2006 7/1/2036 2242.53 1103596575 SFR 1 OO PURCHASE N 6.875 6.875 332000 332000 8/1/2006 7/1/2036 1902.08 1103596576 PUD 1 NOO REFI Y 6.725 6.725 196000 196000 8/1/2006 7/1/2036 1098.42 1103596577 SFR 1 OO PURCHASE N 6.375 6.375 368000 368000 8/1/2006 7/1/2036 1955 1103596578 PUD 1 OO PURCHASE N 7.25 7.25 157600 157600 8/1/2006 7/1/2036 952.17 1103596579 SFR 1 OO PURCHASE N 7.375 7.375 150000 150000 8/1/2006 7/1/2036 921.88 1103596580 CONDO 1 OO PURCHASE N 7.25 7.25 258400 258400 8/1/2006 7/1/2036 1561.17 1103596581 2-4FAMILY 2 NOO PURCHASE N 9.85 9.85 520000 520000 8/1/2006 7/1/2036 4268.33 1103596582 CONDO 1 OO PURCHASE N 7.5 7.5 319500 319500 8/1/2006 7/1/2036 1996.88 1103596583 SFR 1 OO PURCHASE N 8.125 8.125 331200 331200 8/1/2006 7/1/2036 2242.5 1103596585 SFR 1 OO PURCHASE N 10.5 10.5 48500 48480.73 9/1/2006 8/1/2021 443.65 1103596603 2-4FAMILY 3 OO PURCHASE N 8.5 8.5 224000 224000 10/1/2006 9/1/2036 1722.37 1103596609 2-4FAMILY 3 OO PURCHASE N 11.375 11.375 28000 28000 10/1/2006 9/1/2021 274.61 1103596615 SFR 1 OO PURCHASE N 12.575 12.575 38698 38688.26 9/1/2006 8/1/2021 415.26 1103596668 SFR 1 NOO PURCHASE N 6.875 6.875 108750 108750 9/1/2006 8/1/2036 623.05 1103596669 SFR 1 NOO PURCHASE N 11.7 11.7 29000 28991.13 9/1/2006 8/1/2021 291.62 1103596675 PUD 1 OO PURCHASE N 7 7 322000 322000 9/1/2006 8/1/2036 1878.33 1103596678 PUD 1 OO PURCHASE N 9.5 9.5 80500 80460.4 9/1/2006 8/1/2021 676.89 1103596732 PUD 1 OO REFI N 7.875 7.875 497000 497000 9/1/2006 8/1/2036 3261.56 1103596733 PUD 1 OO REFI Y 13.125 13.125 177500 177460.54 9/1/2006 8/1/2021 1980.87 1103596763 SFR 1 OO PURCHASE N 12.375 12.375 160200 160200 9/1/2006 8/1/2036 1652.06 1103596793 SFR 1 NOO REFI Y 7.25 7.25 543000 543000 10/1/2006 9/1/2036 3280.63 1103596798 SFR 1 OO REFI Y 11.75 11.75 97000 97000 9/1/2006 8/1/2021 949.79 1103596810 2-4FAMILY 3 OO PURCHASE N 10.875 10.875 171250 171187.25 9/1/2006 8/1/2021 1614.7 1103596830 SFR 1 OO PURCHASE N 11 11 61500 61500 10/1/2006 9/1/2021 585.68 1103596837 SFR 1 OO REFI Y 6 6 364000 364000 9/1/2006 8/1/2036 1820 1103596841 SFR 1 NOO PURCHASE N 7.5 7.5 245100 245100 9/1/2006 8/1/2036 1531.88 1103596842 SFR 1 NOO PURCHASE N 13.3 13.3 65350 65336.04 9/1/2006 8/1/2021 738.26 1103596878 CONDO 1 OO PURCHASE N 11.7 11.7 74000 73977.37 9/1/2006 8/1/2021 744.13 1103596897 SFR 1 OO REFI Y 7.25 7.25 152000 151762.13 8/1/2006 7/1/2036 1036.91 1103596903 SFR 1 OO PURCHASE N 7.875 7.875 269920 269920 9/1/2006 8/1/2036 1771.35 1103596905 SFR 1 NOO PURCHASE N 7.75 7.75 137600 137600 9/1/2006 8/1/2036 888.67 1103596909 CONDO 1 OO REFI Y 7.25 7.25 340000 340000 9/1/2006 8/1/2036 2054.17 1103596922 PUD 1 OO PURCHASE N 7.375 7.375 448000 448000 9/1/2006 8/1/2036 2753.33 1103596924 PUD 1 OO PURCHASE N 11.975 11.975 112000 111967.78 9/1/2006 8/1/2021 1149.89 1103596937 SFR 1 OO PURCHASE N 6.875 6.875 251175 251175 9/1/2006 8/1/2036 1439.02 1103596938 SFR 1 OO REFI Y 7 7 329000 329000 8/1/2006 7/1/2036 1919.17 1103596939 PUD 1 OO PURCHASE N 6.25 6.25 534570 534570 8/1/2006 7/1/2036 2784.22 1103596940 SFR 1 OO PURCHASE N 6.625 6.625 203000 203000 9/1/2006 8/1/2036 1120.73 1103596941 CONDO 1 OO PURCHASE N 7.75 7.75 207200 207200 8/1/2006 7/1/2036 1338.17 1103596942 SFR 1 OO PURCHASE N 8 8 385000 385000 9/1/2006 8/1/2036 2566.67 1103596943 CONDO 1 OO PURCHASE N 5.99 5.99 282500 282500 8/1/2006 7/1/2036 1410.15 1103596944 SFR 1 OO REFI N 6.875 6.875 750000 750000 8/1/2006 7/1/2036 4296.88 1103596945 SFR 1 OO PURCHASE N 7.5 7.5 465500 465500 8/1/2006 7/1/2036 2909.38 1103596947 2-4FAMILY 4 OO PURCHASE N 8.375 8.375 535200 535200 8/1/2006 7/1/2036 3735.25 1103596948 2-4FAMILY 4 OO PURCHASE N 8.875 8.875 428000 428000 9/1/2006 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8/1/2036 1137.5 1103597199 SFR 1 OO REFI N 13.77 13.77 72000 71986.18 9/1/2006 8/1/2021 840.02 1103597219 SFR 1 OO REFI Y 9.6 9.6 382500 382223.62 6/1/2006 5/1/2036 3128.27 1103597242 SFR 1 OO PURCHASE N 7.125 7.125 185990 185841.27 9/1/2006 8/1/2036 1253.05 1103597248 SFR 1 OO REFI Y 6.875 6.875 555000 555000 9/1/2006 8/1/2036 3179.69 1103597252 SFR 1 OO PURCHASE N 11.25 11.25 21500 21492.74 9/1/2006 8/1/2021 208.82 1103597314 TOWNHOUSE 1 2ND PURCHASE N 6.5 6.5 122500 122500 9/1/2006 8/1/2036 663.54 1103597316 SFR 1 NOO PURCHASE N 9.375 9.375 70400 70364.45 9/1/2006 8/1/2036 585.55 1103597331 SFR 1 NOO PURCHASE N 12.625 12.625 25800 25793.58 9/1/2006 8/1/2021 277.86 1103597333 SFR 1 NOO PURCHASE N 8.625 8.625 156000 156000 9/1/2006 8/1/2036 1121.25 1103597340 CONDO 1 NOO REFI Y 7 7 332500 332500 9/1/2006 8/1/2036 1939.58 1103597342 SFR 1 NOO PURCHASE N 8 8 138720 138626.92 9/1/2006 8/1/2036 1017.88 1103597343 SFR 1 NOO PURCHASE N 12.5 12.5 26010 26003.35 9/1/2006 8/1/2021 277.59 1103597351 PUD 1 NOO PURCHASE N 8.375 8.375 81200 81200 9/1/2006 8/1/2036 566.71 1103597353 CONDO 1 NOO PURCHASE N 7.25 13.03 146293 146293 9/1/2006 8/1/2036 579.18 1103597357 PUD 1 OO PURCHASE N 6.5 6.5 184000 184000 10/1/2006 9/1/2036 996.67 1103597359 CONDO 1 NOO PURCHASE N 13.03 13.03 52247 52235.14 9/1/2006 8/1/2021 579.18 1103597368 SFR 1 OO PURCHASE N 8.1 8.1 280000 279764.67 7/1/2006 6/1/2036 1967.91 1103597373 SFR 1 NOO REFI Y 7.125 7.125 480000 479850 6/1/2006 5/1/2036 2850 1103597386 SFR 1 OO PURCHASE N 12.45 12.45 76000 75940.38 7/1/2006 6/1/2021 808.17 1103597417 SFR 1 NOO REFI Y 6.625 6.625 491000 491000 9/1/2006 8/1/2036 2710.73 1103597439 SFR 1 OO REFI Y 6.75 6.75 260000 260000 9/1/2006 8/1/2036 1462.5 1103597458 SFR 1 OO REFI Y 12.45 12.45 48150 48112.23 7/1/2006 6/1/2021 512.02 1103597460 SFR 1 OO PURCHASE N 11.9 11.9 70000 69937.94 7/1/2006 6/1/2021 714.65 1103597479 CONDO 1 NOO PURCHASE N 8.04 8.04 164400 164400 9/1/2006 8/1/2036 1101.48 1103597482 SFR 1 OO PURCHASE N 11.95 11.95 109358 109294.41 8/1/2006 7/1/2021 1120.66 1103597483 SFR 1 OO PURCHASE N 7.25 7.25 212000 212000 9/1/2006 8/1/2036 1280.83 1103597491 CONDO 1 NOO PURCHASE N 14.63 14.63 43840 43833.1 9/1/2006 8/1/2021 541.38 1103597501 SFR 1 NOO REFI Y 6.75 6.75 322000 322000 9/1/2006 8/1/2036 1811.25 1103597502 SFR 1 NOO REFI Y 11.975 11.975 115000 114966.9 9/1/2006 8/1/2021 1180.7 1103597518 SFR 1 OO PURCHASE N 9.625 9.625 223250 223250 9/1/2006 8/1/2036 1790.65 1103597529 SFR 1 OO REFI Y 6.75 6.75 325000 325000 9/1/2006 8/1/2036 1828.13 1103597530 SFR 1 NOO PURCHASE N 9.25 9.25 216000 216000 9/1/2006 8/1/2036 1665 1103597531 SFR 1 NOO PURCHASE N 12.275 12.275 40500 40489.09 9/1/2006 8/1/2021 425.19 1103597546 SFR 1 OO PURCHASE N 7.75 7.75 460000 460000 9/1/2006 8/1/2036 2970.83 1103597547 SFR 1 OO PURCHASE N 11.6 11.6 57500 57500 9/1/2006 8/1/2021 555.83 1103597550 SFR 1 NOO PURCHASE N 13.99 13.99 25000 24986.16 7/1/2006 6/1/2021 296.02 1103597559 SFR 1 OO REFI Y 6.375 6.375 213500 213500 9/1/2006 8/1/2036 1134.22 1103597598 SFR 1 OO REFI Y 11.99 11.99 36500 36489.54 9/1/2006 8/1/2021 375.16 1103597635 SFR 1 OO REFI Y 8.125 8.125 352000 352000 9/1/2006 8/1/2036 2383.33 1103597637 SFR 1 OO PURCHASE N 8.125 8.125 300000 300000 9/1/2006 8/1/2036 2031.25 1103597638 SFR 1 OO PURCHASE N 11.2 11.2 75000 75000 9/1/2006 8/1/2021 700 1103597643 SFR 1 OO REFI Y 12.5 12.5 88000 87977.48 9/1/2006 8/1/2021 939.19 1103597651 SFR 1 OO PURCHASE N 6.375 6.375 248800 248800 9/1/2006 8/1/2036 1321.75 1103597652 SFR 1 OO PURCHASE N 7.125 7.125 212000 212000 8/1/2006 7/1/2036 1258.75 1103597653 SFR 1 OO PURCHASE N 6.875 6.875 383200 383200 9/1/2006 8/1/2036 2195.42 1103597654 SFR 1 OO PURCHASE N 6.625 6.625 404000 404000 9/1/2006 8/1/2036 2230.42 1103597655 SFR 1 OO PURCHASE N 6.875 6.875 336000 336000 9/1/2006 8/1/2036 1925 1103597656 SFR 1 OO PURCHASE N 7.25 7.25 470400 470400 9/1/2006 8/1/2036 2842 1103597657 2-4FAMILY 2 OO PURCHASE N 6.75 6.75 496000 496000 9/1/2006 8/1/2036 2790 1103597658 SFR 1 OO PURCHASE N 7.25 7.25 396800 396800 9/1/2006 8/1/2036 2397.33 1103597659 SFR 1 OO PURCHASE N 7.125 7.125 434000 434000 9/1/2006 8/1/2036 2576.88 1103597660 SFR 1 2ND PURCHASE N 6.625 6.625 282800 282800 9/1/2006 8/1/2036 1561.29 1103597661 PUD 1 OO PURCHASE N 6.875 6.875 344000 344000 9/1/2006 8/1/2036 1970.83 1103597662 PUD 1 OO REFI Y 6.875 6.875 352000 352000 8/1/2006 7/1/2036 2016.67 1103597663 SFR 1 OO REFI Y 7.25 7.25 436800 436800 9/1/2006 8/1/2036 2639 1103597664 SFR 1 NOO PURCHASE N 7.125 7.125 366650 366650 9/1/2006 8/1/2036 2176.98 1103597665 SFR 1 OO PURCHASE N 6.75 6.75 417000 417000 8/1/2006 7/1/2036 2345.63 1103597666 PUD 1 NOO REFI Y 7.375 7.375 213750 213750 8/1/2006 7/1/2036 1313.67 1103597667 2-4FAMILY 4 OO REFI N 7.25 7.25 592500 592500 9/1/2006 8/1/2036 3579.69 1103597668 SFR 1 OO REFI Y 6.875 6.875 342750 342750 9/1/2006 8/1/2036 1963.67 1103597669 SFR 1 OO REFI Y 6.875 6.875 558500 558500 9/1/2006 8/1/2036 3199.74 1103597670 SFR 1 OO REFI Y 6.875 6.875 417000 417000 9/1/2006 8/1/2036 2389.06 1103597671 SFR 1 OO REFI Y 7 7 620000 620000 9/1/2006 8/1/2036 3616.67 1103597672 2-4FAMILY 3 OO REFI Y 7 7 367500 367198.76 9/1/2006 8/1/2036 2444.99 1103597673 PUD 1 NOO PURCHASE N 6.875 6.875 238700 238499.46 9/1/2006 8/1/2036 1568.09 1103597674 SFR 1 NOO REFI Y 6.625 6.625 149500 149368.1 9/1/2006 8/1/2036 957.26 1103598120 PUD 1 NOO PURCHASE N 14.2 14.2 33750 33726.13 6/1/2006 5/1/2021 405.24 1103597675 CONDO 1 OO REFI Y 7.375 7.375 350000 350000 9/1/2006 8/1/2036 2151.04 1103597676 SFR 1 OO REFI Y 6.875 6.875 318000 318000 9/1/2006 8/1/2036 1821.88 1103597677 SFR 1 OO REFI Y 7 7 275000 275000 8/1/2006 7/1/2036 1604.17 1103597678 SFR 1 OO REFI Y 6.875 6.875 220000 220000 9/1/2006 8/1/2036 1260.42 1103597679 SFR 1 OO REFI Y 6.875 6.875 190000 190000 9/1/2006 8/1/2036 1088.54 1103597680 2-4FAMILY 3 NOO REFI N 6.5 6.5 342000 342000 9/1/2006 8/1/2036 1852.5 1103597681 2-4FAMILY 4 OO PURCHASE N 7.625 7.625 500000 499273.92 8/1/2006 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1103598102 2-4FAMILY 2 NOO PURCHASE N 8.25 8.25 72150 71964.06 6/1/2006 5/1/2036 542.04 1103598103 2-4FAMILY 2 NOO PURCHASE N 8.25 8.25 72150 71964.06 6/1/2006 5/1/2036 542.04 1103598104 2-4FAMILY 2 NOO PURCHASE N 8.25 8.25 72150 71964.06 6/1/2006 5/1/2036 542.04 1103598105 SFR 1 OO REFI Y 8.375 8.375 108200 107928.16 6/1/2006 5/1/2036 822.4 1103598106 PUD 1 OO PURCHASE N 9.375 9.375 314910 314102.35 5/1/2006 4/1/2036 2619.26 1103598109 CONDO 1 NOO REFI Y 15.4 15.4 20400 20368.84 7/1/2006 6/1/2036 264.48 1103598111 SFR 1 NOO PURCHASE N 13.95 13.95 23070 23057.1 7/1/2006 6/1/2021 272.44 1103598113 CONDO 1 NOO PURCHASE N 14.45 14.45 20000 19986.6 6/1/2006 5/1/2021 244.12 1103598114 SFR 1 OO PURCHASE N 14.05 14.05 51000 50990.83 9/1/2006 8/1/2036 606.3 1103598115 SFR 1 OO PURCHASE N 11.6 11.6 48600 48553.98 7/1/2006 6/1/2021 484.99 1103598116 SFR 1 OO PURCHASE N 12.85 12.85 51695 51632.51 5/1/2006 4/1/2021 565.8 1103598117 SFR 1 NOO REFI Y 13.7 13.7 31000 30975.42 6/1/2006 5/1/2021 359.96 1103598118 SFR 1 NOO PURCHASE N 13.625 13.625 27600 27572 5/1/2006 4/1/2021 318.85 1103598121 SFR 1 OO REFI Y 7.25 7.25 300000 300000 10/1/2006 9/1/2036 1812.5 1103598125 PUD 1 OO PURCHASE N 7.125 7.125 315000 314494.69 8/1/2006 7/1/2036 2122.21 1103598126 2-4FAMILY 2 OO PURCHASE N 6.875 6.875 395500 395500 8/1/2006 7/1/2036 2265.89 1103598127 2-4FAMILY 3 OO PURCHASE N 7.625 7.625 720000 720000 9/1/2006 8/1/2036 4575 1103598130 CONDO 1 2ND PURCHASE N 6.875 6.875 227500 227500 9/1/2006 8/1/2036 1303.39 1103598133 SFR 1 OO PURCHASE N 12.625 12.625 105000 104947.46 8/1/2006 7/1/2021 1130.81 1103598134 2-4FAMILY 2 OO PURCHASE N 12.5 12.5 169500 169412.78 8/1/2006 7/1/2021 1809 1103598135 2-4FAMILY 3 OO PURCHASE N 11.75 11.75 135000 134959.17 9/1/2006 8/1/2036 1362.7 1103598136 2-4FAMILY 2 OO REFI Y 13.5 13.5 81000 80983.46 9/1/2006 8/1/2021 927.78 1103598140 SFR 1 OO PURCHASE N 6.5 6.5 360000 360000 10/1/2006 9/1/2036 1950 1103598176 SFR 1 NOO REFI Y 7.75 7.75 182250 182250 10/1/2006 9/1/2036 1177.03 1103598185 PUD 1 NOO PURCHASE N 8.375 8.375 105700 105700 9/1/2006 8/1/2036 737.7 1103598186 PUD 1 NOO PURCHASE N 13.75 13.75 37750 37686.14 9/1/2006 8/1/2021 496.41 1103598202 PUD 1 OO PURCHASE N 8.5 8.5 724000 724000 9/1/2006 8/1/2036 5128.33 1103598203 PUD 1 OO PURCHASE N 12.05 12.05 181000 181000 9/1/2006 8/1/2021 1817.54 1103598204 PUD 1 OO REFI N 8.99 8.99 252800 252800 10/1/2006 9/1/2036 1893.89 1103598210 PUD 1 OO REFI Y 11.99 11.99 47400 47400 10/1/2006 9/1/2021 473.61 1103598233 SFR 1 OO REFI Y 9.125 9.125 113500 113500 10/1/2006 9/1/2036 923.47 1103598234 PUD 1 OO REFI N 7.193 7.193 650000 649487.17 10/1/2006 9/1/2036 4409.04 1103598254 SFR 1 NOO PURCHASE N 6.75 6.75 104930 104930 10/1/2006 9/1/2036 590.23 1103598282 SFR 1 OO PURCHASE N 8.375 8.375 264000 264000 10/1/2006 9/1/2036 1910.31 1103598284 SFR 1 OO PURCHASE N 12.9 12.9 66000 66000 10/1/2006 9/1/2021 724.94 1103598364 SFR 1 OO PURCHASE N 6.875 6.875 192000 192000 9/1/2006 8/1/2036 1100 1103598365 SFR 1 OO PURCHASE N 6.5 6.5 276000 276000 9/1/2006 8/1/2036 1495 1103598366 CONDO 1 OO PURCHASE N 6.875 6.875 692000 692000 9/1/2006 8/1/2036 3964.58 1103598367 CONDO 1 OO PURCHASE N 7 7 412000 412000 9/1/2006 8/1/2036 2403.33 1103598368 CONDO 1 NOO PURCHASE N 7.25 7.25 151900 151900 9/1/2006 8/1/2036 917.73 1103598369 PUD 1 OO PURCHASE N 6.625 6.625 562400 562400 9/1/2006 8/1/2036 3104.92 1103598370 SFR 1 OO PURCHASE N 6.5 6.5 268000 268000 9/1/2006 8/1/2036 1451.67 1103598371 SFR 1 OO REFI Y 6.875 6.875 468000 468000 9/1/2006 8/1/2036 2681.25 1103598372 PUD 1 NOO PURCHASE N 7.125 7.125 228750 223860.32 9/1/2006 8/1/2036 1358.2 1103598373 PUD 1 OO REFI Y 6.875 6.875 604000 604000 9/1/2006 8/1/2036 3460.42 1103598374 CONDO 1 OO PURCHASE N 7 7 214400 214400 9/1/2006 8/1/2036 1250.67 1103598375 PUD 1 OO REFI N 6.75 6.75 737000 737000 9/1/2006 8/1/2036 4145.63 1103598376 CONDO 1 OO PURCHASE N 6.875 6.875 322400 322400 9/1/2006 8/1/2036 1847.08 1103598377 SFR 1 NOO REFI Y 7.5 7.5 330000 330000 9/1/2006 8/1/2036 2062.5 1103598378 SFR 1 OO PURCHASE N 6.5 6.5 364000 364000 9/1/2006 8/1/2036 1971.67 1103598379 PUD 1 OO PURCHASE N 6.5 6.5 223200 223200 9/1/2006 8/1/2036 1209 1103598380 SFR 1 2ND PURCHASE N 6.75 6.75 300000 300000 9/1/2006 8/1/2036 1687.5 1103598381 SFR 1 OO PURCHASE N 6.5 6.5 338750 338750 9/1/2006 8/1/2036 1834.9 1103598382 2-4FAMILY 4 OO REFI N 7.125 7.125 960000 960000 9/1/2006 8/1/2036 5700 1103598383 CONDO 1 NOO REFI N 6.5 6.5 417000 417000 9/1/2006 8/1/2036 2258.75 1103598387 HI-RISE 1 2ND PURCHASE N 7.125 7.125 394500 394500 10/1/2006 9/1/2036 2342.34 1103598408 SFR 1 NOO REFI Y 7.25 7.25 183400 183400 10/1/2006 9/1/2036 1108.04 1103598422 HI-RISE 1 NOO PURCHASE N 7 7 442900 442900 10/1/2006 9/1/2036 2583.58 1103598435 2-4FAMILY 4 NOO PURCHASE N 9.375 9.375 120000 120000 10/1/2006 9/1/2036 937.5 1103598436 PUD 1 NOO PURCHASE N 8.125 8.125 281250 281250 9/1/2006 8/1/2036 1904.3 1103598437 PUD 1 NOO PURCHASE N 13.125 13.125 75000 74983.32 9/1/2006 8/1/2021 836.99 1103598470 HI-RISE 1 2ND PURCHASE N 7.5 7.5 224000 223833.76 9/1/2006 8/1/2036 1566.24 1103598473 SFR 1 OO REFI Y 12.5 12.5 70000 69981.17 9/1/2006 8/1/2021 747.08 1103598482 SFR 1 NOO REFI N 7.125 7.125 112000 112000 10/1/2006 9/1/2036 665 1103598483 SFR 1 NOO REFI Y 11.225 11.225 40000 40000 10/1/2006 9/1/2021 387.75 1103598487 SFR 1 OO PURCHASE N 7.5 7.5 272000 272000 10/1/2006 9/1/2036 1700 1103598489 SFR 1 OO PURCHASE N 7.875 7.875 114400 114400 10/1/2006 9/1/2036 750.75 1103598506 HI-RISE 1 NOO PURCHASE N 6.375 6.375 139300 139300 10/1/2006 9/1/2036 740.03 1103598610 SFR 1 NOO PURCHASE N 8.75 8.75 255200 255200 9/1/2006 8/1/2036 1860.83 1103598649 SFR 1 OO REFI Y 11 11 328000 328000 10/1/2006 9/1/2036 3044.81 1103598659 SFR 1 NOO REFI N 7.125 7.125 115500 115500 9/1/2006 8/1/2036 685.78 1103598660 SFR 1 NOO REFI N 12.1 12.1 41250 41238.45 9/1/2006 8/1/2021 427.49 1103598673 SFR 1 OO REFI Y 7.25 7.25 234000 234000 10/1/2006 9/1/2036 1413.75 1103598674 SFR 1 NOO REFI N 6.125 6.125 386600 386600 9/1/2006 8/1/2036 1973.27 1103598688 SFR 1 NOO REFI Y 7.5 7.5 225000 225000 10/1/2006 9/1/2036 1406.25 1103598698 SFR 1 OO REFI Y 6.875 6.875 250000 250000 10/1/2006 9/1/2036 1432.29 1103598720 SFR 1 NOO PURCHASE N 7.5 7.5 169492 169492 10/1/2006 9/1/2036 1059.33 1103598721 SFR 1 OO REFI Y 6.99 6.99 240000 240000 9/1/2006 8/1/2036 1398 1103598743 SFR 1 OO REFI Y 7.25 7.25 800000 800000 10/1/2006 9/1/2036 4833.33 1103598759 SFR 1 OO REFI Y 6.625 6.625 339500 339500 10/1/2006 9/1/2036 1874.32 1103598768 SFR 1 OO PURCHASE N 7.875 7.875 464000 464000 10/1/2006 9/1/2036 3045 1103598771 SFR 1 OO REFI Y 12.875 12.875 40500 40500 10/1/2006 9/1/2021 444.06 1103598782 SFR 1 NOO REFI N 6.5 6.5 310500 310500 10/1/2006 9/1/2036 1681.88 1103598783 SFR 1 NOO REFI N 11.5 11.5 59000 59000 10/1/2006 9/1/2021 584.27 1103598792 CONDO 1 OO PURCHASE N 7.25 7.25 404000 403684.84 9/1/2006 8/1/2036 2440.83 1103598803 SFR 1 NOO REFI Y 7.5 7.5 275000 275000 10/1/2006 9/1/2036 1809.69 1103598826 CONDO 1 NOO REFI N 7.875 7.875 156000 156000 10/1/2006 9/1/2036 1023.75 1103598836 HI-RISE 1 NOO PURCHASE N 10.375 10.375 156700 156700 10/1/2006 9/1/2036 1418.77 1103598838 HI-RISE 1 NOO PURCHASE N 13.075 13.075 29380 29380 10/1/2006 9/1/2021 326.72 1103598846 SFR 1 OO PURCHASE N 6.625 6.625 536000 536000 9/1/2006 8/1/2036 2959.17 1103598847 SFR 1 OO PURCHASE N 10.95 10.95 134000 134000 9/1/2006 8/1/2036 1222.75 1103598884 SFR 1 OO REFI Y 7.875 7.875 107000 107000 9/1/2006 8/1/2036 702.19 1103598897 SFR 1 OO PURCHASE N 8 8 402400 402400 9/1/2006 8/1/2036 2682.67 1103598898 SFR 1 OO PURCHASE N 7.125 7.125 600000 600000 8/1/2006 7/1/2036 3562.5 1103598899 SFR 1 NOO REFI Y 8.5 8.5 179900 179900 9/1/2006 8/1/2036 1274.29 1103598900 HI-RISE 1 OO PURCHASE N 8.375 8.375 156700 156700 9/1/2006 8/1/2036 1191.03 1103598901 SFR 1 OO REFI Y 7.125 7.125 376000 376000 9/1/2006 8/1/2036 2232.5 1103598902 SFR 1 OO REFI Y 7.375 7.375 368000 368000 9/1/2006 8/1/2036 2261.67 1103598903 SFR 1 OO PURCHASE N 7.875 7.875 449800 449800 8/1/2006 7/1/2036 2951.81 1103598905 SFR 1 OO PURCHASE N 6.875 6.875 284000 284000 8/1/2006 7/1/2036 1627.08 1103598906 SFR 1 OO REFI N 7.875 7.875 164000 164000 8/1/2006 7/1/2036 1076.25 1103598908 SFR 1 OO REFI Y 7.125 7.125 387850 387850 9/1/2006 8/1/2036 2302.86 1103598909 SFR 1 OO PURCHASE N 7.375 7.375 399900 399900 9/1/2006 8/1/2036 2457.72 1103598910 PUD 1 OO REFI Y 8 8 212000 211857.75 9/1/2006 8/1/2036 1555.58 1103598911 SFR 1 OO PURCHASE N 7.375 7.375 204000 204000 9/1/2006 8/1/2036 1253.75 1103598912 PUD 1 OO PURCHASE N 8.25 8.25 314000 314000 9/1/2006 8/1/2036 2158.75 1103598913 SFR 1 OO PURCHASE N 7.125 7.125 247200 247200 9/1/2006 8/1/2036 1467.75 1103598914 PUD 1 OO PURCHASE N 7.25 7.25 416000 416000 9/1/2006 8/1/2036 2513.33 1103598915 SFR 1 OO PURCHASE N 7.25 7.25 268000 268000 9/1/2006 8/1/2036 1619.17 1103598916 SFR 1 OO PURCHASE N 7.125 7.125 207920 207920 9/1/2006 8/1/2036 1234.52 1103598917 SFR 1 OO PURCHASE N 7.375 7.375 192000 192000 8/1/2006 7/1/2036 1180 1103598918 SFR 1 OO REFI N 7.375 7.375 216000 216000 9/1/2006 8/1/2036 1327.5 1103598919 SFR 1 NOO PURCHASE N 8.875 8.875 247200 247061.42 9/1/2006 8/1/2036 1966.83 1103598920 SFR 1 OO PURCHASE N 7.875 7.875 508000 508000 8/1/2006 7/1/2036 3333.75 1103598922 PUD 1 OO PURCHASE N 6.375 6.375 284000 284000 9/1/2006 8/1/2036 1508.75 1103598925 SFR 1 OO REFI N 11.75 11.75 44000 44000 10/1/2006 9/1/2036 444.14 1103598930 SFR 1 OO PURCHASE N 6.875 6.875 175960 175960 9/1/2006 8/1/2036 1008.1 1103598936 SFR 1 OO REFI N 6.25 6.25 489000 489000 10/1/2006 9/1/2036 2546.88 1103598958 SFR 1 NOO PURCHASE N 6.99 6.99 101250 101250 10/1/2006 9/1/2036 589.78 1103598961 SFR 1 OO PURCHASE N 6.375 6.375 384000 384000 9/1/2006 8/1/2036 2040 1103598969 SFR 1 OO REFI Y 8.25 8.25 527200 526863.82 9/1/2006 8/1/2036 3960.68 1103598972 SFR 1 OO REFI Y 6.875 6.875 106000 106000 7/1/2006 6/1/2036 607.29 1103598974 SFR 1 OO PURCHASE N 7.125 7.125 320000 320000 8/1/2006 7/1/2036 1900 1103598975 PUD 1 OO PURCHASE N 6.375 6.375 533400 533229.37 8/1/2006 7/1/2036 2833.69 1103598976 SFR 1 OO PURCHASE N 6.875 6.875 448000 448000 8/1/2006 7/1/2036 2566.67 1103598977 CONDO 1 OO PURCHASE N 6.375 6.375 329600 329600 8/1/2006 7/1/2036 1751 1103598978 PUD 1 OO PURCHASE N 7.875 7.875 380000 380000 8/1/2006 7/1/2036 2493.75 1103598979 2-4FAMILY 2 OO REFI N 7 7 258000 258000 8/1/2006 7/1/2036 1505 1103598980 PUD 1 OO REFI Y 6.5 6.5 212500 212500 8/1/2006 7/1/2036 1151.04 1103598981 SFR 1 OO REFI N 7 7 293000 292518.26 8/1/2006 7/1/2036 1949.34 1103598982 SFR 1 OO PURCHASE N 6.875 6.875 325600 325051.35 8/1/2006 7/1/2036 2138.96 1103598983 CONDO 1 OO PURCHASE N 6.875 6.875 575200 575200 8/1/2006 7/1/2036 3295.42 1103598984 CONDO 1 OO REFI N 6.875 6.875 308000 307964.58 8/1/2006 7/1/2036 1764.58 1103598985 SFR 1 OO PURCHASE N 6.5 6.5 178400 178400 8/1/2006 7/1/2036 966.33 1103598987 PUD 1 OO PURCHASE N 7.25 7.25 355950 355950 8/1/2006 7/1/2036 2150.53 1103598988 PUD 1 OO REFI Y 7.5 7.5 532000 532000 8/1/2006 7/1/2036 3325 1103598990 SFR 1 OO PURCHASE N 6.75 6.75 208000 208000 8/1/2006 7/1/2036 1170 1103598991 CONDO 1 OO PURCHASE N 6.625 6.625 176000 176000 8/1/2006 7/1/2036 971.67 1103598992 SFR 1 OO PURCHASE N 6.75 6.75 292000 292000 8/1/2006 7/1/2036 1642.5 1103598993 2-4FAMILY 2 OO REFI Y 6.875 6.875 348750 348750 8/1/2006 7/1/2036 1998.05 1103598994 SFR 1 OO PURCHASE N 7.125 7.125 468000 468000 8/1/2006 7/1/2036 2778.75 1103598995 SFR 1 OO PURCHASE N 6.875 6.875 220000 220000 8/1/2006 7/1/2036 1260.42 1103598996 SFR 1 OO PURCHASE N 6 6 490000 490000 8/1/2006 7/1/2036 2450 1103598997 CONDO 1 OO REFI Y 7.25 7.25 208000 207890.62 8/1/2006 7/1/2036 1256.67 1103598998 SFR 1 OO PURCHASE N 7.25 7.25 334250 334250 8/1/2006 7/1/2036 2019.43 1103598999 CONDO 1 OO REFI N 6.375 6.375 228000 228000 8/1/2006 7/1/2036 1211.25 1103599000 SFR 1 OO REFI N 7.375 7.375 184000 184000 8/1/2006 7/1/2036 1130.83 1103599001 SFR 1 OO PURCHASE N 6.875 6.875 600000 599792.57 8/1/2006 7/1/2036 3437.5 1103599002 PUD 1 OO PURCHASE N 6.875 6.875 378700 378700 8/1/2006 7/1/2036 2169.64 1103599003 SFR 1 OO REFI N 6.625 6.625 439000 439000 8/1/2006 7/1/2036 2423.65 1103599004 PUD 1 OO PURCHASE N 6.375 6.375 259200 259200 8/1/2006 7/1/2036 1377 1103599005 CONDO 1 OO PURCHASE N 6.25 6.25 300000 300000 8/1/2006 7/1/2036 1562.5 1103599006 PUD 1 OO REFI N 7 7 216000 215644.87 8/1/2006 7/1/2036 1437.05 1103599007 SFR 1 OO PURCHASE N 6.5 6.5 408000 408000 8/1/2006 7/1/2036 2210 1103599008 PUD 1 OO PURCHASE N 6.875 6.875 552000 551447.51 8/1/2006 7/1/2036 3162.5 1103599009 SFR 1 OO PURCHASE N 6.625 6.625 488000 488000 8/1/2006 7/1/2036 2694.17 1103599010 SFR 1 OO PURCHASE N 6.5 6.5 624000 624000 8/1/2006 7/1/2036 3380 1103599011 SFR 1 OO PURCHASE N 6.5 6.5 236000 236000 8/1/2006 7/1/2036 1278.33 1103599012 PUD 1 OO PURCHASE N 6.5 6.5 486750 486750 8/1/2006 7/1/2036 2636.56 1103599013 CONDO 1 NOO PURCHASE N 7.5 7.5 133500 133500 8/1/2006 7/1/2036 834.38 1103599014 SFR 1 OO PURCHASE N 7.875 7.875 492000 492000 8/1/2006 7/1/2036 3228.75 1103599015 CONDO 1 OO PURCHASE N 6.625 6.625 388000 387950 8/1/2006 7/1/2036 2142.08 1103599016 PUD 1 OO PURCHASE N 6.625 6.625 239650 239650 8/1/2006 7/1/2036 1323.07 1103599017 SFR 1 OO REFI N 7.75 7.75 340000 340000 8/1/2006 7/1/2036 2195.83 1103599018 SFR 1 OO PURCHASE N 6.25 6.25 248000 248000 8/1/2006 7/1/2036 1291.67 1103599019 HI-RISE 1 OO PURCHASE N 7.25 7.25 532000 531814.17 8/1/2006 7/1/2036 3214.17 1103599020 SFR 1 OO REFI N 7.5 7.5 200000 200000 8/1/2006 7/1/2036 1250 1103599021 SFR 1 OO REFI Y 6.75 6.75 499000 499000 8/1/2006 7/1/2036 2806.88 1103599022 CONDO 1 2ND PURCHASE N 8.75 8.75 237592 237455.3 9/1/2006 8/1/2036 1869.14 1103599023 SFR 1 OO REFI Y 6.625 6.625 220000 219800 8/1/2006 7/1/2036 1214.58 1103599024 SFR 1 OO PURCHASE N 6.375 6.375 352000 352000 8/1/2006 7/1/2036 1870 1103599025 SFR 1 OO PURCHASE N 6.375 6.375 468000 468000 8/1/2006 7/1/2036 2486.25 1103599026 CONDO 1 OO PURCHASE N 7.25 7.25 375200 375200 8/1/2006 7/1/2036 2266.83 1103599027 SFR 1 OO REFI Y 6.375 6.375 728000 728000 8/1/2006 7/1/2036 3867.5 1103599028 SFR 1 OO PURCHASE N 6.75 6.75 381300 381300 8/1/2006 7/1/2036 2144.81 1103599029 PUD 1 OO REFI N 6.875 6.875 320000 320000 8/1/2006 7/1/2036 1833.33 1103599030 SFR 1 OO PURCHASE N 6.5 6.5 180000 179951.25 8/1/2006 7/1/2036 975 1103599031 SFR 1 OO REFI Y 6.625 6.625 416000 415998.93 8/1/2006 7/1/2036 2296.67 1103599032 SFR 1 OO PURCHASE N 6.25 6.25 232000 232000 8/1/2006 7/1/2036 1208.33 1103599034 SFR 1 OO REFI N 6.875 6.875 248000 248000 8/1/2006 7/1/2036 1420.83 1103599036 SFR 1 OO PURCHASE N 6.375 6.375 262400 262400 8/1/2006 7/1/2036 1394 1103599037 SFR 1 OO PURCHASE N 7 7 168000 168000 8/1/2006 7/1/2036 980 1103599038 SFR 1 OO PURCHASE N 6.5 6.5 575600 575600 8/1/2006 7/1/2036 3117.83 1103599039 SFR 1 OO PURCHASE N 6.75 6.75 160000 160000 8/1/2006 7/1/2036 900 1103599041 SFR 1 OO REFI Y 6.75 6.75 240000 240000 8/1/2006 7/1/2036 1350 1103599042 CONDO 1 OO PURCHASE N 6.625 6.625 292000 292000 8/1/2006 7/1/2036 1612.08 1103599043 SFR 1 OO PURCHASE N 6.5 6.5 536000 536000 8/1/2006 7/1/2036 2903.33 1103599044 PUD 1 OO PURCHASE N 6.75 6.75 176950 176748.99 8/1/2006 7/1/2036 995.34 1103599045 SFR 1 OO REFI N 6.75 6.75 408000 408000 8/1/2006 7/1/2036 2295 1103599046 HI-RISE 1 OO REFI Y 6.875 6.875 324000 324000 8/1/2006 7/1/2036 1856.25 1103599047 CONDO 1 OO PURCHASE N 7.375 7.375 272350 272343.82 8/1/2006 7/1/2036 1673.82 1103599050 SFR 1 OO PURCHASE N 6 6 379900 379900 8/1/2006 7/1/2036 1899.5 1103599051 CONDO 1 OO PURCHASE N 7 7 340000 340000 8/1/2006 7/1/2036 1983.33 1103599053 SFR 1 OO PURCHASE N 6.875 6.875 443200 443200 8/1/2006 7/1/2036 2539.17 1103599055 PUD 1 OO REFI N 6.625 6.625 251250 251250 8/1/2006 7/1/2036 1387.11 1103599056 SFR 1 OO REFI N 6.875 6.875 214000 214000 8/1/2006 7/1/2036 1226.04 1103599057 PUD 1 OO REFI Y 7.5 7.5 460000 460000 8/1/2006 7/1/2036 2875 1103599058 SFR 1 OO REFI Y 6.125 6.125 295200 294863.98 8/1/2006 7/1/2036 1506.75 1103599059 SFR 1 OO PURCHASE N 7.25 7.25 475200 475200 8/1/2006 7/1/2036 2871 1103599061 SFR 1 OO REFI N 7.25 7.25 376000 376000 8/1/2006 7/1/2036 2271.67 1103599062 PUD 1 OO PURCHASE N 6.5 6.5 142400 142400 8/1/2006 7/1/2036 771.33 1103599063 SFR 1 OO PURCHASE N 6.75 6.75 456000 456000 8/1/2006 7/1/2036 2565 1103599064 SFR 1 OO PURCHASE N 7.125 7.125 319900 319900 8/1/2006 7/1/2036 1899.41 1103599065 HI-RISE 1 OO PURCHASE N 7.25 7.25 596000 596000 8/1/2006 7/1/2036 3600.83 1103599066 SFR 1 OO REFI Y 6.875 6.875 528000 528000 8/1/2006 7/1/2036 3025 1103599067 PUD 1 OO PURCHASE N 6.375 6.375 483850 483850 7/1/2006 6/1/2036 2570.45 1103599068 PUD 1 OO PURCHASE N 6.75 6.75 204800 204714.04 8/1/2006 7/1/2036 1152 1103599069 CONDO 1 OO PURCHASE N 6.875 6.875 416800 416800 8/1/2006 7/1/2036 2387.92 1103599070 SFR 1 OO PURCHASE N 6.625 6.625 168400 168400 8/1/2006 7/1/2036 929.71 1103599071 PUD 1 OO PURCHASE N 6.75 6.75 452000 452000 8/1/2006 7/1/2036 2542.5 1103599072 SFR 1 OO REFI N 6.875 6.875 417000 417000 8/1/2006 7/1/2036 2389.06 1103599073 SFR 1 OO PURCHASE N 7.625 7.625 258400 258367.16 8/1/2006 7/1/2036 1641.92 1103599074 SFR 1 OO REFI N 7.125 7.125 386000 386000 8/1/2006 7/1/2036 2291.88 1103599075 SFR 1 OO PURCHASE N 6.875 6.875 254400 254400 8/1/2006 7/1/2036 1457.5 1103599076 SFR 1 OO PURCHASE N 7.5 7.5 125600 125600 8/1/2006 7/1/2036 785 1103599077 PUD 1 OO PURCHASE N 6.75 6.75 231500 231500 8/1/2006 7/1/2036 1302.19 1103599078 SFR 1 OO PURCHASE N 7.5 7.5 132000 132000 8/1/2006 7/1/2036 825 1103599079 2-4FAMILY 2 OO PURCHASE N 7 7 292000 292000 8/1/2006 7/1/2036 1703.33 1103599080 SFR 1 OO PURCHASE N 6.875 6.875 132000 132000 8/1/2006 7/1/2036 756.25 1103599081 PUD 1 OO REFI N 6.5 6.5 204000 204000 8/1/2006 7/1/2036 1105 1103599082 PUD 1 OO REFI N 6.375 6.375 348800 348800 8/1/2006 7/1/2036 1853 1103599083 2-4FAMILY 2 OO PURCHASE N 6.5 6.5 717500 717500 8/1/2006 7/1/2036 3886.46 1103599084 SFR 1 OO REFI Y 7.125 7.125 644000 644000 8/1/2006 7/1/2036 3823.75 1103599085 SFR 1 OO PURCHASE N 6.375 6.375 132000 132000 8/1/2006 7/1/2036 701.25 1103599086 SFR 1 OO PURCHASE N 6.75 6.75 287200 287200 8/1/2006 7/1/2036 1615.5 1103599087 PUD 1 OO PURCHASE N 7.5 7.5 600000 600000 8/1/2006 7/1/2036 3750 1103599088 SFR 1 OO PURCHASE N 6.625 6.625 551200 551200 8/1/2006 7/1/2036 3043.08 1103599089 CONDO 1 OO PURCHASE N 7.375 7.375 226400 226400 8/1/2006 7/1/2036 1391.42 1103599090 SFR 1 OO PURCHASE N 6.625 6.625 192000 191959.08 8/1/2006 7/1/2036 1060 1103599092 PUD 1 OO REFI Y 6.25 6.25 271000 271000 8/1/2006 7/1/2036 1411.46 1103599093 PUD 1 OO PURCHASE N 7.875 7.875 270400 270400 8/1/2006 7/1/2036 1774.5 1103599094 SFR 1 OO PURCHASE N 6.75 6.75 300000 300000 8/1/2006 7/1/2036 1687.5 1103599095 CONDO 1 OO PURCHASE N 6.375 6.375 271200 271200 8/1/2006 7/1/2036 1440.75 1103599096 SFR 1 OO PURCHASE N 6.5 6.5 519200 519200 8/1/2006 7/1/2036 2812.33 1103599097 SFR 1 OO PURCHASE N 6.625 6.625 508000 507997 7/1/2006 6/1/2036 2804.58 1103599098 CONDO 1 OO PURCHASE N 6.375 6.375 211450 211450 8/1/2006 7/1/2036 1123.33 1103599099 PUD 1 OO PURCHASE N 7.75 7.75 644800 644604.84 8/1/2006 7/1/2036 4164.33 1103599100 CONDO 1 OO PURCHASE N 7.5 7.5 260000 260000 8/1/2006 7/1/2036 1625 1103599101 SFR 1 OO PURCHASE N 7.5 7.5 593600 593377.4 8/1/2006 7/1/2036 3710 1103599102 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 295200 295000 7/1/2006 6/1/2036 1783.5 1103599103 CONDO 1 OO REFI N 7.75 7.75 147200 147200 8/1/2006 7/1/2036 950.67 1103599104 PUD 1 OO REFI N 6.75 6.75 232000 232000 8/1/2006 7/1/2036 1305 1103599105 SFR 1 OO REFI N 7.5 7.5 92000 92000 8/1/2006 7/1/2036 575 1103599106 SFR 1 OO PURCHASE N 6.75 6.75 584800 584800 8/1/2006 7/1/2036 3289.5 1103599107 SFR 1 OO REFI Y 6.875 6.875 185600 185600 8/1/2006 7/1/2036 1063.33 1103599108 SFR 1 OO PURCHASE N 6.625 6.625 252000 252000 8/1/2006 7/1/2036 1391.25 1103599109 SFR 1 OO PURCHASE N 6.75 6.75 456000 456000 8/1/2006 7/1/2036 2565 1103599110 SFR 1 OO PURCHASE N 7.375 7.375 380000 380000 8/1/2006 7/1/2036 2335.42 1103599111 CONDO 1 OO PURCHASE N 6.5 6.5 308000 308000 8/1/2006 7/1/2036 1668.33 1103599113 SFR 1 OO REFI N 6.25 6.25 166500 166183.21 8/1/2006 7/1/2036 1025.17 1103599114 SFR 1 OO PURCHASE N 6.625 6.625 528000 528000 8/1/2006 7/1/2036 2915 1103599115 SFR 1 OO PURCHASE N 8 8 388000 388000 8/1/2006 7/1/2036 2586.67 1103599116 SFR 1 OO REFI N 7 7 517000 517000 8/1/2006 7/1/2036 3015.83 1103599117 SFR 1 OO PURCHASE N 6.625 6.625 519200 519200 8/1/2006 7/1/2036 2866.42 1103599118 SFR 1 OO PURCHASE N 6.75 6.75 503200 503200 8/1/2006 7/1/2036 2830.5 1103599119 SFR 1 OO REFI Y 6.625 6.625 472500 472500 8/1/2006 7/1/2036 2608.59 1103599120 PUD 1 OO REFI N 6.25 6.25 215000 213932.88 8/1/2006 7/1/2036 1119.79 1103599121 SFR 1 OO REFI N 6.5 6.5 360000 359347.36 8/1/2006 7/1/2036 2275.44 1103599122 SFR 1 OO PURCHASE N 7.25 7.25 434400 434400 8/1/2006 7/1/2036 2624.5 1103599123 SFR 1 OO REFI Y 6.375 6.375 640000 639700 8/1/2006 7/1/2036 3400 1103599124 SFR 1 OO REFI N 6.375 6.375 680000 680000 6/1/2006 5/1/2036 3612.5 1103599125 PUD 1 OO REFI N 6.875 6.875 616000 616000 8/1/2006 7/1/2036 3529.17 1103599126 SFR 1 OO PURCHASE N 6.625 6.625 150350 150347.98 7/1/2006 6/1/2036 830.06 1103599127 PUD 1 OO PURCHASE N 6.875 6.875 207900 207549.66 8/1/2006 7/1/2036 1365.76 1103599128 SFR 1 OO REFI N 6.375 6.375 195000 195000 8/1/2006 7/1/2036 1035.94 1103599129 SFR 1 OO REFI N 6.875 6.875 501600 501600 8/1/2006 7/1/2036 2873.75 1103599130 SFR 1 OO REFI N 6.75 6.75 175000 175000 8/1/2006 7/1/2036 984.38 1103599131 CONDO 1 OO REFI N 6.5 6.5 304000 304000 8/1/2006 7/1/2036 1646.67 1103599132 SFR 1 OO REFI N 7.875 7.875 512000 511285.28 8/1/2006 7/1/2036 3712.36 1103599133 SFR 1 OO PURCHASE N 6.5 6.5 936000 936000 8/1/2006 7/1/2036 5070 1103599135 SFR 1 NOO REFI Y 7.125 7.125 392000 390688.62 6/1/2006 5/1/2036 2640.98 1103599136 SFR 1 OO PURCHASE N 7.5 7.5 212000 212000 8/1/2006 7/1/2036 1325 1103599137 SFR 1 OO PURCHASE N 6.875 6.875 291960 291960 8/1/2006 7/1/2036 1672.69 1103599138 SFR 1 OO PURCHASE N 7.25 7.25 312000 312000 8/1/2006 7/1/2036 1885 1103599139 CONDO 1 OO PURCHASE N 8.25 8.25 173600 173600 8/1/2006 7/1/2036 1193.5 1103599142 SFR 1 2ND REFI Y 7.875 7.875 162750 162750 8/1/2006 7/1/2036 1068.05 1103599144 PUD 1 OO PURCHASE N 7 7 241500 241500 8/1/2006 7/1/2036 1408.75 1103599145 SFR 1 OO REFI Y 7.75 7.75 572000 572000 8/1/2006 7/1/2036 3694.17 1103599146 PUD 1 2ND PURCHASE N 7.5 7.5 241600 241600 8/1/2006 7/1/2036 1510 1103599147 SFR 1 OO REFI Y 6.125 6.125 332500 332500 8/1/2006 7/1/2036 1697.14 1103599148 SFR 1 OO PURCHASE N 6.625 6.625 271200 271200 8/1/2006 7/1/2036 1497.25 1103599149 SFR 1 OO PURCHASE N 7.875 7.875 416000 416000 8/1/2006 7/1/2036 2730 1103599150 CONDO 1 OO PURCHASE N 7.375 7.375 93960 93960 8/1/2006 7/1/2036 577.46 1103599151 PUD 1 OO PURCHASE N 6.875 6.875 198392 198057.71 8/1/2006 7/1/2036 1303.29 1103599152 SFR 1 NOO REFI Y 6.875 6.875 127000 127000 8/1/2006 7/1/2036 727.6 1103599153 PUD 1 OO REFI Y 6.875 6.875 150150 150150 8/1/2006 7/1/2036 860.23 1103599155 SFR 1 OO PURCHASE N 7.875 7.875 192800 192800 8/1/2006 7/1/2036 1265.25 1103599156 CONDO 1 OO PURCHASE N 7.25 7.25 173424 173048.93 8/1/2006 7/1/2036 1047.77 1103599157 PUD 1 OO PURCHASE N 7.125 7.125 226016 226016 8/1/2006 7/1/2036 1341.97 1103599158 SFR 1 OO REFI Y 5.875 5.875 181000 181000 8/1/2006 7/1/2036 886.15 1103599159 CONDO 1 OO PURCHASE N 6.625 6.625 77000 76839.1 8/1/2006 7/1/2036 493.04 1103599160 CONDO 1 OO PURCHASE N 7.625 7.625 103200 103200 8/1/2006 7/1/2036 655.75 1103599161 PUD 1 OO REFI Y 7 7 416000 416000 8/1/2006 7/1/2036 2426.67 1103599162 CONDO 1 OO PURCHASE N 6.5 6.5 200000 200000 8/1/2006 7/1/2036 1083.33 1103599163 PUD 1 OO PURCHASE N 6.625 6.625 387200 387056.57 8/1/2006 7/1/2036 2137.67 1103599164 PUD 1 OO PURCHASE N 7.375 7.375 193520 193520 8/1/2006 7/1/2036 1189.34 1103599165 SFR 1 OO PURCHASE N 7 7 227500 227500 8/1/2006 7/1/2036 1327.08 1103599168 SFR 1 OO REFI Y 6.75 6.75 218000 217877.04 3/1/2006 2/1/2036 1226.25 1103599169 CONDO 1 OO PURCHASE N 7 7 157600 156679.71 3/1/2006 2/1/2036 1048.52 1103599170 SFR 1 OO PURCHASE N 6.5 6.5 331200 331200 5/1/2006 4/1/2036 1794 1103599171 SFR 1 OO REFI Y 7.35 7.35 295000 294713.14 5/1/2006 4/1/2036 1806.88 1103599172 SFR 1 NOO PURCHASE N 7.375 7.375 98000 97373.32 4/1/2006 3/1/2036 676.86 1103599173 SFR 1 OO PURCHASE N 6.375 6.375 322800 322800 4/1/2006 3/1/2036 1714.88 1103599174 SFR 1 OO PURCHASE N 7.25 7.25 286000 284266.25 5/1/2006 4/1/2036 1727.92 1103599175 SFR 1 OO PURCHASE N 6.875 6.875 460000 460000 5/1/2006 4/1/2036 2635.42 1103599176 SFR 1 OO REFI Y 6.75 6.75 370000 370000 4/1/2006 3/1/2036 2081.25 1103599178 SFR 1 OO PURCHASE N 7.25 7.25 212720 212720 5/1/2006 4/1/2036 1285.18 1103599179 SFR 1 OO PURCHASE N 7 7 304000 304000 5/1/2006 4/1/2036 1773.33 1103599180 SFR 1 OO REFI Y 7.2 7.2 147200 146613.09 5/1/2006 4/1/2036 999.18 1103599181 CONDO 1 NOO PURCHASE N 7.5 7.5 264000 264000 4/1/2006 3/1/2036 1650 1103599183 SFR 1 OO PURCHASE N 7.5 7.5 249600 249600 5/1/2006 4/1/2036 1560 1103599184 SFR 1 OO REFI Y 6.99 6.99 201500 199646.44 5/1/2006 4/1/2036 1339.23 1103599185 SFR 1 OO PURCHASE N 6.75 6.75 162400 162254.2 3/1/2006 2/1/2036 913.5 1103599186 SFR 1 OO REFI Y 6.75 6.75 162000 161984.66 4/1/2006 3/1/2036 911.23 1103599187 SFR 1 NOO PURCHASE N 7 7 175000 175000 4/1/2006 3/1/2036 1020.83 1103599188 SFR 1 OO PURCHASE N 6.75 6.75 316000 316000 4/1/2006 3/1/2036 1777.5 1103599191 SFR 1 OO REFI Y 6.625 6.625 255000 253398.83 3/1/2006 2/1/2036 1632.79 1103599194 SFR 1 OO PURCHASE N 6.75 6.75 388000 388000 4/1/2006 3/1/2036 2182.5 1103599195 SFR 1 NOO PURCHASE N 6.75 6.75 296072 295529.07 3/1/2006 2/1/2036 1665.41 1103599196 SFR 1 OO PURCHASE N 7.25 7.25 140000 139447.27 5/1/2006 4/1/2036 955.05 1103599197 SFR 1 OO REFI Y 6.75 6.75 166400 165380.02 3/1/2006 2/1/2036 1079.27 1103599199 SFR 1 OO PURCHASE N 6.5 6.5 340000 340000 3/1/2006 2/1/2036 1841.67 1103599202 SFR 1 OO REFI Y 6.5 6.5 250000 250000 5/1/2006 4/1/2036 1354.17 1103599203 SFR 1 OO PURCHASE N 7.125 7.125 121920 121898.81 4/1/2006 3/1/2036 723.9 1103599204 SFR 1 OO REFI Y 6.5 6.5 200000 200000 3/1/2006 2/1/2036 1083.33 1103599205 SFR 1 NOO REFI Y 7.99 7.99 318800 318800 5/1/2006 4/1/2036 2122.68 1103599206 SFR 1 OO REFI Y 6.75 6.75 332500 332500 5/1/2006 4/1/2036 1870.31 1103599208 SFR 1 OO REFI Y 6.35 6.35 180000 180000 3/1/2006 2/1/2036 952.5 1103599209 CONDO 1 OO PURCHASE N 7.125 7.125 158116 157476.21 5/1/2006 4/1/2036 1065.26 1103599211 SFR 1 OO REFI Y 6.375 6.375 100000 96668 3/1/2006 2/1/2036 623.87 1103599212 SFR 1 OO REFI Y 7.45 7.45 137000 137000 4/1/2006 3/1/2036 850.54 1103599213 SFR 1 OO PURCHASE N 6.875 6.875 249600 249600 5/1/2006 4/1/2036 1430 1103599215 SFR 1 NOO REFI Y 7.25 7.25 294000 293701.1 5/1/2006 4/1/2036 1776.25 1103599216 SFR 1 OO REFI Y 7 7 344000 343983.15 4/1/2006 3/1/2036 2006.67 1103599217 SFR 1 OO REFI Y 6.625 6.625 133000 129433.86 4/1/2006 3/1/2036 734.27 1103599218 CONDO 1 OO PURCHASE N 6.5 6.5 215920 215920 3/1/2006 2/1/2036 1169.57 1103599219 SFR 1 OO PURCHASE N 6.99 6.99 241000 241000 5/1/2006 4/1/2036 1403.83 1103599220 SFR 1 OO REFI Y 6.7 6.7 120000 119325.39 4/1/2006 3/1/2036 774.33 1103599221 SFR 1 OO PURCHASE N 7.375 7.375 202525 202524.97 5/1/2006 4/1/2036 1244.68 1103599222 SFR 1 NOO PURCHASE N 7 7 189000 189000 4/1/2006 3/1/2036 1102.5 1103599224 SFR 1 OO PURCHASE N 6.5 6.5 200800 200605.54 4/1/2006 3/1/2036 1087.67 1103599226 SFR 1 OO PURCHASE N 6.75 6.75 117600 116983.89 4/1/2006 3/1/2036 762.75 1103599228 CONDO 1 OO REFI Y 7.5 7.5 193000 192939.69 3/1/2006 2/1/2036 1206.25 1103599229 SFR 1 OO REFI Y 6.75 6.75 203000 203000 5/1/2006 4/1/2036 1141.88 1103599230 CONDO 1 OO PURCHASE N 7.125 7.125 173600 172897.56 5/1/2006 4/1/2036 1169.58 1103599231 CONDO 1 OO PURCHASE N 6.375 6.375 247200 247200 5/1/2006 4/1/2036 1313.25 1103599233 SFR 1 OO REFI Y 6.975 6.975 168000 168000 5/1/2006 4/1/2036 976.5 1103599234 SFR 1 OO PURCHASE N 6.75 6.75 165360 164640.09 5/1/2006 4/1/2036 1072.52 1103599235 SFR 1 OO PURCHASE N 6.75 6.75 472000 472000 5/1/2006 4/1/2036 2655 1103599236 SFR 1 OO REFI Y 7.875 7.875 260000 260000 4/1/2006 3/1/2036 1706.25 1103599237 SFR 1 OO REFI Y 6.75 6.75 202500 202500 5/1/2006 4/1/2036 1139.06 1103599238 CONDO 1 OO PURCHASE N 6.75 6.75 129500 128821.58 4/1/2006 3/1/2036 839.93 1103599239 CONDO 1 OO REFI Y 7.375 7.375 87500 87500 4/1/2006 3/1/2036 537.76 1103599240 SFR 1 NOO REFI Y 7.99 7.99 260000 260000 5/1/2006 4/1/2036 1731.17 1103599242 SFR 1 NOO PURCHASE N 6.75 6.75 147146 147146 3/1/2006 2/1/2036 827.7 1103599243 SFR 1 OO PURCHASE N 7 7 396000 396000 5/1/2006 4/1/2036 2310 1103599244 SFR 1 NOO PURCHASE N 7.375 7.375 272000 271916.62 5/1/2006 4/1/2036 1671.67 1103599245 SFR 1 OO PURCHASE N 6.875 6.875 243200 243200 4/1/2006 3/1/2036 1393.33 1103599246 SFR 1 OO PURCHASE N 7.25 7.25 300000 299293.66 7/1/2006 6/1/2036 2046.53 1103599249 SFR 1 OO PURCHASE N 7.5 7.5 210400 210400 8/1/2006 7/1/2036 1315 1103599250 SFR 1 NOO REFI Y 7.375 7.375 244000 244000 7/1/2006 6/1/2036 1499.58 1103599252 SFR 1 OO REFI Y 12.85 12.85 38000 37991.01 9/1/2006 8/1/2021 415.91 1103599263 SFR 1 OO PURCHASE N 6.75 6.75 319200 319200 10/1/2006 9/1/2036 1795.5 1103599273 SFR 1 OO PURCHASE N 11.425 11.425 128000 128000 10/1/2006 9/1/2021 1218.67 1103599324 SFR 1 NOO REFI N 7.875 7.875 167800 167684.52 9/1/2006 8/1/2036 1216.67 1103599331 PUD 1 OO REFI Y 8.875 8.875 344000 344000 10/1/2006 9/1/2036 2737.02 1103599385 CONDO 1 2ND PURCHASE N 8.75 8.75 236792 236655.77 9/1/2006 8/1/2036 1862.84 1103599397 SFR 1 NOO PURCHASE N 9.25 9.25 245335 245207.81 9/1/2006 8/1/2036 2018.31 1103599421 SFR 1 OO PURCHASE N 6.25 6.25 604500 604500 10/1/2006 9/1/2036 3148.44 1103599470 SFR 1 OO REFI Y 7.25 7.25 1120000 1120000 10/1/2006 9/1/2036 6766.67 1103599486 SFR 1 OO REFI N 6.75 6.75 280000 280000 10/1/2006 9/1/2036 1575 1103599510 SFR 1 OO PURCHASE N 7.375 7.375 383200 383200 10/1/2006 9/1/2036 2355.08 1103599512 SFR 1 OO PURCHASE N 12.875 12.875 95800 95800 10/1/2006 9/1/2021 1050.39 1103599534 CONDO 1 OO PURCHASE N 8.875 8.875 140000 140000 10/1/2006 9/1/2036 1035.42 1103599535 CONDO 1 OO PURCHASE N 13.94 13.94 35000 35000 10/1/2006 9/1/2021 413.05 1103599545 PUD 1 OO PURCHASE N 6.75 6.75 456200 456200 9/1/2006 8/1/2036 2566.13 1103599549 PUD 1 OO PURCHASE N 10.875 10.875 114050 114008.21 9/1/2006 8/1/2021 1075.37 1103599557 PUD 1 2ND PURCHASE N 7.125 7.125 618700 618700 10/1/2006 9/1/2036 3673.53 1103599561 SFR 1 OO REFI Y 8.375 8.375 280000 280000 10/1/2006 9/1/2036 1954.17 1103599562 SFR 1 OO REFI Y 12.975 12.975 70000 70000 10/1/2006 9/1/2021 756.88 1103599569 PUD 1 OO REFI Y 7.7 7.7 117000 116916.59 9/1/2006 8/1/2036 834.16 1103599606 SFR 1 OO REFI Y 7.875 7.875 325500 325500 10/1/2006 9/1/2036 2136.09 1103599629 SFR 1 OO REFI N 12.75 12.75 37700 37690.88 9/1/2006 8/1/2021 409.68 1103599637 SFR 1 OO PURCHASE N 5.875 5.875 294000 294000 10/1/2006 9/1/2036 1439.37 1103599663 SFR 1 NOO PURCHASE N 7.875 7.875 109200 109200 10/1/2006 9/1/2036 716.63 1103599664 SFR 1 NOO PURCHASE N 12.275 12.275 39000 39000 10/1/2006 9/1/2021 409.44 1103599665 CONDO 1 OO REFI Y 7.125 7.125 227500 227500 7/1/2006 6/1/2036 1350.78 1103599666 CONDO 1 OO REFI Y 12.99 12.99 97500 97432.24 7/1/2006 6/1/2021 1077.78 1103599686 SFR 1 OO PURCHASE N 7.375 7.375 172000 172000 9/1/2006 8/1/2036 1057.08 1103599687 SFR 1 OO PURCHASE N 12.25 12.25 43000 42988.36 9/1/2006 8/1/2036 450.6 1103599693 SFR 1 NOO REFI N 7.25 7.25 170000 170000 10/1/2006 9/1/2036 1027.08 1103599729 HI-RISE 1 NOO PURCHASE N 8.125 8.125 194250 194250 10/1/2006 9/1/2036 1315.23 1103599730 HI-RISE 1 NOO PURCHASE N 13.85 13.85 51800 51800 10/1/2006 9/1/2021 607.62 1103599742 CONDO 1 OO REFI Y 8.875 8.875 191250 191250 9/1/2006 8/1/2036 1414.45 1103599752 SFR 1 OO REFI Y 11.5 11.5 43000 42986.25 9/1/2006 8/1/2021 425.83 1103599767 PUD 1 OO PURCHASE N 8.25 8.25 228248 228248 10/1/2006 9/1/2036 1714.75 1103599790 CONDO 1 NOO PURCHASE N 7.99 7.99 89925 89925 10/1/2006 9/1/2036 598.75 1103599791 CONDO 1 NOO PURCHASE N 13.34 13.34 23980 23980 10/1/2006 9/1/2021 271.66 1103599841 SFR 1 OO PURCHASE N 7 7 300000 300000 10/1/2006 9/1/2036 1750 1103599860 SFR 1 OO PURCHASE N 11 11 75000 75000 10/1/2006 9/1/2021 714.24 1103599914 SFR 1 OO PURCHASE N 7.75 7.75 368000 368000 9/1/2006 8/1/2036 2376.67 1103599915 SFR 1 OO PURCHASE N 12.85 12.85 92000 92000 9/1/2006 8/1/2021 985.17 1103599920 SFR 1 NOO REFI N 7.25 7.25 170000 170000 10/1/2006 9/1/2036 1027.08 1103599924 CONDO 1 OO REFI N 6.25 6.25 354000 354000 10/1/2006 9/1/2036 1843.75 1103599934 SFR 1 OO REFI N 6.75 6.75 592000 592000 9/1/2006 8/1/2036 3330 1103599935 CONDO 1 OO PURCHASE N 6.75 6.75 348000 348000 9/1/2006 8/1/2036 1957.5 1103599936 SFR 1 OO REFI Y 5.75 5.75 360000 360000 9/1/2006 8/1/2036 1725 1103599937 SFR 1 NOO REFI Y 7.875 7.875 412500 412500 9/1/2006 8/1/2036 2707.03 1103599938 HI-RISE 1 2ND REFI Y 6.75 6.75 850000 850000 9/1/2006 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PURCHASE N 7.25 7.25 523945 523945 9/1/2006 8/1/2036 3165.5 1103600123 SFR 1 OO PURCHASE N 7.75 7.75 496300 496300 9/1/2006 8/1/2036 3205.27 1103600124 CONDO 1 OO PURCHASE N 7.25 7.25 320000 320000 9/1/2006 8/1/2036 1933.33 1103600126 SFR 1 OO REFI Y 7 7 150000 150000 9/1/2006 8/1/2036 875 1103600127 PUD 1 NOO PURCHASE N 7.625 7.625 520000 520000 9/1/2006 8/1/2036 3304.17 1103600128 PUD 1 OO PURCHASE N 6.875 6.875 483910 483910 9/1/2006 8/1/2036 2772.4 1103600129 SFR 1 OO PURCHASE N 7 7 348000 348000 9/1/2006 8/1/2036 2030 1103600131 SFR 1 OO PURCHASE N 7.5 7.5 536000 536000 9/1/2006 8/1/2036 3350 1103600132 SFR 1 OO REFI Y 7 7 316800 316800 9/1/2006 8/1/2036 1848 1103600133 2-4FAMILY 2 OO PURCHASE N 7.5 7.5 519200 519200 9/1/2006 8/1/2036 3245 1103600134 SFR 1 OO REFI Y 7.5 7.5 457500 457500 9/1/2006 8/1/2036 2859.37 1103600135 SFR 1 OO REFI Y 6.625 6.625 730000 730000 9/1/2006 8/1/2036 4030.21 1103600136 SFR 1 OO PURCHASE N 7.25 7.25 275200 275200 9/1/2006 8/1/2036 1662.67 1103600137 SFR 1 OO PURCHASE N 7.25 7.25 480000 480000 9/1/2006 8/1/2036 2900 1103600138 SFR 1 OO REFI N 6.625 6.625 290000 290000 9/1/2006 8/1/2036 1601.04 1103600141 PUD 1 OO PURCHASE N 8.375 8.375 148000 148000 9/1/2006 8/1/2036 1032.92 1103600204 SFR 1 NOO PURCHASE N 7.75 7.75 217500 217500 10/1/2006 9/1/2036 1404.69 1103600205 SFR 1 NOO PURCHASE N 13.1 13.1 58000 58000 10/1/2006 9/1/2021 646.14 1103600210 SFR 1 OO REFI Y 8.25 8.25 448000 448000 10/1/2006 9/1/2036 3080 1103600230 SFR 1 NOO REFI N 7.625 7.625 250500 250500 10/1/2006 9/1/2036 1591.72 1103600233 SFR 1 OO PURCHASE N 7.5 7.5 578000 578000 10/1/2006 9/1/2036 3612.5 1103600236 SFR 1 OO PURCHASE N 6 6 205485 205485 10/1/2006 9/1/2036 1027.43 1103600237 SFR 1 OO PURCHASE N 11.375 11.375 88065 88065 10/1/2006 9/1/2021 863.71 1103600240 SFR 1 NOO PURCHASE N 5.125 5.125 175000 175000 10/1/2006 9/1/2036 747.4 1103600245 PUD 1 NOO PURCHASE N 7.375 7.375 236000 236000 9/1/2006 8/1/2036 1450.42 1103600255 SFR 1 OO PURCHASE N 7.375 7.375 511920 511920 9/1/2006 8/1/2036 3146.18 1103600267 2-4FAMILY 4 NOO PURCHASE N 7.125 7.125 750000 750000 10/1/2006 9/1/2036 5052.89 1103600290 PUD 1 OO REFI Y 11.25 11.25 25500 25491.39 9/1/2006 8/1/2021 247.67 1103600349 SFR 1 OO REFI Y 11.75 11.75 66500 66479.89 9/1/2006 8/1/2021 671.26 1103600364 SFR 1 OO REFI Y 7.875 7.875 287000 287000 10/1/2006 9/1/2036 1883.44 1103600367 SFR 1 OO REFI Y 7.536 7.536 107000 106353.71 9/1/2006 8/1/2021 994.1 1103600369 2-4FAMILY 2 OO PURCHASE N 8.5 8.5 165600 165600 9/1/2006 8/1/2036 1173 1103600371 2-4FAMILY 2 OO PURCHASE N 12.875 12.875 41400 41390.26 9/1/2006 8/1/2021 453.93 1103600391 PUD 1 OO PURCHASE N 6.75 6.75 270600 270600 10/1/2006 9/1/2036 1522.13 1103600404 PUD 1 OO REFI N 12.99 12.99 78000 78000 10/1/2006 9/1/2021 862.23 1103600407 SFR 1 OO REFI N 7.25 7.25 398400 398400 10/1/2006 9/1/2036 2407 1103600416 SFR 1 NOO REFI N 6.75 6.75 972000 972000 10/1/2006 9/1/2036 5467.5 1103600442 CONDO 1 OO PURCHASE N 6.875 6.875 341600 341600 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1103600563 SFR 1 OO PURCHASE N 7.5 7.5 580000 579569.56 9/1/2006 8/1/2036 4055.44 1103600564 SFR 1 OO PURCHASE N 7.5 7.5 232000 231827.82 9/1/2006 8/1/2036 1622.18 1103600565 PUD 1 OO PURCHASE N 7.25 7.25 340000 340000 9/1/2006 8/1/2036 2054.17 1103600566 SFR 1 OO PURCHASE N 7.375 7.375 296000 296000 9/1/2006 8/1/2036 1819.17 1103600567 SFR 1 OO REFI Y 7.875 7.875 514500 514500 8/1/2006 7/1/2036 3376.41 1103600568 SFR 1 OO PURCHASE N 7.5 7.5 999600 999600 9/1/2006 8/1/2036 6247.5 1103600569 SFR 1 OO REFI Y 7.625 7.625 416500 416500 9/1/2006 8/1/2036 2646.51 1103600570 PUD 1 OO REFI Y 6.5 6.5 400000 400000 9/1/2006 8/1/2036 2166.67 1103600571 SFR 1 OO REFI Y 7.5 7.5 144300 144300 9/1/2006 8/1/2036 901.87 1103600572 PUD 1 2ND PURCHASE N 7.125 7.125 360700 360700 9/1/2006 8/1/2036 2141.66 1103600573 CONDO 1 OO REFI N 7.5 7.5 265600 265600 9/1/2006 8/1/2036 1660 1103600574 SFR 1 OO PURCHASE N 7.375 7.375 206800 206800 9/1/2006 8/1/2036 1270.96 1103600575 SFR 1 NOO REFI Y 7.625 7.625 443200 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366920.17 9/1/2006 8/1/2036 2104.04 1103600628 2-4FAMILY 4 NOO PURCHASE N 7.375 7.375 299000 299000 8/1/2006 7/1/2036 1837.6 1103600629 SFR 1 NOO PURCHASE N 7.25 7.25 52500 52459.05 9/1/2006 8/1/2036 358.14 1103600630 2-4FAMILY 4 OO REFI Y 7.875 7.875 562500 562500 9/1/2006 8/1/2036 3691.41 1103600631 2-4FAMILY 4 OO PURCHASE N 7.375 7.375 351487 351366.55 9/1/2006 8/1/2036 2280.63 1103600632 2-4FAMILY 4 OO PURCHASE N 6.875 6.875 267800 267800 9/1/2006 8/1/2036 1534.27 1103600633 SFR 1 OO REFI Y 6.75 6.75 212000 212000 8/1/2006 7/1/2036 1192.5 1103600635 PUD 1 OO PURCHASE N 6.875 6.875 304000 303880.06 9/1/2006 8/1/2036 1861.61 1103600636 PUD 1 OO PURCHASE N 6.875 6.875 181096 181096 9/1/2006 8/1/2036 1037.53 1103600639 SFR 1 OO PURCHASE N 6.875 6.875 351200 351200 9/1/2006 8/1/2036 2012.08 1103600642 2-4FAMILY 4 NOO PURCHASE N 7.625 7.625 195000 194858.86 9/1/2006 8/1/2036 1380.2 1103600643 SFR 1 2ND PURCHASE N 7.125 7.125 216000 216000 9/1/2006 8/1/2036 1282.5 1103600644 2-4FAMILY 4 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9.25 9.25 360000 360000 10/1/2006 9/1/2036 2961.63 1103600779 2-4FAMILY 2 OO REFI N 6.875 6.875 427500 427500 10/1/2006 9/1/2036 2449.22 1103600785 HI-RISE 1 2ND PURCHASE N 6.625 6.625 562500 562500 10/1/2006 9/1/2036 3105.47 1103600792 SFR 1 NOO REFI Y 7 7 105000 105000 10/1/2006 9/1/2036 698.57 1103600794 SFR 1 NOO REFI Y 8.5 8.5 125000 125000 10/1/2006 9/1/2036 961.14 1103600812 PUD 1 OO PURCHASE N 6.99 6.99 704000 704000 10/1/2006 9/1/2036 4100.8 1103600856 PUD 1 OO PURCHASE N 7.5 7.5 467200 467200 9/1/2006 8/1/2036 2920 1103600884 SFR 1 NOO REFI Y 7.25 7.25 150000 150000 10/1/2006 9/1/2036 1023.26 1103600901 SFR 1 OO REFI Y 11.105 11.105 34000 33988.15 9/1/2006 8/1/2021 326.49 1103600935 SFR 1 OO PURCHASE N 5.875 5.875 487500 487500 10/1/2006 9/1/2036 2386.72 1103601017 SFR 1 OO REFI Y 7.875 7.875 385000 385000 10/1/2006 9/1/2036 2526.56 1103601043 SFR 1 OO REFI N 6.75 6.75 312000 312000 10/1/2006 9/1/2036 1755 1103601050 CONDO 1 OO PURCHASE N 7.625 7.625 460000 460000 10/1/2006 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223875 11/1/2006 10/1/2036 1259.3 1103605325 SFR 1 OO PURCHASE N 8 8 212000 212000 10/1/2006 9/1/2036 1413.33 1103605345 SFR 1 OO REFI Y 8.2 8.2 277600 277600 9/1/2006 8/1/2036 1896.93 1103605346 PUD 1 OO PURCHASE N 6.85 6.85 249600 249600 9/1/2006 8/1/2036 1424.8 1103605347 SFR 1 OO PURCHASE N 7.725 7.725 316000 316000 8/1/2006 7/1/2036 2034.25 1103605349 PUD 1 OO PURCHASE N 7.3 7.3 649950 649950 9/1/2006 8/1/2036 3953.86 1103605352 PUD 1 OO PURCHASE N 7.55 7.55 731000 731000 9/1/2006 8/1/2036 4599.21 1103605354 2-4FAMILY 4 NOO PURCHASE N 8.6 8.6 460000 460000 9/1/2006 8/1/2036 3296.67 1103605357 SFR 1 OO REFI Y 6.125 6.125 335000 335000 9/1/2006 8/1/2036 1709.9 1103605361 PUD 1 OO REFI Y 7.15 7.15 524000 524000 9/1/2006 8/1/2036 3122.17 1103605362 PUD 1 OO PURCHASE N 7.1 7.1 172000 172000 9/1/2006 8/1/2036 1017.67 1103605364 PUD 1 OO REFI Y 7.375 7.375 254169 254169 9/1/2006 8/1/2036 1562.08 1103605365 SFR 1 OO PURCHASE N 7.6 7.6 94000 93931.62 9/1/2006 8/1/2036 663.71 1103605366 SFR 1 OO PURCHASE N 6.625 6.625 180000 179681.5 9/1/2006 8/1/2036 1152.56 1103605367 CONDO 1 OO REFI N 7.175 7.175 288000 288000 8/1/2006 7/1/2036 1722 1103605437 SFR 1 OO PURCHASE N 7.375 7.375 292000 291554.26 9/1/2006 8/1/2036 2016.77 1103605438 SFR 1 OO REFI Y 6.75 6.75 437500 437500 9/1/2006 8/1/2036 2460.94 1103605439 SFR 1 OO REFI N 7.5 7.5 413000 413000 9/1/2006 8/1/2036 2581.25 1103605441 SFR 1 OO REFI Y 6.875 6.875 510000 510000 9/1/2006 8/1/2036 2921.88 1103605442 SFR 1 OO REFI Y 5.875 5.875 500000 500000 9/1/2006 8/1/2036 2447.92 1103605443 SFR 1 OO REFI Y 6.75 6.75 672000 672000 9/1/2006 8/1/2036 3780 1103605444 2-4FAMILY 4 OO PURCHASE N 7.375 7.375 322240 322240 9/1/2006 8/1/2036 1980.43 1103605445 2-4FAMILY 4 OO REFI N 6.25 6.25 435000 435000 9/1/2006 8/1/2036 2265.63 1103605446 SFR 1 OO PURCHASE N 7.5 7.5 162400 162400 9/1/2006 8/1/2036 1015 1103605448 SFR 1 NOO REFI N 7.75 7.75 348000 348000 9/1/2006 8/1/2036 2247.5 1103605449 SFR 1 NOO REFI N 7 7 417000 417000 9/1/2006 8/1/2036 2432.5 1103605452 SFR 1 NOO PURCHASE N 8.5 8.5 260000 260000 10/1/2006 9/1/2036 1841.67 1103605455 SFR 1 OO PURCHASE N 6.625 6.625 388000 388000 10/1/2006 9/1/2036 2142.08 1103605456 PUD 1 OO REFI Y 6.5 6.5 539000 539000 10/1/2006 9/1/2036 2919.58 1103605457 PUD 1 OO REFI Y 7.5 7.5 637500 637500 9/1/2006 8/1/2036 3984.38 1103605458 SFR 1 OO PURCHASE N 6.875 6.875 405300 404959.5 9/1/2006 8/1/2036 2662.53 1103605459 SFR 1 OO PURCHASE N 6.625 6.625 404000 403740.72 9/1/2006 8/1/2036 2230.42 1103605461 PUD 1 OO REFI Y 6.875 6.875 582000 582000 9/1/2006 8/1/2036 3334.38 1103605462 SFR 1 OO PURCHASE N 6.875 6.875 272000 272000 9/1/2006 8/1/2036 1558.33 1103605463 CONDO 1 OO PURCHASE N 6.75 6.75 327200 327200 9/1/2006 8/1/2036 1840.5 1103605464 SFR 1 NOO PURCHASE N 7.375 7.375 358292 358292 9/1/2006 8/1/2036 2202 1103605465 2-4FAMILY 2 OO PURCHASE N 6.625 6.625 428000 428000 9/1/2006 8/1/2036 2362.92 1103605466 CONDO 1 NOO REFI N 6.75 6.75 276000 276000 9/1/2006 8/1/2036 1552.5 1103605467 SFR 1 OO PURCHASE N 7.125 7.125 355984 355984 9/1/2006 8/1/2036 2113.66 1103605468 SFR 1 OO PURCHASE N 6.875 6.875 260000 260000 9/1/2006 8/1/2036 1489.58 1103605469 PUD 1 OO PURCHASE N 6.875 6.875 650000 650000 9/1/2006 8/1/2036 3723.96 1103605470 CONDO 1 OO REFI Y 6.75 6.75 308000 308000 10/1/2006 9/1/2036 1732.5 1103605472 2-4FAMILY 4 NOO PURCHASE N 7.5 7.5 326250 326007.87 9/1/2006 8/1/2036 2281.19 1103605473 SFR 1 OO PURCHASE N 6.75 6.75 455200 455200 9/1/2006 8/1/2036 2560.5 1103605474 SFR 1 OO PURCHASE N 7.25 7.25 232000 232000 9/1/2006 8/1/2036 1401.67 1103605475 SFR 1 OO PURCHASE N 6.875 6.875 428000 428000 9/1/2006 8/1/2036 2452.08 1103605476 SFR 1 OO PURCHASE N 7.5 7.5 248000 248000 9/1/2006 8/1/2036 1550 1103605477 SFR 1 OO PURCHASE N 6.875 6.875 352000 352000 9/1/2006 8/1/2036 2016.67 1103605478 SFR 1 OO REFI N 6.625 6.625 440000 440000 9/1/2006 8/1/2036 2429.17 1103605479 CONDO 1 OO PURCHASE N 6.875 6.875 472000 472000 9/1/2006 8/1/2036 2704.17 1103605480 SFR 1 OO PURCHASE N 6.75 6.75 408000 408000 9/1/2006 8/1/2036 2295 1103605481 SFR 1 OO PURCHASE N 6.75 6.75 372000 372000 10/1/2006 9/1/2036 2092.5 1103605482 CONDO 1 OO PURCHASE N 7.375 7.375 235200 235200 9/1/2006 8/1/2036 1445.5 1103605483 CONDO 1 OO PURCHASE N 7 7 328000 328000 9/1/2006 8/1/2036 1913.33 1103605484 CONDO 1 NOO REFI Y 6.875 6.875 268000 268000 9/1/2006 8/1/2036 1535.42 1103605485 SFR 1 OO PURCHASE N 6.875 6.875 216000 216000 9/1/2006 8/1/2036 1237.5 1103605486 SFR 1 OO PURCHASE N 7 7 424000 424000 9/1/2006 8/1/2036 2473.33 1103605487 SFR 1 OO PURCHASE N 7.5 7.5 620000 620000 9/1/2006 8/1/2036 3875 1103605488 CONDO 1 NOO REFI Y 7.625 7.625 246750 246750 9/1/2006 8/1/2036 1567.89 1103605489 SFR 1 OO PURCHASE N 6.875 6.875 213600 213600 9/1/2006 8/1/2036 1223.75 1103605490 CONDO 1 OO PURCHASE N 7.25 7.25 285600 285600 9/1/2006 8/1/2036 1725.5 1103605492 PUD 1 OO PURCHASE N 7.625 7.625 476342 476342 9/1/2006 8/1/2036 3026.76 1103605494 2-4FAMILY 2 OO REFI Y 6.25 6.25 424000 424000 9/1/2006 8/1/2036 2208.33 1103605495 SFR 1 NOO REFI Y 7.5 7.5 521250 521250 8/1/2006 7/1/2036 3257.81 1103605496 SFR 1 OO REFI Y 7.75 7.75 1225000 1225000 10/1/2006 9/1/2036 8776.05 1103605497 SFR 1 OO REFI Y 6.875 6.875 412000 412000 10/1/2006 9/1/2036 2360.42 1103605498 SFR 1 OO PURCHASE N 6.875 6.875 464000 464000 10/1/2006 9/1/2036 2658.33 1103605499 PUD 1 OO PURCHASE N 7.25 7.25 560598 560598 10/1/2006 9/1/2036 3386.95 1103605500 SFR 1 OO PURCHASE N 7 7 194400 194400 9/1/2006 8/1/2036 1134 1103605501 SFR 1 2ND PURCHASE N 7.25 7.25 233100 233100 9/1/2006 8/1/2036 1408.31 1103605502 SFR 1 OO PURCHASE N 7.125 7.125 268000 268000 9/1/2006 8/1/2036 1591.25 1103605503 2-4FAMILY 2 OO PURCHASE N 6.75 6.75 432000 432000 9/1/2006 8/1/2036 2430 1103605504 SFR 1 OO PURCHASE N 6.75 6.75 296000 296000 10/1/2006 9/1/2036 1665 1103605506 SFR 1 OO PURCHASE N 7 7 417000 417000 9/1/2006 8/1/2036 2432.5 1103605507 SFR 1 OO PURCHASE N 6.75 6.75 348800 348800 10/1/2006 9/1/2036 1962 1103605508 SFR 1 OO REFI Y 7.375 7.375 260000 260000 9/1/2006 8/1/2036 1597.92 1103605509 SFR 1 OO PURCHASE N 7.25 7.25 416000 416000 9/1/2006 8/1/2036 2513.33 1103605510 CONDO 1 OO REFI Y 6.875 6.875 237000 237000 9/1/2006 8/1/2036 1357.81 1103605569 SFR 1 OO PURCHASE N 6.625 6.625 273750 273750 11/1/2006 10/1/2036 1511.33 1103605639 SFR 1 OO PURCHASE N 7 7 323200 323200 10/1/2006 9/1/2036 1885.33 1103605701 SFR 1 OO REFI Y 6.375 6.375 507000 507000 10/1/2006 9/1/2036 2693.44 1103605708 HI-RISE 1 2ND PURCHASE N 6.875 6.875 217000 217000 10/1/2006 9/1/2036 1243.23 1103605712 SFR 1 OO PURCHASE N 6.69 6.69 93750 93750 10/1/2006 9/1/2036 522.66 1103605713 SFR 1 OO PURCHASE N 6.25 6.25 320000 320000 10/1/2006 9/1/2036 1666.67 1103605744 CONDO 1 OO REFI N 6.875 6.875 412000 412000 10/1/2006 9/1/2036 2360.42 1103605778 PUD 1 OO PURCHASE N 7.25 7.25 746250 746250 10/1/2006 9/1/2036 4508.59 1103605790 SFR 1 OO REFI N 6.375 6.375 452000 452000 10/1/2006 9/1/2036 2401.25 1103605807 SFR 1 OO REFI N 6.375 6.375 472500 472500 10/1/2006 9/1/2036 2510.16 1103605867 CONDO 1 NOO PURCHASE N 8.1 8.1 131250 131163.71 10/1/2006 9/1/2036 972.23 1103605905 SFR 1 OO REFI Y 6.375 6.375 290000 290000 11/1/2006 10/1/2036 1540.63 1103605908 SFR 1 NOO PURCHASE N 8.5 8.5 408000 408000 10/1/2006 9/1/2036 2890 1103605961 PUD 1 OO REFI N 7.125 7.125 509000 509000 11/1/2006 10/1/2036 3022.19 1103606020 HI-RISE 1 OO PURCHASE N 6.625 6.625 383000 383000 10/1/2006 9/1/2036 2452.39 1103606022 SFR 1 NOO PURCHASE N 6.25 6.25 225000 225000 10/1/2006 9/1/2036 1171.88 1103606026 SFR 1 OO PURCHASE N 8.375 8.375 226400 226400 11/1/2006 10/1/2036 1720.8 1103606027 SFR 1 OO PURCHASE N 6.625 6.625 308000 308000 10/1/2006 9/1/2036 1700.42 1103606050 SFR 1 OO REFI Y 7.99 7.99 315000 315000 10/1/2006 9/1/2036 2097.38 1103606065 SFR 1 OO REFI Y 7.55 7.55 90000 90000 10/1/2006 9/1/2036 566.25 1103606085 CONDO 1 2ND PURCHASE N 7.125 7.125 104230 104230 11/1/2006 10/1/2036 618.87 1103606118 SFR 1 NOO REFI Y 6.75 6.75 290000 290000 10/1/2006 9/1/2036 1631.25 1103606132 SFR 1 OO REFI N 6.5 6.5 358176 358176 10/1/2006 9/1/2036 1940.12 1103606133 SFR 1 NOO PURCHASE N 9.25 9.25 152000 152000 10/1/2006 9/1/2036 1171.67 1103606150 SFR 1 OO PURCHASE N 8.375 8.375 244000 244000 10/1/2006 9/1/2036 1702.92 1103606162 SFR 1 NOO REFI Y 6.5 6.5 175000 175000 10/1/2006 9/1/2036 947.92 1103606301 PUD 1 OO REFI Y 7 7 171500 171500 10/1/2006 9/1/2036 1000.42 1103606324 SFR 1 NOO PURCHASE N 13.29 13.29 40498 40498 10/1/2006 9/1/2021 457.19 1103606332 SFR 1 OO REFI Y 7.199 7.199 255000 255000 10/1/2006 9/1/2036 1529.79 1103606432 HI-RISE 1 2ND PURCHASE N 6.75 6.75 650000 650000 10/1/2006 9/1/2036 3656.25 1103606455 SFR 1 NOO PURCHASE N 6.75 6.75 198485 198485 10/1/2006 9/1/2036 1116.48 1103606496 CONDO 1 OO PURCHASE N 8 8 460000 460000 10/1/2006 9/1/2036 3066.67 1103606508 SFR 1 NOO REFI N 6.375 6.375 415000 415000 8/1/2006 7/1/2036 2204.69 1103606509 CONDO 1 OO PURCHASE N 6.375 6.375 424000 424000 10/1/2006 9/1/2036 2645.21 1103606510 SFR 1 OO PURCHASE N 6.5 6.5 408000 408000 10/1/2006 9/1/2036 2210 1103606511 PUD 1 NOO PURCHASE N 6.75 6.75 177000 177000 10/1/2006 9/1/2036 995.63 1103606513 SFR 1 NOO REFI Y 7 7 167700 167700 10/1/2006 9/1/2036 1115.71 1103606514 SFR 1 OO PURCHASE N 6.875 6.875 226400 226400 10/1/2006 9/1/2036 1297.08 1103606516 2-4FAMILY 2 OO PURCHASE N 7 7 267000 267000 10/1/2006 9/1/2036 1557.5 1103606517 CONDO 1 NOO PURCHASE N 8.375 8.375 255350 255350 10/1/2006 9/1/2036 1782.13 1103606518 CONDO 1 OO PURCHASE N 7 7 380000 380000 10/1/2006 9/1/2036 2216.67 1103606519 SFR 1 OO PURCHASE N 7 7 448000 448000 10/1/2006 9/1/2036 2613.33 1103606520 SFR 1 OO REFI Y 6.75 6.75 221000 221000 10/1/2006 9/1/2036 1243.13 1103606523 SFR 1 OO PURCHASE N 6.625 6.625 200000 200000 10/1/2006 9/1/2036 1104.17 1103606524 SFR 1 OO PURCHASE N 6.625 6.625 275200 275200 10/1/2006 9/1/2036 1519.33 1103606525 SFR 1 OO PURCHASE N 6.875 6.875 399200 399200 10/1/2006 9/1/2036 2287.08 1103606526 SFR 1 OO PURCHASE N 6.75 6.75 479900 479900 10/1/2006 9/1/2036 2699.44 1103606527 SFR 1 NOO REFI Y 7.125 7.125 200000 200000 10/1/2006 9/1/2036 1187.5 1103606528 PUD 1 OO REFI Y 7.375 7.375 1330000 1330000 10/1/2006 9/1/2036 8173.96 1103606529 PUD 1 OO PURCHASE N 6.5 6.5 364000 364000 10/1/2006 9/1/2036 1971.67 1103606531 SFR 1 OO REFI Y 6.25 6.25 468000 468000 10/1/2006 9/1/2036 2437.5 1103606544 PUD 1 OO REFI N 6.25 6.25 227500 227500 10/1/2006 9/1/2036 1184.9 1103606548 SFR 1 NOO PURCHASE N 6.625 6.625 140600 140600 10/1/2006 9/1/2036 776.23 1103606597 SFR 1 OO REFI Y 6.375 6.375 650000 650000 10/1/2006 9/1/2036 3453.13 1103606637 SFR 1 OO REFI N 6.375 6.375 502500 502500 10/1/2006 9/1/2036 2669.53 1103606738 TOWNHOUSE 1 NOO REFI Y 7.375 7.375 150000 150000 10/1/2006 9/1/2036 921.88 1103606920 SFR 1 OO REFI N 6.5 6.5 312500 312500 10/1/2006 9/1/2036 1692.71 1103606961 CONDO 1 NOO PURCHASE N 9 9 193500 193394.31 10/1/2006 9/1/2036 1556.94 1103606965 CONDO 1 NOO PURCHASE N 7.875 7.875 680625 680156.6 10/1/2006 9/1/2036 4935 1103607075 PUD 1 OO REFI Y 7.95 7.95 190000 190000 10/1/2006 9/1/2036 1258.75 1103607142 SFR 1 OO PURCHASE N 9 9 157500 157500 10/1/2006 9/1/2036 1181.25 1103607162 PUD 1 OO REFI Y 7.875 7.875 249600 249600 10/1/2006 9/1/2036 1638 1103607193 SFR 1 OO REFI N 7.336 7.336 243000 243000 10/1/2006 9/1/2036 1485.54 1103607209 SFR 1 NOO REFI Y 7.793 7.793 172000 171493.77 10/1/2006 9/1/2021 1623.23 1103607326 SFR 1 OO REFI Y 8.375 8.375 129500 129500 10/1/2006 9/1/2036 903.8 1103607333 SFR 1 OO PURCHASE N 7.75 7.75 160000 160000 10/1/2006 9/1/2036 1033.33 1103607342 SFR 1 NOO REFI Y 6.875 6.875 292500 292500 10/1/2006 9/1/2036 1675.78 1103607355 SFR 1 NOO PURCHASE N 7.25 7.25 562500 562500 11/1/2006 10/1/2036 3398.44 1103607363 2-4FAMILY 2 NOO REFI Y 7.125 7.125 320000 320000 11/1/2006 10/1/2036 2155.9 1103607401 SFR 1 OO REFI Y 7.375 7.375 173000 172868.36 11/1/2006 10/1/2036 1194.87 1103607413 SFR 1 OO PURCHASE N 7.125 7.125 423600 423600 10/1/2006 9/1/2036 2515.12 1103607420 CONDO 1 NOO PURCHASE N 6.75 6.75 161000 160861.39 10/1/2006 9/1/2036 1044.24 1103607421 SFR 1 2ND REFI Y 6.875 6.875 168000 167858.86 10/1/2006 9/1/2036 1103.64 1103607422 CONDO 1 OO PURCHASE N 6.25 6.25 341600 341600 10/1/2006 9/1/2036 1779.17 1103607423 SFR 1 OO PURCHASE N 6.625 6.625 572000 572000 10/1/2006 9/1/2036 3157.92 1103607424 SFR 1 OO PURCHASE N 6.25 6.25 353500 353500 9/1/2006 8/1/2036 1841.15 1103607425 SFR 1 OO PURCHASE N 7 7 562500 562500 9/1/2006 8/1/2036 3281.25 1103607427 SFR 1 OO REFI Y 6.5 6.5 350000 350000 9/1/2006 8/1/2036 1895.83 1103607428 SFR 1 OO REFI Y 6.375 6.375 300000 300000 10/1/2006 9/1/2036 1593.75 1103607429 SFR 1 OO REFI N 7 7 416000 416000 10/1/2006 9/1/2036 2426.67 1103607430 SFR 1 NOO PURCHASE N 6.625 6.625 140000 140000 10/1/2006 9/1/2036 772.92 1103607431 SFR 1 OO PURCHASE N 6.875 6.875 294800 294800 10/1/2006 9/1/2036 1688.96 1103607432 SFR 1 OO REFI N 6.875 6.875 880000 880000 10/1/2006 9/1/2036 5041.67 1103607433 SFR 1 OO PURCHASE N 7 7 480000 480000 9/1/2006 8/1/2036 2800 1103607434 SFR 1 OO PURCHASE N 6.875 6.875 700000 700000 10/1/2006 9/1/2036 4010.42 1103607435 SFR 1 OO PURCHASE N 6.875 6.875 440000 440000 10/1/2006 9/1/2036 2520.83 1103607436 SFR 1 2ND PURCHASE N 7 7 546000 546000 10/1/2006 9/1/2036 3185 1103607437 PUD 1 OO REFI Y 6.75 6.75 300000 300000 10/1/2006 9/1/2036 1687.5 1103607438 CONDO 1 OO PURCHASE N 6.875 6.875 359900 359900 10/1/2006 9/1/2036 2061.93 1103607439 SFR 1 OO PURCHASE N 6.5 6.5 405000 405000 10/1/2006 9/1/2036 2193.75 1103607440 SFR 1 OO PURCHASE N 7.5 7.5 588000 588000 10/1/2006 9/1/2036 3675 1103607441 SFR 1 OO PURCHASE N 6.875 6.875 277500 277500 10/1/2006 9/1/2036 1589.84 1103607443 2-4FAMILY 3 NOO REFI Y 6.75 6.75 515000 515000 9/1/2006 8/1/2036 2896.88 1103607444 PUD 1 2ND PURCHASE N 7.625 7.625 448584 448584 10/1/2006 9/1/2036 2850.38 1103607446 SFR 1 OO REFI Y 7.375 7.375 330000 330000 10/1/2006 9/1/2036 2028.13 1103607447 SFR 1 OO REFI Y 6.875 6.875 277500 277500 10/1/2006 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7/1/2036 3433.31 1103610640 SFR 1 2ND PURCHASE N 8.25 8.25 425252 425252 8/1/2006 7/1/2036 2923.61 1103610642 PUD 1 OO PURCHASE N 6.875 6.875 415000 415000 8/1/2006 7/1/2036 2377.6 1103610643 PUD 1 NOO PURCHASE N 6.25 6.25 179000 178659.42 8/1/2006 7/1/2036 1102.14 1103610644 PUD 1 OO PURCHASE N 6.375 6.375 471650 471649.64 8/1/2006 7/1/2036 2505.64 1103610645 SFR 1 OO PURCHASE N 6.5 6.5 253000 253000 8/1/2006 7/1/2036 1370.42 1103610646 SFR 1 NOO REFI N 7 7 431000 431000 8/1/2006 7/1/2036 2514.17 1103610647 SFR 1 OO PURCHASE N 6.5 6.5 1352000 1352000 8/1/2006 7/1/2036 7323.33 1103610648 SFR 1 2ND REFI N 6.875 6.875 274000 272466.5 8/1/2006 7/1/2036 1799.99 1103610649 SFR 1 NOO REFI Y 6.75 6.75 295000 295000 8/1/2006 7/1/2036 1659.38 1103610650 SFR 1 OO REFI Y 6.75 6.75 280000 280000 8/1/2006 7/1/2036 1575 1103610651 SFR 1 OO REFI Y 7.5 7.5 382500 382500 7/1/2006 6/1/2036 2390.63 1103610652 PUD 1 2ND PURCHASE N 7.625 7.625 227860 227688.83 8/1/2006 7/1/2036 1447.86 1103610656 2-4FAMILY 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6.625 604000 604000 9/1/2006 8/1/2036 3334.58 1103610673 SFR 1 OO REFI Y 6.875 6.875 488000 488000 9/1/2006 8/1/2036 2795.83 1103610674 SFR 1 OO PURCHASE N 6.75 6.75 452000 452000 9/1/2006 8/1/2036 2542.5 1103610676 PUD 1 OO PURCHASE N 6.875 6.875 320000 320000 9/1/2006 8/1/2036 1833.33 1103610677 SFR 1 OO PURCHASE N 7.375 7.375 327200 327200 9/1/2006 8/1/2036 2010.92 1103610678 SFR 1 NOO PURCHASE N 8 8 192000 192000 9/1/2006 8/1/2036 1280 1103610679 SFR 1 OO PURCHASE N 7.375 7.375 404000 404000 9/1/2006 8/1/2036 2482.92 1103610680 PUD 1 OO REFI N 6.75 6.75 392800 392800 9/1/2006 8/1/2036 2209.5 1103610681 SFR 1 OO PURCHASE N 7.25 7.25 224000 224000 9/1/2006 8/1/2036 1353.33 1103610682 SFR 1 OO PURCHASE N 7.125 7.125 264000 264000 9/1/2006 8/1/2036 1567.5 1103610683 SFR 1 OO PURCHASE N 6.875 6.875 452000 452000 10/1/2006 9/1/2036 2589.58 1103610684 PUD 1 OO REFI Y 7.625 7.625 504000 504000 9/1/2006 8/1/2036 3202.5 1103610685 PUD 1 OO PURCHASE N 6.75 6.75 640000 640000 9/1/2006 8/1/2036 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257280 10/1/2006 9/1/2036 1554.4 1103611058 2-4FAMILY 2 OO PURCHASE N 7 7 527200 527200 10/1/2006 9/1/2036 3075.33 1103611059 CONDO 1 OO REFI N 7 7 520000 520000 10/1/2006 9/1/2036 3033.33 1103611061 SFR 1 OO REFI Y 7 7 340000 340000 10/1/2006 9/1/2036 1983.33 1103611062 SFR 1 OO PURCHASE N 7.25 7.25 280000 280000 10/1/2006 9/1/2036 1691.67 1103611064 SFR 1 OO REFI Y 6.5 6.5 600000 599457.59 10/1/2006 9/1/2036 3792.41 1103611065 SFR 1 OO PURCHASE N 7.25 7.25 358400 358400 10/1/2006 9/1/2036 2165.33 1103611066 SFR 1 OO REFI N 6 6 435000 435000 10/1/2006 9/1/2036 2175 1103611067 2-4FAMILY 2 NOO REFI Y 7.625 7.625 432600 432600 10/1/2006 9/1/2036 2748.81 1103611068 SFR 1 OO REFI N 6.75 6.75 1890000 1890000 10/1/2006 9/1/2036 10631.25 1103611069 SFR 1 OO REFI N 5.875 5.875 427000 427000 10/1/2006 9/1/2036 2090.52 1103611070 SFR 1 OO REFI N 6.875 6.875 513600 513600 10/1/2006 9/1/2036 2942.5 1103611072 PUD 1 OO PURCHASE N 7.375 7.375 650000 650000 10/1/2006 9/1/2036 3994.79 1103611073 SFR 1 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7.375 480000 480000 10/1/2006 9/1/2036 2950 1103611095 2-4FAMILY 2 OO REFI Y 7.25 7.25 417000 417000 10/1/2006 9/1/2036 2519.38 1103611096 SFR 1 OO REFI Y 6.75 6.75 560000 560000 10/1/2006 9/1/2036 3150 1103611097 SFR 1 OO PURCHASE N 6.125 6.125 327200 327200 10/1/2006 9/1/2036 1670.08 1103611098 CONDO 1 OO PURCHASE N 7 7 684000 684000 10/1/2006 9/1/2036 3990 1103611099 SFR 1 OO PURCHASE N 6.875 6.875 428000 428000 10/1/2006 9/1/2036 2452.08 1103611100 SFR 1 OO REFI Y 6.375 6.375 192000 192000 10/1/2006 9/1/2036 1020 1103611101 PUD 1 OO REFI Y 6 6 394000 394000 10/1/2006 9/1/2036 1970 1103611102 SFR 1 NOO PURCHASE N 6 6 220500 220500 10/1/2006 9/1/2036 1102.5 1103611103 SFR 1 OO PURCHASE N 7.25 7.25 88000 88000 10/1/2006 9/1/2036 531.67 1103611104 PUD 1 OO PURCHASE N 6.875 6.875 307450 307450 10/1/2006 9/1/2036 1761.43 1103611105 PUD 1 OO REFI N 6.625 6.625 348000 348000 10/1/2006 9/1/2036 1921.25 1103611112 SFR 1 OO REFI N 5.875 5.875 229000 229000 10/1/2006 9/1/2036 1121.15 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PURCHASE N 6.25 6.25 229850 229850 10/1/2006 9/1/2036 1197.14 1103611543 PUD 1 OO PURCHASE N 6.5 6.5 167300 167300 10/1/2006 9/1/2036 906.21 1103611544 PUD 1 OO PURCHASE N 5.99 5.99 176950 176950 10/1/2006 9/1/2036 883.28 1103611545 PUD 1 OO PURCHASE N 7.125 7.125 299850 299850 10/1/2006 9/1/2036 1780.36 1103611546 SFR 1 2ND REFI N 6.125 6.125 80000 80000 10/1/2006 9/1/2036 408.33 1103611547 PUD 1 OO PURCHASE N 6.625 6.625 206000 206000 10/1/2006 9/1/2036 1137.29 1103611617 PUD 1 OO PURCHASE N 7.5 7.5 296000 296000 10/1/2006 9/1/2036 1850 1103611620 PUD 1 OO PURCHASE N 6.875 6.875 319128 319128 10/1/2006 9/1/2036 1828.34 1103611623 PUD 1 OO PURCHASE N 6.625 6.625 209500 209500 9/1/2006 8/1/2036 1156.61 1103611624 SFR 1 OO PURCHASE N 6.625 6.625 320800 320800 10/1/2006 9/1/2036 1771.08 1103611625 CONDO 1 2ND PURCHASE N 8 8 341877 341877 10/1/2006 9/1/2036 2279.18 1103611627 PUD 1 OO PURCHASE N 6.875 6.875 136640 136640 10/1/2006 9/1/2036 782.83 1103611631 CONDO 1 OO PURCHASE N 7.875 7.875 528000 528000 10/1/2006 9/1/2036 3465 1103611633 PUD 1 NOO PURCHASE N 8.5 8.5 79608 79608 10/1/2006 9/1/2036 563.89 1103611634 PUD 1 NOO PURCHASE N 8.5 8.5 80552 80552 10/1/2006 9/1/2036 570.58 1103611635 SFR 1 OO PURCHASE N 6.5 6.5 168000 168000 10/1/2006 9/1/2036 910 1103611640 SFR 1 OO PURCHASE N 7.625 7.625 199200 199200 10/1/2006 9/1/2036 1265.75 1103611646 PUD 1 OO REFI Y 7.125 7.125 212800 212800 10/1/2006 9/1/2036 1263.5 1103611647 PUD 1 OO PURCHASE N 7.75 7.75 314660 314660 10/1/2006 9/1/2036 2032.18 1103611651 SFR 1 OO PURCHASE N 6.875 6.875 416000 416000 10/1/2006 9/1/2036 2383.33 1103611657 SFR 1 OO REFI Y 6.5 6.5 330000 330000 10/1/2006 9/1/2036 1787.5 1103611666 SFR 1 OO PURCHASE N 7.5 7.5 296000 296000 10/1/2006 9/1/2036 1850 1103611668 SFR 1 OO PURCHASE N 7.25 7.25 206000 205839.29 10/1/2006 9/1/2036 1405.28 1103611669 SFR 1 OO PURCHASE N 6.875 6.875 396000 395667.31 10/1/2006 9/1/2036 2601.44 1103611671 SFR 1 OO PURCHASE N 6.125 6.125 212000 212000 10/1/2006 9/1/2036 1082.08 1103611674 SFR 1 NOO REFI Y 8.625 8.625 387750 387750 10/1/2006 9/1/2036 2786.95 1103611678 2-4FAMILY 2 NOO PURCHASE N 6.5 6.5 93300 93300 11/1/2006 10/1/2036 589.72 1103611679 2-4FAMILY 2 NOO PURCHASE N 6.5 6.5 93300 93300 11/1/2006 10/1/2036 589.72 1103611759 SFR 1 OO REFI Y 7.412 7.412 245000 245000 11/1/2006 10/1/2036 1698.34 1103612119 SFR 1 OO REFI Y 6.75 6.75 199500 199500 11/1/2006 10/1/2036 1293.95 1103612182 PUD 1 OO PURCHASE N 6.75 6.75 189000 189000 10/1/2006 9/1/2036 1063.13 1103612184 SFR 1 OO REFI N 7 7 408000 408000 10/1/2006 9/1/2036 2380 1103612185 PUD 1 OO REFI N 7.375 7.375 708000 708000 10/1/2006 9/1/2036 4351.25 1103612188 SFR 1 OO REFI Y 6.5 6.5 452000 452000 10/1/2006 9/1/2036 2448.33 1103612189 SFR 1 NOO REFI Y 7.25 7.25 425500 425500 10/1/2006 9/1/2036 2570.73 1103612190 SFR 1 OO PURCHASE N 6.5 6.5 340000 340000 10/1/2006 9/1/2036 1841.67 1103612191 SFR 1 OO PURCHASE N 7 7 492000 492000 10/1/2006 9/1/2036 2870 1103612192 SFR 1 OO REFI Y 7.5 7.5 275000 275000 10/1/2006 9/1/2036 1718.75 1103612193 SFR 1 OO PURCHASE N 6.5 6.5 332000 332000 10/1/2006 9/1/2036 1798.33 1103612194 SFR 1 NOO PURCHASE N 7.25 7.25 256000 256000 10/1/2006 9/1/2036 1546.67 1103612195 SFR 1 OO REFI N 6.625 6.625 540000 540000 10/1/2006 9/1/2036 2981.25 1103612196 SFR 1 OO PURCHASE N 7.5 7.5 640000 640000 10/1/2006 9/1/2036 4000 1103612267 CONDO 1 OO PURCHASE N 6.375 6.375 639200 638607.97 10/1/2006 9/1/2036 3987.78 1103612269 SFR 1 NOO REFI Y 7.75 7.75 317600 317600 10/1/2006 9/1/2036 2051.17 1103612270 PUD 1 NOO PURCHASE N 7 7 340000 340000 10/1/2006 9/1/2036 1983.33 1103612271 SFR 1 OO REFI N 6.5 6.5 560000 560000 10/1/2006 9/1/2036 3033.33 1103612272 PUD 1 OO PURCHASE N 6.25 6.25 558500 558500 10/1/2006 9/1/2036 2908.85 1103612273 2-4FAMILY 2 NOO REFI N 7.25 7.25 415000 415000 10/1/2006 9/1/2036 2507.29 1103612275 CONDO 1 OO PURCHASE N 6.625 6.625 433600 433600 10/1/2006 9/1/2036 2393.83 1103612276 PUD 1 OO REFI N 6.75 6.75 417000 417000 10/1/2006 9/1/2036 2345.63 1103612277 SFR 1 OO REFI Y 7.125 7.125 215000 215000 10/1/2006 9/1/2036 1276.56 1103612278 SFR 1 OO PURCHASE N 6.75 6.75 273600 273600 10/1/2006 9/1/2036 1539 1103612279 SFR 1 OO REFI Y 6.75 6.75 775000 775000 10/1/2006 9/1/2036 4359.38 1103612281 PUD 1 OO PURCHASE N 6.75 6.75 167500 167500 10/1/2006 9/1/2036 942.19 1103612282 PUD 1 NOO REFI N 6.5 6.5 293000 293000 10/1/2006 9/1/2036 1587.08 1103612283 SFR 1 OO PURCHASE N 6.375 6.375 260000 260000 10/1/2006 9/1/2036 1381.25 1103612285 SFR 1 OO PURCHASE N 6.875 6.875 448000 448000 10/1/2006 9/1/2036 2566.67 1103612286 2-4FAMILY 2 OO REFI Y 7.625 7.625 472000 472000 10/1/2006 9/1/2036 2999.17 1103612287 SFR 1 OO REFI N 6.875 6.875 480000 480000 10/1/2006 9/1/2036 2750 1103612288 SFR 1 OO REFI N 7.125 7.125 232000 232000 10/1/2006 9/1/2036 1377.5 1103612289 SFR 1 OO REFI Y 6.25 6.25 375000 375000 10/1/2006 9/1/2036 1953.13 1103612290 SFR 1 OO PURCHASE N 7.375 7.375 447900 447900 10/1/2006 9/1/2036 2752.72 1103612291 SFR 1 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6.5 6.5 329300 329300 10/1/2006 9/1/2036 1783.71 1103612394 SFR 1 OO REFI Y 6.875 6.875 460000 459613.55 10/1/2006 9/1/2036 3021.87 1103612395 SFR 1 OO REFI N 6.875 6.875 308000 308000 10/1/2006 9/1/2036 1764.58 1103612396 SFR 1 OO PURCHASE N 7 7 1100000 1100000 10/1/2006 9/1/2036 6416.67 1103612397 SFR 1 OO PURCHASE N 7.375 7.375 592800 592348.93 10/1/2006 9/1/2036 4094.32 1103612398 SFR 1 OO REFI Y 6.5 6.5 107000 107000 10/1/2006 9/1/2036 579.58 1103612400 SFR 1 OO REFI Y 7 7 750000 750000 10/1/2006 9/1/2036 4375 1103612402 SFR 1 OO PURCHASE N 7 7 384800 384800 10/1/2006 9/1/2036 2244.67 1103612403 SFR 1 OO REFI Y 7 7 464000 463619.67 10/1/2006 9/1/2036 3087 1103612404 SFR 1 NOO PURCHASE N 6.875 6.875 277950 277950 8/1/2006 7/1/2036 1592.42 1103612407 SFR 1 OO PURCHASE N 6.75 6.75 622000 621464.47 10/1/2006 9/1/2036 4034.28 1103612408 SFR 1 OO REFI N 7 7 336000 336000 10/1/2006 9/1/2036 1960 1103612410 SFR 1 OO PURCHASE N 6.875 6.875 484000 484000 10/1/2006 9/1/2036 2772.92 1103612411 SFR 1 NOO REFI Y 7.5 7.5 101000 100925.04 10/1/2006 9/1/2036 706.21 1103612413 SFR 1 OO PURCHASE N 6.875 6.875 330000 330000 10/1/2006 9/1/2036 1890.63 1103612416 SFR 1 OO PURCHASE N 6.875 6.875 336000 336000 10/1/2006 9/1/2036 1925 1103612420 CONDO 1 OO PURCHASE N 7.125 7.125 332000 332000 10/1/2006 9/1/2036 1971.25 1103612424 SFR 1 OO PURCHASE N 7.625 7.625 343200 343200 10/1/2006 9/1/2036 2180.75 1103612425 2-4FAMILY 4 NOO REFI N 7.875 7.875 501750 501750 10/1/2006 9/1/2036 3292.73 1103612432 2-4FAMILY 2 NOO REFI N 7 7 60000 60000 10/1/2006 9/1/2036 350 1103612433 SFR 1 OO PURCHASE N 6.75 6.75 532000 532000 10/1/2006 9/1/2036 2992.5 1103612434 2-4FAMILY 2 NOO REFI N 7.375 7.375 263500 263500 10/1/2006 9/1/2036 1619.43 1103612445 CONDO 1 OO PURCHASE N 6.875 6.875 508000 508000 10/1/2006 9/1/2036 2910.42 1103612446 SFR 1 OO REFI Y 7 7 249600 249600 10/1/2006 9/1/2036 1456 1103612449 CONDO 1 NOO PURCHASE N 6.75 6.75 205100 205100 10/1/2006 9/1/2036 1153.69 1103612450 CONDO 1 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6.875 500000 500000 10/1/2006 9/1/2036 2864.58 1103612470 SFR 1 OO REFI Y 7.5 7.5 448000 448000 10/1/2006 9/1/2036 2800 1103612471 SFR 1 OO REFI Y 6.875 6.875 183750 183750 10/1/2006 9/1/2036 1052.73 1103612473 CONDO 1 OO PURCHASE N 6.875 6.875 288000 288000 10/1/2006 9/1/2036 1650 1103612476 SFR 1 OO PURCHASE N 6.75 6.75 417000 417000 10/1/2006 9/1/2036 2345.63 1103612477 PUD 1 OO REFI N 7.125 7.125 292000 292000 10/1/2006 9/1/2036 1733.75 1103612478 SFR 1 OO PURCHASE N 7 7 352000 352000 10/1/2006 9/1/2036 2053.33 1103612480 SFR 1 OO PURCHASE N 6.875 6.875 280000 280000 10/1/2006 9/1/2036 1604.17 1103612481 CONDO 1 OO PURCHASE N 7.125 7.125 456000 456000 10/1/2006 9/1/2036 2707.5 1103612482 SFR 1 OO PURCHASE N 6.75 6.75 203200 203200 10/1/2006 9/1/2036 1143 1103612484 SFR 1 OO REFI Y 7.25 7.25 607500 607500 10/1/2006 9/1/2036 3670.31 1103612485 SFR 1 OO REFI Y 6.875 6.875 272000 272000 10/1/2006 9/1/2036 1558.33 1103612486 SFR 1 OO PURCHASE N 7.125 7.125 675000 675000 10/1/2006 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3588.54 1103612671 PUD 1 OO PURCHASE N 6.875 6.875 749200 749200 10/1/2006 9/1/2036 4292.29 1103612672 CONDO 1 OO PURCHASE N 6.75 6.75 568000 568000 10/1/2006 9/1/2036 3195 1103612673 SFR 1 OO PURCHASE N 6.75 6.75 665000 664427.45 10/1/2006 9/1/2036 4313.18 1103612674 SFR 1 OO PURCHASE N 5.875 5.875 855500 855500 10/1/2006 9/1/2036 4188.39 1103612680 SFR 1 OO REFI Y 7 7 365000 364399.89 9/1/2006 8/1/2036 2428.35 1103612681 PUD 1 NOO REFI Y 6.625 6.625 228000 227798.84 10/1/2006 9/1/2036 1459.91 1103612682 SFR 1 OO REFI N 6.875 6.875 337000 337000 10/1/2006 9/1/2036 1930.73 1103612683 PUD 1 OO REFI Y 7 7 132000 131891.8 10/1/2006 9/1/2036 878.2 1103612684 SFR 1 OO REFI N 7.125 7.125 220800 220800 10/1/2006 9/1/2036 1311 1103612685 2-4FAMILY 3 OO PURCHASE N 7.375 7.375 702000 702000 10/1/2006 9/1/2036 4314.38 1103612686 SFR 1 OO REFI Y 6.625 6.625 504000 504000 10/1/2006 9/1/2036 2782.5 1103612689 CONDO 1 OO PURCHASE N 6.5 6.5 362600 362600 10/1/2006 9/1/2036 1964.08 1103612690 SFR 1 OO PURCHASE N 6.999 6.999 220000 220000 9/1/2006 8/1/2036 1283.15 1103612691 SFR 1 OO REFI N 6.5 6.5 449000 449000 10/1/2006 9/1/2036 2432.08 1103612692 SFR 1 NOO PURCHASE N 6.75 6.75 224000 224000 10/1/2006 9/1/2036 1260 1103612693 CONDO 1 OO REFI Y 6.875 6.875 276500 276500 10/1/2006 9/1/2036 1584.11 1103612694 PUD 1 OO REFI Y 7.375 7.375 650000 650000 10/1/2006 9/1/2036 3994.79 1103612695 SFR 1 OO REFI Y 6.5 6.5 385000 385000 10/1/2006 9/1/2036 2085.42 1103612696 PUD 1 OO REFI Y 7.25 7.25 225600 225600 10/1/2006 9/1/2036 1363 1103612697 CONDO 1 OO PURCHASE N 6.875 6.875 193130 193130 10/1/2006 9/1/2036 1106.47 1103612698 SFR 1 OO REFI Y 6.999 6.999 299500 299254.45 10/1/2006 9/1/2036 1992.38 1103612699 SFR 1 OO REFI Y 7.25 7.25 346000 345730.09 10/1/2006 9/1/2036 2360.33 1103612700 SFR 1 OO REFI Y 6.999 6.999 231000 231000 10/1/2006 9/1/2036 1347.31 1103612701 SFR 1 NOO PURCHASE N 6.875 6.875 287000 287000 10/1/2006 9/1/2036 1644.27 1103612702 PUD 1 OO REFI Y 6.5 6.5 636000 636000 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PURCHASE N 6.25 6.25 194600 194600 7/1/2006 6/1/2036 1013.54 2503118180 SFR 1 NOO PURCHASE N 6.875 6.875 167790 167790 11/1/2006 10/1/2036 961.3 2503141790 PUD 1 OO PURCHASE N 7.8 7.8 453650 453650 8/1/2006 7/1/2036 2948.73 2503147887 SFR 1 OO PURCHASE N 12.25 12.25 93000 92951.55 4/1/2006 3/1/2021 949.38 2503149273 SFR 1 OO PURCHASE N 11.99 11.99 127800 127800 4/1/2006 3/1/2021 1276.94 2503149577 SFR 1 OO PURCHASE N 6.55 6.55 501750 501750 9/1/2006 8/1/2036 2738.72 2503149663 CONDO 1 OO REFI Y 12.75 12.75 54000 54000 4/1/2006 3/1/2021 573.75 2503150764 PUD 1 OO REFI Y 8 8 472500 472500 9/1/2006 8/1/2036 3150 2503151022 PUD 1 OO REFI Y 12.875 12.875 202500 202452.37 9/1/2006 8/1/2021 2220.29 2503151120 SFR 1 OO PURCHASE N 13.25 13.25 72500 72499.99 5/1/2006 4/1/2036 800.52 2503151638 HI-RISE 1 2ND PURCHASE N 7.75 7.75 126750 126750 7/1/2006 6/1/2036 818.59 2503152253 CONDO 1 NOO PURCHASE N 8.375 8.375 137100 137100 9/1/2006 8/1/2036 956.84 2503152254 CONDO 1 NOO PURCHASE N 14.15 14.15 25700 25695.48 9/1/2006 8/1/2021 307.57 2503153061 PUD 1 OO PURCHASE N 7.75 7.75 640000 639600 5/1/2006 4/1/2036 4133.33 2503153062 PUD 1 OO PURCHASE N 12.875 12.875 195000 194788.53 5/1/2006 4/1/2021 2092.19 2503153776 PUD 1 OO REFI Y 12.125 12.125 111000 110898.1 5/1/2006 4/1/2021 1121.56 2503154935 2-4FAMILY 3 OO PURCHASE N 8.39 8.39 576000 576000 7/1/2006 6/1/2036 4027.2 2503155448 SFR 1 NOO PURCHASE N 7.99 7.99 320250 320250 10/1/2006 9/1/2036 2132.33 2503155449 SFR 1 NOO PURCHASE N 12.875 12.875 85400 85400 10/1/2006 9/1/2021 936.36 2503155614 2-4FAMILY 3 OO PURCHASE N 8.625 8.625 172000 171589.39 6/1/2006 5/1/2036 1337.8 2503156392 SFR 1 NOO REFI Y 6.99 6.99 450000 450000 7/1/2006 6/1/2036 2621.25 2503156818 SFR 1 OO REFI Y 12.25 12.25 75000 74917.58 6/1/2006 5/1/2021 785.92 2503156996 SFR 1 NOO REFI Y 8.25 8.25 144400 144400 7/1/2006 6/1/2036 992.75 2503157387 SFR 1 NOO PURCHASE N 7.75 7.75 469600 469599.83 7/1/2006 6/1/2036 3032.83 2503157629 CONDO 1 NOO PURCHASE N 7.625 7.625 150000 150000 7/1/2006 6/1/2036 953.13 2503157696 PUD 1 OO REFI Y 8.735 8.735 340000 339606.13 8/1/2006 7/1/2036 2671.14 2503157865 SFR 1 OO PURCHASE N 7.875 7.875 204000 204000 7/1/2006 6/1/2036 1338.75 2503157978 PUD 1 2ND PURCHASE N 7.68 7.68 271120 270336.24 6/1/2006 5/1/2036 1929.24 2503158152 2-4FAMILY 2 NOO REFI Y 6.25 6.25 500000 500000 9/1/2006 8/1/2036 2604.17 2503158267 HI-RISE 1 2ND PURCHASE N 7.875 7.875 203680 203398.74 8/1/2006 7/1/2036 1476.82 2503158325 2-4FAMILY 3 OO PURCHASE N 8.99 8.99 455000 454247.23 7/1/2006 6/1/2036 3657.76 2503158662 CONDO 1 NOO PURCHASE N 8.662 8.662 113950 113950 8/1/2006 7/1/2036 822.53 2503158680 SFR 1 OO REFI N 7.05 7.05 600000 600000 8/1/2006 7/1/2036 3525 2503158881 2-4FAMILY 3 OO PURCHASE N 12.2 12.2 172750 172606.72 7/1/2006 6/1/2021 1803.57 2503158955 SFR 1 OO PURCHASE N 8.75 8.75 124000 123856.8 8/1/2006 7/1/2036 975.51 2503159256 HI-RISE 1 2ND PURCHASE N 7.75 7.75 183650 183650 8/1/2006 7/1/2036 1186.07 2503159388 CONDO 1 NOO 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86400 86153.71 6/1/2006 5/1/2036 618.98 2503160591 SFR 1 OO REFI N 6.25 6.25 292500 291943.49 8/1/2006 7/1/2036 1800.97 2503160805 SFR 1 OO PURCHASE N 8 8 308000 307375.89 7/1/2006 6/1/2036 2259.99 2503161092 PUD 1 2ND PURCHASE N 9.091 9.091 335920 335920 8/1/2006 7/1/2036 2544.87 2503161153 SFR 1 OO REFI Y 8 8 208000 207820.06 7/1/2006 6/1/2036 1446.25 2503161306 2-4FAMILY 4 NOO PURCHASE N 9.25 9.25 750000 750000 8/1/2006 7/1/2036 5781.25 2503161318 SFR 1 OO REFI Y 7.25 7.25 262500 262500 8/1/2006 7/1/2036 1585.94 2503161434 SFR 1 OO PURCHASE N 7.5 7.5 93600 93298.49 7/1/2006 6/1/2036 654.46 2503161440 SFR 1 NOO PURCHASE N 8.1 8.1 172800 172800 7/1/2006 6/1/2036 1166.4 2503161541 2-4FAMILY 3 OO PURCHASE N 8.1 8.1 350800 350800 8/1/2006 7/1/2036 2367.9 2503161580 SFR 1 OO PURCHASE N 8 8 191100 190712.56 7/1/2006 6/1/2036 1402.22 3900014045 SFR 1 OO REFI Y 7.875 7.875 110000 105641.36 9/1/2002 8/1/2032 797.58 3900014169 2-4FAMILY 3 OO PURCHASE N 7.625 7.625 68600 65890.23 11/1/2002 10/1/2032 485.55 2503161736 SFR 1 OO PURCHASE N 10.875 10.875 299250 298918.07 7/1/2006 6/1/2036 2821.6 2503161811 PUD 1 OO PURCHASE N 8.19 8.19 283250 283250 7/1/2006 6/1/2036 1933.18 2503161840 SFR 1 OO REFI Y 7.938 7.938 124000 123999.99 7/1/2006 6/1/2036 820.26 2503161960 CONDO 1 2ND PURCHASE N 7.75 7.75 176000 175624.92 7/1/2006 6/1/2036 1260.89 2503162023 SFR 1 NOO REFI N 7.5 7.5 72000 71322.35 7/1/2006 6/1/2021 667.45 2503162025 CONDO 1 OO PURCHASE N 7.375 7.375 118050 118050 7/1/2006 6/1/2036 725.52 2503162185 SFR 1 NOO PURCHASE N 13.2 13.2 90000 89940.33 7/1/2006 6/1/2021 1009.67 2503162206 SFR 1 NOO REFI N 7 7 207000 204907.32 7/1/2006 6/1/2036 1207.5 2503162248 PUD 1 NOO PURCHASE N 7.9 7.9 252720 252683.74 8/1/2006 7/1/2036 1663.74 2503162280 SFR 1 OO REFI Y 7.75 7.75 300000 300000 7/1/2006 6/1/2036 1937.5 2503162334 SFR 1 OO REFI N 7.125 7.125 140000 140000 7/1/2006 6/1/2036 831.25 2503162388 CONDO 1 NOO REFI Y 7.5 7.5 226000 216999.99 8/1/2006 7/1/2036 1356.25 2503162434 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7/1/2036 1333.46 2503164999 CONDO 1 OO PURCHASE N 7.5 7.5 150000 148718.01 9/1/2006 8/1/2036 1048.82 2503165039 PUD 1 OO PURCHASE N 6.06 6.06 367500 367500 8/1/2006 7/1/2036 1855.88 2503165098 2-4FAMILY 4 NOO PURCHASE N 7.59 7.59 77000 76943.88 9/1/2006 8/1/2036 543.15 2503165099 2-4FAMILY 4 NOO PURCHASE N 13.43 13.43 22000 21995.44 9/1/2006 8/1/2021 250.78 2503165100 2-4FAMILY 2 OO REFI Y 8 8 572000 572000 9/1/2006 8/1/2036 3813.33 2503165133 PUD 1 OO PURCHASE N 7.85 7.85 329900 329900 7/1/2006 6/1/2036 2158.1 2503165197 SFR 1 OO PURCHASE N 7.875 7.875 302000 301372.22 7/1/2006 6/1/2036 2189.71 2503165216 SFR 1 NOO PURCHASE N 8.25 8.25 138400 138400 7/1/2006 6/1/2036 951.5 2503165226 SFR 1 NOO REFI Y 8 8 130000 129824.98 8/1/2006 7/1/2036 953.89 2503165264 CONDO 1 NOO PURCHASE N 8.125 8.125 175200 175200 7/1/2006 6/1/2036 1186.25 2503165268 CONDO 1 NOO PURCHASE N 14.35 14.35 32850 32833.25 7/1/2006 6/1/2021 398.35 2503165282 SFR 1 OO REFI N 7.49 7.49 192000 188385.15 7/1/2006 6/1/2036 1198.4 2503165286 SFR 1 OO PURCHASE N 7.625 7.625 568000 568000 7/1/2006 6/1/2036 3609.17 2503165341 SFR 1 OO REFI Y 6.75 6.75 103000 103000 8/1/2006 7/1/2036 579.38 2503165371 SFR 1 NOO PURCHASE N 8.25 8.25 240000 240000 7/1/2006 6/1/2036 1650 2503165376 PUD 1 NOO REFI Y 8.5 8.5 282400 282056.63 8/1/2006 7/1/2036 2171.41 2503165389 SFR 1 OO REFI N 6.95 6.95 728350 728350 8/1/2006 7/1/2036 4218.36 2503165435 2-4FAMILY 3 OO PURCHASE N 8.7 8.7 329250 328865.81 8/1/2006 7/1/2036 2578.46 2503165456 SFR 1 OO REFI Y 6.5 6.5 171500 171500 8/1/2006 7/1/2036 928.96 2503165478 SFR 1 OO REFI Y 7.625 7.625 288000 287722.55 7/1/2006 6/1/2036 1921.9 2503165498 PUD 1 OO PURCHASE N 7.875 7.875 352500 352500 8/1/2006 7/1/2036 2313.28 2503165499 PUD 1 OO PURCHASE N 12.65 12.65 117500 117441.55 8/1/2006 7/1/2021 1267.72 2503165537 SFR 1 NOO PURCHASE N 13.3 13.3 37350 37325.79 7/1/2006 6/1/2021 421.94 2503165582 SFR 1 OO REFI Y 7.25 7.25 175000 173369.53 7/1/2006 6/1/2021 1597.51 2503165583 2-4FAMILY 2 OO 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7/1/2036 655.63 2503168881 CONDO 1 OO PURCHASE N 6.875 6.875 180750 180750 8/1/2006 7/1/2036 1035.55 2503168903 2-4FAMILY 2 OO REFI Y 6.375 6.375 335000 334377.81 8/1/2006 7/1/2036 2089.96 2503168916 SFR 1 OO PURCHASE N 8.625 8.625 292000 292000 8/1/2006 7/1/2036 2098.75 2503168918 SFR 1 NOO PURCHASE N 11.25 11.25 99000 98932.84 8/1/2006 7/1/2036 961.55 2503168925 SFR 1 OO PURCHASE N 7.45 7.45 452000 451661.18 9/1/2006 8/1/2036 3144.99 2503168926 SFR 1 OO PURCHASE N 13.25 13.25 113000 112975.59 9/1/2006 8/1/2021 1272.12 2503168927 CONDO 1 OO PURCHASE N 7.51 7.51 122900 122808.97 8/1/2006 7/1/2036 769.15 2503168929 SFR 1 OO REFI Y 6.75 6.75 380540 380540 8/1/2006 7/1/2036 2140.54 2503168931 CONDO 1 OO PURCHASE N 13.05 13.05 40950 40940.74 8/1/2006 7/1/2036 445.33 2503168932 SFR 1 OO REFI Y 7.5 7.5 197600 197305.04 8/1/2006 7/1/2036 1381.65 2503168933 SFR 1 NOO PURCHASE N 7.99 7.99 392000 392000 8/1/2006 7/1/2036 2610.07 2503168941 SFR 1 OO PURCHASE N 7 7 264000 264000 8/1/2006 7/1/2036 1540 2503168945 HI-RISE 1 NOO PURCHASE N 7.53 7.53 101900 101900 8/1/2006 7/1/2036 639.42 2503168950 SFR 1 OO REFI Y 6.8 6.8 206250 206250 10/1/2006 9/1/2036 1168.75 2503168951 SFR 1 OO REFI Y 10.8 10.8 68750 68750 10/1/2006 9/1/2021 644.35 2503168963 CONDO 1 OO PURCHASE N 7.75 7.75 124000 123824.4 8/1/2006 7/1/2036 888.35 2503168987 2-4FAMILY 3 OO PURCHASE N 7.75 7.75 503250 503250 8/1/2006 7/1/2036 3250.16 2503168988 2-4FAMILY 3 OO PURCHASE N 12.275 12.275 167750 167659.24 8/1/2006 7/1/2021 1761.09 2503168993 SFR 1 OO PURCHASE N 8.5 8.5 98800 98679.86 8/1/2006 7/1/2036 759.69 2503168996 CONDO 1 OO REFI Y 7.192 7.192 182250 182250 9/1/2006 8/1/2036 1092.28 2503169008 SFR 1 OO PURCHASE N 7.125 7.125 97520 97363.57 8/1/2006 7/1/2036 657.01 2503169035 PUD 1 NOO PURCHASE N 8 8 329950 329950 8/1/2006 7/1/2036 2199.67 2503169040 SFR 1 OO PURCHASE N 6.875 6.875 306675 306675 8/1/2006 7/1/2036 1756.99 2503169052 SFR 1 OO REFI Y 8.375 8.375 129600 129438.34 8/1/2006 7/1/2036 985.05 2503169057 SFR 1 OO PURCHASE N 7 7 400000 400000 8/1/2006 7/1/2036 2333.33 2503169066 CONDO 1 OO REFI Y 6.75 6.75 255000 254780.45 8/1/2006 7/1/2036 1434.38 2503169085 SFR 1 OO PURCHASE N 8.95 8.95 221200 221200 9/1/2006 8/1/2036 1649.78 2503169086 SFR 1 OO PURCHASE N 13.5 13.5 55300 55288.72 9/1/2006 8/1/2021 633.41 2503169089 SFR 1 OO PURCHASE N 7.5 7.5 208450 208139.64 8/1/2006 7/1/2036 1457.51 2503169101 SFR 1 NOO PURCHASE N 6.75 6.75 213750 213750 8/1/2006 7/1/2036 1202.34 2503169124 2-4FAMILY 3 OO PURCHASE N 7.99 7.99 248500 248164.74 8/1/2006 7/1/2036 1821.67 2503169126 SFR 1 OO PURCHASE N 6.75 6.75 408000 408000 8/1/2006 7/1/2036 2295 2503169136 SFR 1 OO PURCHASE N 6.625 6.625 333750 333159.45 8/1/2006 7/1/2036 2137.04 2503169176 2-4FAMILY 2 OO REFI Y 12.05 12.05 45000 44974.41 8/1/2006 7/1/2021 464.61 2503169183 SFR 1 OO REFI Y 7.5 7.5 332000 331999.62 8/1/2006 7/1/2036 2075 2503169199 SFR 1 OO REFI Y 8 8 144000 144000 10/1/2006 9/1/2036 960 2503169205 CONDO 1 OO PURCHASE N 6.375 6.375 222000 222000 8/1/2006 7/1/2036 1179.38 2503169215 CONDO 1 OO PURCHASE N 12.35 12.35 40000 39989.42 9/1/2006 8/1/2021 422.25 2503169225 CONDO 1 NOO PURCHASE N 7.75 7.75 508800 508800 9/1/2006 8/1/2036 3286 2503169236 CONDO 1 OO REFI Y 7.5 7.5 157600 157600 8/1/2006 7/1/2036 985 2503169237 CONDO 1 OO REFI Y 13.63 13.63 39400 39384.29 8/1/2006 7/1/2021 455.33 2503169244 2-4FAMILY 2 OO PURCHASE N 7.75 7.75 292500 292500 10/1/2006 9/1/2036 1889.06 2503169245 2-4FAMILY 2 OO PURCHASE N 13.45 13.45 97500 97500 10/1/2006 9/1/2021 1112.94 2503169252 SFR 1 NOO REFI Y 7.99 7.99 140700 140700 8/1/2006 7/1/2036 936.83 2503169255 2-4FAMILY 2 NOO REFI Y 7.475 7.475 340760 340760 10/1/2006 9/1/2036 2236.15 2503169257 2-4FAMILY 2 NOO REFI Y 13 13 73020 73020 10/1/2006 9/1/2021 807.75 2503169279 SFR 1 OO REFI Y 7.125 7.125 277500 277054.86 8/1/2006 7/1/2036 1869.57 2503169288 SFR 1 NOO REFI Y 13.071 13.071 50250 50227.25 8/1/2006 7/1/2021 558.66 2503169300 SFR 1 NOO PURCHASE N 6.875 6.875 285000 285000 8/1/2006 7/1/2036 1632.81 2503169312 SFR 1 NOO PURCHASE N 8.1 8.1 180000 180000 10/1/2006 9/1/2036 1215 2503169313 SFR 1 NOO PURCHASE N 12.025 12.025 33750 33750 10/1/2006 9/1/2021 347.81 2503169326 SFR 1 OO REFI Y 7.375 7.375 367500 367500 9/1/2006 8/1/2036 2258.59 2503169336 SFR 1 OO PURCHASE N 6.875 6.875 536000 536000 8/1/2006 7/1/2036 3070.83 2503169351 SFR 1 OO PURCHASE N 9 9 312193 312193 8/1/2006 7/1/2036 2341.45 2503169352 SFR 1 OO REFI Y 6.5 6.5 493500 490239.63 8/1/2006 7/1/2021 4298.91 2503169359 SFR 1 OO REFI N 6.125 6.125 253500 253253.31 8/1/2006 7/1/2036 1416.94 2503169360 HI-RISE 1 OO PURCHASE N 6.875 6.875 221175 221175 8/1/2006 7/1/2036 1267.15 2503169366 PUD 1 OO PURCHASE N 7.45 7.45 266250 266250 9/1/2006 8/1/2036 1652.97 2503169377 SFR 1 OO PURCHASE N 7.625 7.625 452000 452000 8/1/2006 7/1/2036 2872.08 2503169412 PUD 1 OO PURCHASE N 8 8 208000 207880.44 8/1/2006 7/1/2036 1446.25 2503169424 PUD 1 OO PURCHASE N 7.875 7.875 152450 152345.08 9/1/2006 8/1/2036 1105.37 2503169439 SFR 1 NOO PURCHASE N 8 8 84000 84000 8/1/2006 7/1/2036 560 2503169442 CONDO 1 NOO PURCHASE N 7.25 7.25 208450 208450 8/1/2006 7/1/2036 1259.39 2503169457 SFR 1 OO PURCHASE N 6.99 6.99 367200 367200 8/1/2006 7/1/2036 2138.94 2503169468 SFR 1 OO REFI Y 7.25 7.25 248000 248000 8/1/2006 7/1/2036 1498.33 2503169471 SFR 1 OO REFI Y 11.75 11.75 36000 36000 10/1/2006 9/1/2021 363.39 2503169481 SFR 1 OO REFI Y 6.625 6.625 402500 402500 8/1/2006 7/1/2036 2222.14 2503169512 2-4FAMILY 2 NOO REFI Y 8.125 8.125 281250 281250 8/1/2006 7/1/2036 1904.3 2503169529 SFR 1 OO REFI Y 6.625 6.625 155000 155000 8/1/2006 7/1/2036 855.73 2503169530 SFR 1 NOO REFI Y 7.25 7.25 160000 160000 8/1/2006 7/1/2036 966.67 2503169544 CONDO 1 OO REFI Y 7.58 7.58 161250 161250 9/1/2006 8/1/2036 1018.56 2503169570 2-4FAMILY 2 NOO PURCHASE N 7.125 7.125 126400 126400 9/1/2006 8/1/2036 750.5 2503169572 SFR 1 NOO REFI N 7.375 7.375 264000 264000 8/1/2006 7/1/2036 1622.5 2503169586 PUD 1 2ND REFI Y 8.1 8.1 368000 368000 10/1/2006 9/1/2036 2484 2503169591 SFR 1 OO PURCHASE N 8.8 8.8 215200 215077.46 9/1/2006 8/1/2036 1700.67 2503169596 SFR 1 OO REFI N 6.925 6.925 164000 164000 8/1/2006 7/1/2036 946.42 2503169600 SFR 1 OO REFI N 7.125 7.125 168750 168479.3 8/1/2006 7/1/2036 1136.9 2503169604 2-4FAMILY 2 OO PURCHASE N 8.95 8.95 270000 270000 9/1/2006 8/1/2036 2013.75 2503169606 CONDO 1 NOO PURCHASE N 7.75 7.75 302700 302700 9/1/2006 8/1/2036 1954.94 2503169607 CONDO 1 NOO PURCHASE N 12.75 12.75 56750 56736.27 9/1/2006 8/1/2021 616.7 2503169612 PUD 1 OO REFI Y 7.375 7.375 228000 228000 9/1/2006 8/1/2036 1401.25 2503169613 CONDO 1 OO PURCHASE N 7.375 7.375 344000 344000 9/1/2006 8/1/2036 2114.17 2503169619 SFR 1 OO REFI Y 7.25 7.25 114000 114000 8/1/2006 7/1/2036 688.75 2503169623 2-4FAMILY 3 NOO PURCHASE N 6.5 6.5 232000 232000 9/1/2006 8/1/2036 1256.67 2503169624 SFR 1 NOO PURCHASE N 7.75 7.75 255000 254820.03 9/1/2006 8/1/2036 1826.85 2503169637 SFR 1 OO PURCHASE N 6.34 6.34 454400 454400 9/1/2006 8/1/2036 2400.75 2503169638 SFR 1 NOO REFI Y 7.25 7.25 256000 255817.67 8/1/2006 7/1/2036 1637.56 2503169646 SFR 1 OO PURCHASE N 7.5 7.5 230000 229657.55 8/1/2006 7/1/2036 1608.19 2503169649 PUD 1 2ND PURCHASE N 6.93 6.93 287000 287000 8/1/2006 7/1/2036 1657.43 2503169650 PUD 1 2ND PURCHASE N 11.24 11.24 102500 102430.32 8/1/2006 7/1/2021 994.76 2503169657 SFR 1 OO PURCHASE N 7.55 7.55 226600 226600 8/1/2006 7/1/2036 1425.69 2503169690 SFR 1 NOO PURCHASE N 11.325 11.325 77400 77374.29 9/1/2006 8/1/2036 756.17 2503169693 CONDO 1 NOO PURCHASE N 7 7 97500 97339.69 8/1/2006 7/1/2036 648.67 2503169706 2-4FAMILY 3 OO PURCHASE N 7.75 7.75 506250 506250 8/1/2006 7/1/2036 3269.53 2503169707 2-4FAMILY 3 OO PURCHASE N 11.4 11.4 168750 168639.23 8/1/2006 7/1/2021 1658.25 2503169713 2-4FAMILY 4 NOO REFI N 7.5 7.5 262500 262500 9/1/2006 8/1/2036 1640.62 2503169719 CONDO 1 OO REFI Y 8.2 8.2 292000 292000 8/1/2006 7/1/2036 1995.33 2503169727 SFR 1 OO PURCHASE N 7.725 7.725 164000 164000 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SFR 1 NOO REFI Y 13.99 13.99 41500 41484.77 8/1/2006 7/1/2021 491.39 2503169882 2-4FAMILY 3 OO PURCHASE N 8.7 8.7 460500 460284.22 8/1/2006 7/1/2036 3446.13 2503169885 SFR 1 OO PURCHASE N 6.9 6.9 291950 291949.71 8/1/2006 7/1/2036 1678.71 2503169894 SFR 1 OO REFI N 6.375 6.375 620250 620250 8/1/2006 7/1/2036 3295.08 2503169899 CONDO 1 OO PURCHASE N 6.75 6.75 145600 145474.64 9/1/2006 8/1/2036 944.36 2503169927 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 392000 391694.2 9/1/2006 8/1/2036 2674.13 2503169930 SFR 1 OO PURCHASE N 8.125 8.125 209925 209925 8/1/2006 7/1/2036 1421.37 2503169950 SFR 1 OO PURCHASE N 9.875 9.875 288000 288000 10/1/2006 9/1/2036 2370 2503169951 SFR 1 OO PURCHASE N 13.99 13.99 72000 72000 10/1/2006 9/1/2021 852.54 2503169958 SFR 1 2ND REFI Y 7.75 7.75 333700 333700 9/1/2006 8/1/2036 2155.15 2503169959 SFR 1 2ND REFI N 13.25 13.25 400000 399913.58 9/1/2006 8/1/2021 4503.09 2503169960 SFR 1 OO PURCHASE N 6.99 6.99 480000 480000 8/1/2006 7/1/2036 2796 2503169966 2-4FAMILY 2 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198200 198200 10/1/2006 9/1/2021 2146.11 2503170048 PUD 1 OO PURCHASE N 7.625 7.625 252850 252850 8/1/2006 7/1/2036 1606.65 2503170054 SFR 1 OO PURCHASE N 6.5 6.5 358000 358000 9/1/2006 8/1/2036 1939.17 2503170087 SFR 1 NOO REFI Y 8.125 8.125 209550 209550 8/1/2006 7/1/2036 1418.83 2503170089 2-4FAMILY 3 OO PURCHASE N 6 6 532500 532500 8/1/2006 7/1/2036 2662.5 2503170096 SFR 1 OO PURCHASE N 7.125 7.125 288750 288519.09 9/1/2006 8/1/2036 1945.36 2503170104 2-4FAMILY 2 OO REFI Y 7.25 7.25 435000 435000 9/1/2006 8/1/2036 2628.13 2503170119 SFR 1 OO REFI Y 7.75 7.75 232500 232500 8/1/2006 7/1/2036 1501.56 2503170122 CONDO 1 2ND PURCHASE N 7.875 7.875 114443 114364.24 9/1/2006 8/1/2036 829.79 2503170137 SFR 1 OO PURCHASE N 7.625 7.625 570637 570637 8/1/2006 7/1/2036 3625.92 2503170151 SFR 1 NOO REFI Y 6.9 6.9 525000 525000 8/1/2006 7/1/2036 3018.75 2503170155 SFR 1 OO PURCHASE N 6.99 6.99 128000 127894.87 9/1/2006 8/1/2036 850.73 2503170163 PUD 1 NOO REFI Y 12.99 12.99 432000 431800.91 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8/1/2006 7/1/2036 1378.13 2503170267 HI-RISE 1 OO REFI N 7.5 7.5 376000 376000 10/1/2006 9/1/2036 2350 2503170273 PUD 1 OO PURCHASE N 6.75 6.75 770000 770000 8/1/2006 7/1/2036 4331.25 2503170278 PUD 1 OO PURCHASE N 6.625 6.625 408750 408750 8/1/2006 7/1/2036 2256.64 2503170285 CONDO 1 OO PURCHASE N 7.5 7.5 312000 312000 8/1/2006 7/1/2036 1950 2503170292 PUD 1 OO REFI N 7.875 7.875 385600 385599.38 8/1/2006 7/1/2036 2530.5 2503170294 PUD 1 OO REFI Y 13.35 13.35 96400 96304.22 8/1/2006 7/1/2021 1092.81 2503170307 SFR 1 OO PURCHASE N 6.875 6.875 348000 348000 8/1/2006 7/1/2036 1993.75 2503170309 SFR 1 OO PURCHASE N 7.125 7.125 220000 220000 9/1/2006 8/1/2036 1306.25 2503170311 CONDO 1 NOO REFI N 6.25 6.25 480000 480000 9/1/2006 8/1/2036 2500 2503170332 SFR 1 OO PURCHASE N 8.2 8.2 749250 749047.49 9/1/2006 8/1/2036 5322.39 2503170333 SFR 1 OO PURCHASE N 11.9 11.9 249750 249676.94 9/1/2006 8/1/2021 2549.75 2503170356 SFR 1 OO REFI N 6.45 6.45 448000 448000 8/1/2006 7/1/2036 2408 2503170357 CONDO 1 OO PURCHASE N 7.2 7.2 288950 288722.34 9/1/2006 8/1/2036 1961.36 2503170367 CONDO 1 NOO PURCHASE N 8.375 8.375 90900 90900 8/1/2006 7/1/2036 634.41 2503170368 CONDO 1 NOO PURCHASE N 12.5 12.5 25950 25936.65 8/1/2006 7/1/2021 276.95 2503170370 SFR 1 NOO REFI Y 7.99 7.99 416000 416000 8/1/2006 7/1/2036 2769.87 2503170371 SFR 1 OO REFI Y 6.99 6.99 214400 214400 9/1/2006 8/1/2036 1248.88 2503170378 SFR 1 OO PURCHASE N 6.66 6.66 544000 544000 8/1/2006 7/1/2036 3019.2 2503170389 SFR 1 OO REFI Y 6.625 6.625 165000 165000 9/1/2006 8/1/2036 910.94 2503170401 CONDO 1 NOO PURCHASE N 8.35 8.35 90300 90300 10/1/2006 9/1/2036 628.34 2503170406 SFR 1 OO PURCHASE N 7.75 7.75 419200 419200 8/1/2006 7/1/2036 2707.33 2503170416 SFR 1 OO REFI N 6.8 6.8 465000 465000 9/1/2006 8/1/2036 2635 2503170425 SFR 1 OO REFI Y 11.75 11.75 27000 26983.6 8/1/2006 7/1/2021 272.54 2503170429 SFR 1 OO REFI Y 8.75 8.75 136000 135623.89 9/1/2006 8/1/2036 991.67 2503170436 SFR 1 NOO PURCHASE N 8.15 8.15 92750 92628.87 8/1/2006 7/1/2036 690.29 2503170444 PUD 1 OO REFI Y 8.375 8.375 184000 184000 9/1/2006 8/1/2036 1284.17 2503170447 PUD 1 NOO PURCHASE N 8 8 318400 318400 8/1/2006 7/1/2036 2122.67 2503170455 SFR 1 OO REFI N 7.25 7.25 296000 296000 9/1/2006 8/1/2036 1788.33 2503170466 SFR 1 OO REFI Y 8.75 8.75 225000 225000 10/1/2006 9/1/2036 1770.08 2503170481 CONDO 1 OO REFI N 13.375 13.375 30400 30400 10/1/2006 9/1/2021 345.22 2503170489 SFR 1 OO REFI Y 7.75 7.75 157500 157402.7 8/1/2006 7/1/2036 1065.68 2503170500 SFR 1 NOO REFI N 7.125 7.125 284000 284000 9/1/2006 8/1/2036 1686.25 2503170506 SFR 1 OO PURCHASE N 7.25 7.25 1068750 1068750 8/1/2006 7/1/2036 6457.03 2503170507 SFR 1 OO PURCHASE N 10.25 10.25 71250 71189.99 8/1/2006 7/1/2021 638.47 2503170522 SFR 1 NOO REFI N 7 7 510000 510000 8/1/2006 7/1/2036 2975 2503170529 SFR 1 NOO REFI Y 6.375 6.375 130000 130000 8/1/2006 7/1/2036 690.63 2503170532 PUD 1 OO REFI N 7.25 7.25 432000 432000 9/1/2006 8/1/2036 2610 2503170533 PUD 1 OO REFI Y 12.2 12.2 78030 78008.65 9/1/2006 8/1/2021 814.66 2503170534 2-4FAMILY 2 NOO PURCHASE N 7.125 7.125 230965 230965 9/1/2006 8/1/2036 1371.35 2503170541 SFR 1 NOO PURCHASE N 6.99 6.99 162050 162049.25 8/1/2006 7/1/2036 943.94 2503170544 SFR 1 OO PURCHASE N 6.5 6.5 712500 712500 8/1/2006 7/1/2036 3859.38 2503170553 SFR 1 OO REFI Y 6.4 6.4 225000 224800 8/1/2006 7/1/2036 1200 2503170556 SFR 1 OO PURCHASE N 7.75 7.75 202300 202300 8/1/2006 7/1/2036 1306.52 2503170563 2-4FAMILY 3 OO PURCHASE N 8.5 8.5 341250 341250 8/1/2006 7/1/2036 2417.19 2503170565 CONDO 1 OO PURCHASE N 7.25 7.25 540000 540000 10/1/2006 9/1/2036 3262.5 2503170566 CONDO 1 OO PURCHASE N 13.65 13.65 180000 180000 10/1/2006 9/1/2021 2083.01 2503170580 SFR 1 NOO PURCHASE N 10.875 10.875 131400 131303.27 8/1/2006 7/1/2036 1238.96 2503170594 2-4FAMILY 2 OO PURCHASE N 7.625 7.625 449250 449250 9/1/2006 8/1/2036 2854.61 2503170596 SFR 1 OO PURCHASE N 6.99 6.99 328000 328000 8/1/2006 7/1/2036 1910.6 2503170598 2-4FAMILY 3 OO PURCHASE N 7.7 7.7 390400 390400 9/1/2006 8/1/2036 2505.07 2503170599 2-4FAMILY 3 OO PURCHASE N 11 11 97600 97565.2 9/1/2006 8/1/2021 929.47 2503170614 PUD 1 OO PURCHASE N 7.13 7.13 165600 165600 8/1/2006 7/1/2036 983.94 2503170616 SFR 1 NOO REFI Y 7.5 7.5 96000 95928.75 9/1/2006 8/1/2036 671.25 2503170626 SFR 1 OO PURCHASE N 7.875 7.875 352500 352500 8/1/2006 7/1/2036 2313.28 2503170630 CONDO 1 NOO PURCHASE N 13.3 13.3 25000 25000 10/1/2006 9/1/2021 282.42 2503170636 SFR 1 OO PURCHASE N 6.375 6.375 356000 356000 8/1/2006 7/1/2036 1891.25 2503170637 SFR 1 OO PURCHASE N 10.99 10.99 89000 88936.09 8/1/2006 7/1/2021 846.9 2503170659 SFR 1 OO PURCHASE N 7.875 7.875 552172 552172 10/1/2006 9/1/2036 3623.63 2503170660 SFR 1 OO PURCHASE N 12.44 12.44 138044 138044 10/1/2006 9/1/2021 1466.86 2503170662 2-4FAMILY 4 NOO PURCHASE N 6.8 6.8 507500 507500 9/1/2006 8/1/2036 2875.83 2503170671 2-4FAMILY 4 NOO PURCHASE N 12.5 12.5 145000 144962.9 9/1/2006 8/1/2036 1547.52 2503170701 SFR 1 OO PURCHASE N 7.29 7.29 385600 385600 8/1/2006 7/1/2036 2342.52 2503170702 SFR 1 OO REFI Y 7.125 7.125 157600 157228.38 8/1/2006 7/1/2036 1061.78 2503170707 SFR 1 OO REFI N 6.125 6.125 160000 160000 9/1/2006 8/1/2036 816.67 2503170718 CONDO 1 OO PURCHASE N 7.25 7.25 252000 252000 9/1/2006 8/1/2036 1522.5 2503170755 SFR 1 OO REFI Y 7.75 7.75 375500 375234.97 9/1/2006 8/1/2036 2690.13 2503170761 2-4FAMILY 2 NOO PURCHASE N 7.625 7.625 224000 224000 8/1/2006 7/1/2036 1423.33 2503170779 2-4FAMILY 2 NOO PURCHASE N 7.25 7.25 182000 182000 9/1/2006 8/1/2036 1099.58 2503170780 2-4FAMILY 2 NOO PURCHASE N 12.375 12.375 52000 51986.31 9/1/2006 8/1/2021 549.94 2503170786 2-4FAMILY 2 NOO REFI N 7.3 7.3 226000 225649.82 8/1/2006 7/1/2036 1549.39 2503170788 SFR 1 OO PURCHASE N 6.75 6.75 330000 330000 9/1/2006 8/1/2036 1856.25 2503170789 SFR 1 2ND REFI Y 6.875 6.875 277500 277500 9/1/2006 8/1/2036 1589.84 2503170803 SFR 1 NOO PURCHASE N 6.95 6.95 101250 101081.89 8/1/2006 7/1/2036 670.22 2503170823 SFR 1 OO PURCHASE N 7.5 7.5 277500 277500 9/1/2006 8/1/2036 1734.37 2503170855 SFR 1 OO REFI N 7.125 7.125 160000 160000 9/1/2006 8/1/2036 950 2503170858 PUD 1 NOO REFI Y 7.05 6.625 225000 225000 11/1/2006 10/1/2036 1242.19 2503170866 PUD 1 2ND REFI Y 7.5 7.5 160000 160000 9/1/2006 8/1/2036 1000 2503170871 2-4FAMILY 2 OO REFI Y 6.875 6.875 374500 374500 8/1/2006 7/1/2036 2145.57 2503170872 CONDO 1 NOO PURCHASE N 6.925 6.925 120393 120393 9/1/2006 8/1/2036 694.77 2503170879 SFR 1 NOO PURCHASE N 7.58 7.58 543550 543550 8/1/2006 7/1/2036 3433.42 2503170883 SFR 1 OO REFI Y 9.7 9.7 99750 99702.96 9/1/2006 8/1/2036 853.35 2503170885 SFR 1 OO REFI Y 7.99 7.99 212000 212000 8/1/2006 7/1/2036 1411.57 2503170902 SFR 1 OO PURCHASE N 7.75 7.75 264000 263918.72 9/1/2006 8/1/2036 1786.28 2503170911 SFR 1 OO REFI N 7.8 7.8 256000 254489.11 8/1/2006 7/1/2021 2417 2503170912 SFR 1 OO REFI Y 12.5 12.5 48000 47975.31 8/1/2006 7/1/2021 512.28 2503170923 PUD 1 NOO PURCHASE N 7.425 7.425 91000 91000 9/1/2006 8/1/2036 563.06 2503170924 PUD 1 NOO PURCHASE N 12.925 12.925 32500 32492.44 9/1/2006 8/1/2021 357.61 2503170926 CONDO 1 OO REFI N 7.25 7.25 248500 248500 8/1/2006 7/1/2036 1501.35 2503170960 SFR 1 OO PURCHASE N 7.345 7.345 356250 356250 8/1/2006 7/1/2036 2180.55 2503170968 2-4FAMILY 2 NOO PURCHASE N 8.95 8.95 332000 332000 9/1/2006 8/1/2036 2476.17 2503170989 SFR 1 OO REFI N 7.99 7.99 168800 168800 9/1/2006 8/1/2036 1123.93 2503170994 2-4FAMILY 4 NOO REFI Y 8.95 8.95 266250 266250 11/1/2006 10/1/2036 1985.78 2503171024 CONDO 1 OO REFI Y 7.5 7.5 221250 221250 8/1/2006 7/1/2036 1382.81 2503171028 PUD 1 2ND PURCHASE N 7.2 7.2 357000 357000 8/1/2006 7/1/2036 2142 2503171052 CONDO 1 NOO PURCHASE N 7.15 7.15 202425 202425 8/1/2006 7/1/2036 1206.12 2503171053 CONDO 1 NOO PURCHASE N 12.5 12.5 53980 53952.22 8/1/2006 7/1/2021 576.11 2503171056 SFR 1 OO PURCHASE N 7.25 7.25 461250 461250 9/1/2006 8/1/2036 2786.72 2503171063 SFR 1 OO PURCHASE N 8.2 8.2 145200 145012.28 8/1/2006 7/1/2036 1085.74 2503171071 SFR 1 OO PURCHASE N 7.375 7.375 240000 240000 8/1/2006 7/1/2036 1475 2503171105 PUD 1 OO PURCHASE N 7.6 7.6 280000 280000 8/1/2006 7/1/2036 1773.33 2503171108 SFR 1 NOO REFI Y 8.75 8.75 249750 249750 9/1/2006 8/1/2036 1821.09 2503171109 SFR 1 NOO REFI Y 13.625 13.625 66600 66586.79 9/1/2006 8/1/2021 769.4 2503171114 PUD 1 OO REFI Y 6.625 6.625 231000 231000 9/1/2006 8/1/2036 1275.31 2503171136 PUD 1 OO REFI N 6.5 6.5 373500 373500 8/1/2006 7/1/2036 2023.13 2503171137 CONDO 1 OO PURCHASE N 7.9 7.9 191920 191920 10/1/2006 9/1/2036 1263.47 2503171138 CONDO 1 OO PURCHASE N 12.95 12.95 47980 47980 10/1/2006 9/1/2021 528.88 2503171207 CONDO 1 OO PURCHASE N 7.5 7.5 154400 154400 9/1/2006 8/1/2036 965 2503171209 CONDO 1 OO PURCHASE N 11.8 11.8 51450 51434.62 9/1/2006 8/1/2021 521.31 2503171223 SFR 1 OO PURCHASE N 7.875 7.875 492000 492000 9/1/2006 8/1/2036 3228.75 2503171228 2-4FAMILY 2 OO PURCHASE N 7.75 7.75 504000 504000 8/1/2006 7/1/2036 3255 2503171241 PUD 1 NOO PURCHASE N 7.625 7.625 162050 162050 8/1/2006 7/1/2036 1029.69 2503171243 CONDO 1 OO PURCHASE N 8.115 8.115 227800 227800 10/1/2006 9/1/2036 1540.5 2503171247 CONDO 1 OO PURCHASE N 12.75 12.75 56950 56950 10/1/2006 9/1/2021 618.87 2503171253 SFR 1 OO PURCHASE N 8.08 8.08 174800 174800 9/1/2006 8/1/2036 1176.99 2503171279 SFR 1 OO PURCHASE N 7.375 7.375 207200 207200 8/1/2006 7/1/2036 1273.42 2503171309 SFR 1 OO PURCHASE N 7.125 7.125 483950 483950 8/1/2006 7/1/2036 2873.45 2503171317 SFR 1 OO REFI N 7.5 7.5 228000 227954.2 9/1/2006 8/1/2036 1425 2503171334 2-4FAMILY 2 NOO PURCHASE N 7.99 7.99 217500 217353.77 9/1/2006 8/1/2036 1594.42 2503171335 2-4FAMILY 2 NOO PURCHASE N 13.5 13.5 58000 57988.16 9/1/2006 8/1/2021 664.34 2503171363 PUD 1 2ND REFI N 6.375 6.375 339500 339500 10/1/2006 9/1/2036 1803.59 2503171364 SFR 1 OO REFI Y 6.25 6.25 195000 194628.99 8/1/2006 7/1/2036 1200.65 2503171368 2-4FAMILY 4 NOO PURCHASE N 6.99 6.99 507000 506583.6 9/1/2006 8/1/2036 3369.68 2503171373 SFR 1 NOO REFI Y 7.875 7.875 277500 277500 8/1/2006 7/1/2036 1821.09 2503171377 SFR 1 NOO REFI Y 7.99 7.99 268000 268000 9/1/2006 8/1/2036 1784.43 2503171384 CONDO 1 NOO PURCHASE N 7.75 7.75 97400 97400 9/1/2006 8/1/2036 629.04 2503171387 CONDO 1 NOO PURCHASE N 12.9 12.9 25900 25893.95 9/1/2006 8/1/2021 284.48 2503171391 SFR 1 NOO PURCHASE N 8.25 8.25 107100 107100 9/1/2006 8/1/2036 736.31 2503171422 SFR 1 2ND PURCHASE N 6.75 6.75 270000 270000 8/1/2006 7/1/2036 1518.75 2503171430 SFR 1 OO PURCHASE N 7 7 412000 412000 9/1/2006 8/1/2036 2403.33 2503171438 SFR 1 NOO REFI Y 7.275 7.275 126000 125803.8 8/1/2006 7/1/2036 861.68 2503171440 SFR 1 OO REFI N 7.33 7.33 217600 217600 10/1/2006 9/1/2036 1329.17 2503171442 CONDO 1 OO PURCHASE N 7.75 7.75 116600 116517.7 9/1/2006 8/1/2036 835.34 2503171444 2-4FAMILY 3 OO PURCHASE N 8.65 8.65 199400 199400 9/1/2006 8/1/2036 1437.34 2503171454 SFR 1 OO PURCHASE N 6.99 6.99 359200 359200 8/1/2006 7/1/2036 2092.34 2503171466 SFR 1 OO PURCHASE N 7 7 138160 138160 11/1/2006 10/1/2036 805.93 2503171493 PUD 1 OO REFI Y 12.5 12.5 42000 41989.25 9/1/2006 8/1/2021 448.25 2503171502 SFR 1 OO REFI N 7.6 7.6 520000 520000 9/1/2006 8/1/2036 3293.33 2503171525 CONDO 1 OO REFI Y 6.25 6.25 500000 500000 8/1/2006 7/1/2036 2604.17 2503171526 SFR 1 OO REFI Y 7.1 7.1 126750 125623.36 8/1/2006 7/1/2036 749.94 2503171548 PUD 1 NOO PURCHASE N 7.25 7.25 552000 552000 8/1/2006 7/1/2036 3335 2503171551 SFR 1 OO PURCHASE N 7.5 7.5 400000 400000 9/1/2006 8/1/2036 2500 2503171554 CONDO 1 NOO PURCHASE N 8.75 8.75 145250 145250 9/1/2006 8/1/2036 1059.11 2503171555 CONDO 1 NOO PURCHASE N 12.8 12.8 27200 27193.49 9/1/2006 8/1/2021 296.64 2503171563 SFR 1 OO PURCHASE N 6.55 6.55 356250 356250 9/1/2006 8/1/2036 1944.53 2503171568 SFR 1 NOO REFI Y 6.875 6.875 444500 444500 9/1/2006 8/1/2036 2546.61 2503171572 SFR 1 NOO PURCHASE N 6.75 6.75 78750 78750 11/1/2006 10/1/2036 442.97 2503171578 SFR 1 NOO REFI N 7.1 7.1 129000 128896.33 9/1/2006 8/1/2036 866.92 2503171610 SFR 1 OO REFI Y 7.7 7.7 366600 366600 9/1/2006 8/1/2036 2352.35 2503171616 SFR 1 NOO PURCHASE N 7.625 7.625 204000 204000 9/1/2006 8/1/2036 1296.25 2503171646 SFR 1 OO PURCHASE N 6.8 6.8 528000 528000 9/1/2006 8/1/2036 2992 2503171649 CONDO 1 NOO PURCHASE N 6.05 6.05 110000 110000 8/1/2006 7/1/2036 554.58 2503171656 SFR 1 NOO PURCHASE N 7.75 7.75 750000 750000 10/1/2006 9/1/2036 4843.75 2503171660 SFR 1 NOO PURCHASE N 7.525 7.525 150000 150000 10/1/2006 9/1/2036 940.63 2503171663 SFR 1 NOO PURCHASE N 12.29 12.29 40000 40000 10/1/2006 9/1/2021 420.4 2503171664 SFR 1 OO REFI Y 8.5 8.5 337500 337295.55 9/1/2006 8/1/2036 2595.08 2503171689 SFR 1 OO REFI Y 5.93 5.93 315000 315000 8/1/2006 7/1/2036 1556.62 2503171695 PUD 1 2ND PURCHASE N 7 7 141750 141750 8/1/2006 7/1/2036 826.88 2503171698 CONDO 1 OO PURCHASE N 12.25 12.25 97000 96973.75 9/1/2006 8/1/2021 1016.46 2503171699 PUD 1 OO PURCHASE N 7.5 7.5 247200 247200 9/1/2006 8/1/2036 1545 2503171701 2-4FAMILY 2 NOO PURCHASE N 6.9 6.9 154000 154000 10/1/2006 9/1/2036 1014.24 2503171702 2-4FAMILY 2 NOO PURCHASE N 12.35 12.35 55000 55000 10/1/2006 9/1/2021 580.6 2503171712 SFR 1 OO PURCHASE N 7.875 7.875 231900 231900 9/1/2006 8/1/2036 1521.84 2503171713 SFR 1 OO PURCHASE N 12.69 12.69 57950 57935.79 9/1/2006 8/1/2021 627.03 2503171733 SFR 1 OO REFI Y 7.45 7.45 264000 264000 9/1/2006 8/1/2036 1639 2503171738 SFR 1 NOO REFI Y 8.375 8.375 428000 428000 10/1/2006 9/1/2036 2987.08 2503171741 SFR 1 OO REFI Y 8.6 8.6 208000 208000 9/1/2006 8/1/2036 1490.67 2503171742 SFR 1 OO REFI Y 13.5 13.5 56000 55988.57 9/1/2006 8/1/2021 641.43 2503171753 2-4FAMILY 2 NOO PURCHASE N 6.625 6.625 280000 280000 9/1/2006 8/1/2036 1545.83 2503171767 SFR 1 NOO PURCHASE N 11.475 11.475 159000 159000 10/1/2006 9/1/2021 1571.53 2503171788 SFR 1 OO REFI Y 6.625 6.625 217000 216808.55 9/1/2006 8/1/2036 1389.47 2503171808 HI-RISE 1 OO PURCHASE N 8.413 8.413 505750 505438.09 9/1/2006 8/1/2036 3857.64 2503171865 SFR 1 NOO PURCHASE N 8.7 8.7 89700 89579.69 8/1/2006 7/1/2036 702.47 2503171867 2-4FAMILY 2 OO PURCHASE N 8 8 544000 544000 9/1/2006 8/1/2036 3626.67 2503171870 CONDO 1 NOO PURCHASE N 7.5 7.5 209950 209950 9/1/2006 8/1/2036 1312.19 2503171873 CONDO 1 NOO PURCHASE N 7.735 7.735 124400 124400 9/1/2006 8/1/2036 801.86 2503171895 CONDO 1 NOO PURCHASE N 13.275 13.275 33150 33142.88 9/1/2006 8/1/2021 373.84 2503171899 SFR 1 OO PURCHASE N 8.25 8.25 196000 196000 9/1/2006 8/1/2036 1347.5 2503171914 SFR 1 OO PURCHASE N 7.625 7.625 273750 273750 9/1/2006 8/1/2036 1739.45 2503171917 SFR 1 OO PURCHASE N 12.5 12.5 91250 91226.65 9/1/2006 8/1/2021 973.87 2503171920 SFR 1 NOO PURCHASE N 6.875 6.875 153500 153500 9/1/2006 8/1/2036 879.43 2503171921 SFR 1 NOO PURCHASE N 12.825 12.825 54800 54786.97 9/1/2006 8/1/2036 598.71 2503171927 CONDO 1 NOO PURCHASE N 7.875 7.875 116250 116250 9/1/2006 8/1/2036 762.89 2503171929 CONDO 1 OO PURCHASE N 7.78 7.78 218150 217996.96 9/1/2006 8/1/2036 1567.38 2503171965 SFR 1 OO PURCHASE N 7.125 7.125 480000 480000 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2503172107 SFR 1 NOO REFI N 6.65 6.65 196000 195827.92 9/1/2006 8/1/2036 1258.25 2503172109 SFR 1 NOO PURCHASE N 7.75 7.75 560000 560000 9/1/2006 8/1/2036 3616.67 2503172123 PUD 1 OO PURCHASE N 6.875 6.875 416000 416000 8/1/2006 7/1/2036 2383.33 2503172125 SFR 1 OO PURCHASE N 7.99 7.99 183900 183900 8/1/2006 7/1/2036 1224.47 2503172140 PUD 1 OO REFI N 7.55 7.55 556000 556000 9/1/2006 8/1/2036 3498.17 2503172143 PUD 1 OO REFI Y 12.2 12.2 69500 69480.98 9/1/2006 8/1/2021 725.6 2503172144 SFR 1 NOO PURCHASE N 7.625 7.625 165550 165550 9/1/2006 8/1/2036 1051.93 2503172151 CONDO 1 NOO PURCHASE N 7.5 7.5 134150 134150 9/1/2006 8/1/2036 838.44 2503172170 SFR 1 OO PURCHASE N 7.8 7.8 231900 231900 9/1/2006 8/1/2036 1507.35 2503172171 SFR 1 OO PURCHASE N 11.95 11.95 57950 57933.24 9/1/2006 8/1/2021 593.85 2503172190 CONDO 1 NOO PURCHASE N 6.915 6.915 174993 174993 10/1/2006 9/1/2036 1008.4 2503172191 SFR 1 OO PURCHASE N 7.75 7.75 351000 351000 9/1/2006 8/1/2036 2266.88 2503172195 HI-RISE 1 OO PURCHASE N 7 7 103850 103850 9/1/2006 8/1/2036 605.79 2503172197 SFR 1 OO REFI N 7.65 7.65 239250 236894.69 9/1/2006 8/1/2036 1601.02 2503172208 SFR 1 NOO REFI N 7.7 7.7 120000 119914.45 9/1/2006 8/1/2036 855.55 2503172272 SFR 1 NOO REFI Y 7.125 7.125 148000 148000 9/1/2006 8/1/2036 878.75 2503172274 CONDO 1 NOO PURCHASE N 12.65 12.65 35800 35791.14 9/1/2006 8/1/2021 386.25 2503172278 SFR 1 OO REFI N 7.375 7.375 714750 714750 9/1/2006 8/1/2036 4392.73 2503172281 2-4FAMILY 4 OO PURCHASE N 7.625 7.625 195300 195300 9/1/2006 8/1/2036 1240.97 2503172287 SFR 1 OO PURCHASE N 7.125 7.125 440000 440000 9/1/2006 8/1/2036 2612.5 2503172288 SFR 1 NOO PURCHASE N 7.525 7.525 186200 186200 10/1/2006 9/1/2036 1305.13 2503172291 CONDO 1 OO PURCHASE N 8.5 8.5 189720 189720 9/1/2006 8/1/2036 1343.85 2503172292 CONDO 1 OO PURCHASE N 12.5 12.5 47430 47417.86 9/1/2006 8/1/2021 506.2 2503172295 SFR 1 OO REFI N 7.99 7.99 281000 280811.07 9/1/2006 8/1/2036 2059.92 2503172314 2-4FAMILY 2 OO PURCHASE N 7.625 7.625 368000 368000 9/1/2006 8/1/2036 2338.33 2503172324 SFR 1 OO PURCHASE N 7.113 7.113 720000 719422.86 9/1/2006 8/1/2036 4844.94 2503172367 CONDO 1 OO PURCHASE N 6.4 6.4 391875 391875 9/1/2006 8/1/2036 2090 2503172371 PUD 1 OO PURCHASE N 6.99 6.99 204750 204750 9/1/2006 8/1/2036 1192.67 2503172375 SFR 1 NOO PURCHASE N 8.875 8.875 82500 82500 9/1/2006 8/1/2036 610.16 2503172376 CONDO 1 OO PURCHASE N 7.3 7.3 176250 176113.87 9/1/2006 8/1/2036 1208.32 2503172397 SFR 1 OO REFI Y 8.875 8.875 505750 505750 11/1/2006 10/1/2036 3740.44 2503172398 SFR 1 OO PURCHASE N 7.75 7.75 148800 148800 9/1/2006 8/1/2036 961 2503172430 SFR 1 NOO PURCHASE N 6.99 6.99 294000 294000 9/1/2006 8/1/2036 1712.55 2503172475 HI-RISE 1 OO PURCHASE N 7.5 7.5 140900 140900 9/1/2006 8/1/2036 880.62 2503172480 2-4FAMILY 2 OO PURCHASE N 7.75 7.75 262400 262400 9/1/2006 8/1/2036 1694.67 2503172484 SFR 1 2ND PURCHASE N 7.625 7.625 117000 117000 9/1/2006 8/1/2036 743.44 2503172486 SFR 1 2ND PURCHASE N 11.95 11.95 31200 31190.97 9/1/2006 8/1/2021 319.73 2503172487 SFR 1 OO PURCHASE N 7.99 7.99 176000 176000 9/1/2006 8/1/2036 1171.87 2503172489 CONDO 1 OO REFI Y 7.375 7.375 272000 272000 9/1/2006 8/1/2036 1671.67 2503172498 CONDO 1 OO REFI Y 6.875 6.875 167950 167882.21 9/1/2006 8/1/2036 1028.48 2503172518 PUD 1 OO REFI Y 6.669 6.669 300000 300000 10/1/2006 9/1/2036 1667.25 2503172523 2-4FAMILY 4 OO PURCHASE N 8.75 8.75 280000 280000 9/1/2006 8/1/2036 2041.67 2503172543 2-4FAMILY 2 NOO REFI N 7.5 7.5 428250 428250 9/1/2006 8/1/2036 2676.56 2503172546 CONDO 1 NOO PURCHASE N 11.64 11.64 62497 62497 10/1/2006 9/1/2021 625.59 2503172547 SFR 1 OO REFI Y 7.5 7.5 413000 413000 9/1/2006 8/1/2036 2581.25 2503172552 SFR 1 OO REFI N 7.45 7.45 160000 160000 9/1/2006 8/1/2036 993.33 2503172555 SFR 1 OO PURCHASE N 6.875 6.875 328000 328000 9/1/2006 8/1/2036 1879.17 2503172586 SFR 1 OO REFI Y 6.75 6.75 240000 240000 9/1/2006 8/1/2036 1350 2503172599 2-4FAMILY 3 OO PURCHASE N 8.625 8.625 750000 750000 9/1/2006 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2503172686 SFR 1 OO PURCHASE N 6.215 6.215 355500 355500 9/1/2006 8/1/2036 1841.19 2503172690 PUD 1 OO PURCHASE N 8.125 8.125 202500 202500 9/1/2006 8/1/2036 1371.09 2503172693 PUD 1 NOO REFI N 11.75 11.75 43000 42986.99 9/1/2006 8/1/2021 434.05 2503172695 PUD 1 2ND PURCHASE N 6.99 6.99 200000 200000 9/1/2006 8/1/2036 1165 2503172723 SFR 1 OO REFI Y 6.99 6.99 290000 290000 9/1/2006 8/1/2036 1689.25 2503172737 CONDO 1 NOO PURCHASE N 7.25 7.25 149200 149200 9/1/2006 8/1/2036 901.42 2503172738 CONDO 1 NOO PURCHASE N 12.25 12.25 39700 39689.26 9/1/2006 8/1/2021 416.01 2503172750 2-4FAMILY 2 OO PURCHASE N 7.375 7.375 476250 476250 10/1/2006 9/1/2036 2926.95 2503172751 2-4FAMILY 2 OO PURCHASE N 11.125 11.125 158750 158750 10/1/2006 9/1/2021 1526.83 2503172762 SFR 1 OO PURCHASE N 6.625 6.625 476000 476000 9/1/2006 8/1/2036 2627.92 2503172766 SFR 1 OO PURCHASE N 8 8 164950 164950 9/1/2006 8/1/2036 1099.67 2503172793 SFR 1 OO REFI Y 7.6 7.6 356250 356250 10/1/2006 9/1/2036 2370.75 2503172831 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SFR 1 NOO REFI Y 12.125 12.125 53000 53000 10/1/2006 9/1/2021 550.27 2503172972 SFR 1 OO REFI Y 7.5 7.5 303000 302775.13 9/1/2006 8/1/2036 2118.62 2503173026 SFR 1 OO REFI Y 7.875 7.875 1435000 1435000 9/1/2006 8/1/2036 9417.19 2503173057 PUD 1 OO REFI N 10.725 10.725 46000 46000 10/1/2006 9/1/2021 428.54 2503173065 SFR 1 NOO REFI N 6.75 6.75 462000 462000 9/1/2006 8/1/2036 2598.75 2503173071 CONDO 1 OO REFI N 5.75 5.75 463000 463000 10/1/2006 9/1/2036 2218.54 2503173073 PUD 1 NOO PURCHASE N 7.89 7.89 71400 71400 10/1/2006 9/1/2036 469.46 2503173074 PUD 1 NOO PURCHASE N 13.24 13.24 25500 25500 10/1/2006 9/1/2021 286.87 2503173086 SFR 1 NOO PURCHASE N 8.125 8.125 375000 375000 9/1/2006 8/1/2036 2539.06 2503173087 SFR 1 NOO PURCHASE N 13.25 13.25 100000 99978.4 9/1/2006 8/1/2021 1125.77 2503173103 SFR 1 NOO REFI N 7.875 7.875 124000 124000 11/1/2006 10/1/2036 899.09 2503173112 2-4FAMILY 3 OO PURCHASE N 8.125 8.125 450000 450000 10/1/2006 9/1/2036 3046.88 2503173113 2-4FAMILY 3 OO PURCHASE N 12.75 12.75 150000 150000 10/1/2006 9/1/2021 1630.04 2503173114 SFR 1 NOO PURCHASE N 7.6 7.6 270000 270000 9/1/2006 8/1/2036 1710 2503173160 SFR 1 OO PURCHASE N 6.875 6.875 390000 390000 9/1/2006 8/1/2036 2234.38 2503173166 SFR 1 OO PURCHASE N 6.75 6.75 320600 320469.02 9/1/2006 8/1/2036 1934.36 2503173176 SFR 1 NOO REFI Y 7.75 7.75 108000 108000 10/1/2006 9/1/2036 773.73 2503173180 PUD 1 OO PURCHASE N 7.5 7.5 304150 304150 9/1/2006 8/1/2036 1900.94 2503173207 PUD 1 NOO REFI N 6.75 6.75 232000 232000 10/1/2006 9/1/2036 1305 2503173208 PUD 1 NOO REFI N 11.65 11.65 43500 43500 10/1/2006 9/1/2021 435.76 2503173227 SFR 1 OO PURCHASE N 7.05 7.05 248000 247906.84 9/1/2006 8/1/2036 1550.16 2503173230 SFR 1 OO REFI N 6.75 6.75 292000 292000 10/1/2006 9/1/2036 1893.91 2503173287 CONDO 1 OO PURCHASE N 7.99 7.99 134900 134900 10/1/2006 9/1/2036 898.21 2503173288 CONDO 1 OO PURCHASE N 12.39 12.39 45000 45000 10/1/2006 9/1/2021 476.43 2503173326 CONDO 1 OO REFI N 7.125 7.125 351200 351200 10/1/2006 9/1/2036 2085.25 2503173351 SFR 1 OO PURCHASE N 6.5 6.5 1000000 1000000 9/1/2006 8/1/2036 5416.67 2503173352 SFR 1 OO PURCHASE N 12.625 12.625 291500 291427.46 9/1/2006 8/1/2021 3139.36 2503173358 PUD 1 OO PURCHASE N 7.125 7.125 311500 311500 9/1/2006 8/1/2036 1849.53 2503173362 SFR 1 OO PURCHASE N 6.5 6.5 388720 388720 9/1/2006 8/1/2036 2105.57 2503173365 CONDO 1 OO PURCHASE N 7 7 132000 132000 9/1/2006 8/1/2036 770 2503173393 SFR 1 NOO PURCHASE N 7.5 7.5 96750 96750 10/1/2006 9/1/2036 604.69 2503173394 SFR 1 NOO PURCHASE N 11.125 11.125 25800 25800 10/1/2006 9/1/2021 248.14 2503173436 SFR 1 OO PURCHASE N 7.25 7.25 405000 405000 9/1/2006 8/1/2036 2446.88 2503173440 2-4FAMILY 3 OO REFI N 7 7 468750 468750 10/1/2006 9/1/2036 2734.38 2503173441 2-4FAMILY 3 OO REFI Y 11.875 11.875 149500 149500 10/1/2006 9/1/2021 1523.41 2503173462 SFR 1 OO PURCHASE N 8.25 8.25 532500 532500 9/1/2006 8/1/2036 3660.94 2503173467 CONDO 1 OO PURCHASE N 8 8 146600 146600 10/1/2006 9/1/2036 1075.7 2503173474 SFR 1 OO PURCHASE N 6.75 6.75 162000 162000 9/1/2006 8/1/2036 911.25 2503173484 SFR 1 NOO PURCHASE N 8.6 8.6 212000 211874.19 9/1/2006 8/1/2036 1645.14 2503173488 SFR 1 NOO PURCHASE N 13.75 13.75 39750 39742.34 9/1/2006 8/1/2021 463.13 2503173490 SFR 1 OO PURCHASE N 8.25 8.25 511920 511920 9/1/2006 8/1/2036 3519.45 2503173491 SFR 1 OO PURCHASE N 12.8 12.8 127980 127949.38 9/1/2006 8/1/2021 1395.74 2503173503 2-4FAMILY 2 NOO REFI Y 7.9 7.9 588750 588750 10/1/2006 9/1/2036 3875.94 2503173510 SFR 1 OO REFI Y 7.55 7.55 465000 465000 9/1/2006 8/1/2036 2925.63 2503173513 2-4FAMILY 2 OO PURCHASE N 8.5 8.5 508000 508000 9/1/2006 8/1/2036 3598.33 2503173521 CONDO 1 OO PURCHASE N 7.445 7.445 146250 146250 9/1/2006 8/1/2036 907.36 2503173529 SFR 1 OO PURCHASE N 7.49 7.49 427000 427000 9/1/2006 8/1/2036 2665.19 2503173535 SFR 1 NOO PURCHASE N 6.875 6.875 72100 72100 10/1/2006 9/1/2036 413.07 2503173537 SFR 1 NOO PURCHASE N 13.35 13.35 25750 25750 10/1/2006 9/1/2021 291.91 2503173592 SFR 1 OO REFI Y 7.85 7.85 496000 495851.63 9/1/2006 8/1/2036 3393.04 2503173593 SFR 1 OO REFI Y 12.75 12.75 124000 123970 9/1/2006 8/1/2021 1347.5 2503173607 PUD 1 OO REFI Y 12.6 12.6 51000 50987.24 9/1/2006 8/1/2021 548.26 2503173629 SFR 1 NOO REFI Y 7.625 7.625 232500 232500 9/1/2006 8/1/2036 1477.34 2503173630 SFR 1 NOO REFI Y 12.275 12.275 62000 61983.32 9/1/2006 8/1/2021 650.89 2503173643 PUD 1 OO PURCHASE N 8 8 750000 750000 9/1/2006 8/1/2036 5000 2503173644 PUD 1 OO PURCHASE N 14.1 14.1 316500 316443.7 9/1/2006 8/1/2021 3775.18 2503173645 PUD 1 OO PURCHASE N 7.25 7.25 300000 300000 9/1/2006 8/1/2036 1812.5 2503173670 SFR 1 OO REFI Y 12.3 12.3 20000 19994.65 9/1/2006 8/1/2021 210.35 2503173700 SFR 1 OO PURCHASE N 7.5 7.5 244000 244000 9/1/2006 8/1/2036 1525 2503173701 SFR 1 OO PURCHASE N 11.5 11.5 61000 60980.5 9/1/2006 8/1/2021 604.08 2503173724 SFR 1 OO REFI N 7.375 7.375 322500 322500 9/1/2006 8/1/2036 1982.03 2503173725 SFR 1 OO REFI Y 11.65 11.65 86000 85973.41 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207200 9/1/2006 8/1/2036 1359.75 2503174051 SFR 1 OO REFI Y 6.55 6.55 588000 588000 9/1/2006 8/1/2036 3209.5 2503174055 SFR 1 OO REFI N 6.2 6.2 352000 352000 9/1/2006 8/1/2036 1818.67 2503174056 SFR 1 OO REFI N 11.65 11.65 57200 57182.32 9/1/2006 8/1/2021 573 2503174066 SFR 1 OO REFI Y 6.5 6.5 120000 119891.52 9/1/2006 8/1/2036 758.48 2503174071 CONDO 1 2ND PURCHASE N 6.875 6.875 127400 127400 10/1/2006 9/1/2036 729.9 2503174072 CONDO 1 2ND PURCHASE N 11.74 11.74 33950 33950 10/1/2006 9/1/2021 342.43 2503174073 SFR 1 OO PURCHASE N 7.375 7.375 279200 278987.55 9/1/2006 8/1/2036 1928.37 2503174074 SFR 1 OO PURCHASE N 11.375 11.375 93050 93019.44 9/1/2006 8/1/2021 912.6 2503174092 SFR 1 OO REFI Y 11.2 11.2 21700 21692.59 9/1/2006 8/1/2021 209.94 2503174110 2-4FAMILY 2 NOO PURCHASE N 7.233 7.233 154000 154000 9/1/2006 8/1/2036 928.23 2503174133 PUD 1 OO REFI Y 11.75 11.75 54500 54483.52 9/1/2006 8/1/2021 550.13 2503174134 SFR 1 NOO PURCHASE N 8.85 8.85 200000 200000 10/1/2006 9/1/2036 1587.71 2503174135 SFR 1 NOO PURCHASE N 14.125 14.125 37500 37500 10/1/2006 9/1/2021 448.04 2503174147 PUD 1 OO PURCHASE N 10.5 10.5 32300 32300 10/1/2006 9/1/2021 295.46 2503174148 SFR 1 OO REFI N 6.9 6.9 580000 580000 10/1/2006 9/1/2036 3562.25 2503174155 HI-RISE 1 2ND PURCHASE N 7.75 7.75 240000 240000 9/1/2006 8/1/2036 1550 2503174162 SFR 1 OO PURCHASE N 7.125 7.125 273750 273750 9/1/2006 8/1/2036 1625.39 2503174172 PUD 1 OO REFI N 7.75 7.75 648000 648000 11/1/2006 10/1/2036 4185 2503174180 SFR 1 OO PURCHASE N 8 8 513046 513046 9/1/2006 8/1/2036 3420.31 2503174181 SFR 1 OO PURCHASE N 11.3 11.3 128262 128219.17 9/1/2006 8/1/2021 1250.63 2503174186 SFR 1 OO REFI Y 6.25 6.25 350000 350000 9/1/2006 8/1/2036 1822.92 2503174198 2-4FAMILY 2 NOO PURCHASE N 6.25 6.25 543200 543200 9/1/2006 8/1/2036 2829.17 2503174199 SFR 1 2ND PURCHASE N 7.75 7.75 472000 471666.86 9/1/2006 8/1/2036 3381.47 2503174209 2-4FAMILY 2 NOO PURCHASE N 7.243 7.243 221250 221250 10/1/2006 9/1/2036 1335.43 2503174210 2-4FAMILY 2 NOO PURCHASE N 12.24 12.24 59000 59000 10/1/2006 9/1/2021 617.8 2503174211 SFR 1 OO REFI Y 7.43 7.43 106795 106714.63 9/1/2006 8/1/2036 741.61 2503174218 SFR 1 OO PURCHASE N 6.5 6.5 338000 338000 10/1/2006 9/1/2036 1830.83 2503174232 SFR 1 OO PURCHASE N 11.75 11.75 84500 84500 10/1/2006 9/1/2021 852.95 2503174247 SFR 1 OO PURCHASE N 6.125 6.125 540000 540000 9/1/2006 8/1/2036 2756.25 2503174255 SFR 1 OO PURCHASE N 7.625 7.625 169600 169600 9/1/2006 8/1/2036 1077.67 2503174261 SFR 1 OO REFI N 7.7 7.7 157500 157500 9/1/2006 8/1/2036 1010.63 2503174263 SFR 1 OO REFI Y 9.95 9.95 145000 145000 10/1/2006 9/1/2021 1267.12 2503174264 SFR 1 OO REFI Y 7.8 7.8 245000 245000 9/1/2006 8/1/2036 1592.5 2503174276 SFR 1 NOO PURCHASE N 7.25 7.25 216000 215831.5 9/1/2006 8/1/2036 1473.5 2503174278 2-4FAMILY 2 NOO REFI Y 7.75 7.75 419200 419200 9/1/2006 8/1/2036 2707.33 2503174279 SFR 1 NOO PURCHASE N 11.5 11.5 40500 40487.06 9/1/2006 8/1/2021 401.07 2503174283 2-4FAMILY 4 NOO REFI Y 7.25 7.25 367000 366713.7 9/1/2006 8/1/2036 2503.59 2503174298 SFR 1 OO REFI Y 7.59 7.59 448000 448000 9/1/2006 8/1/2036 2833.6 2503174335 SFR 1 OO PURCHASE N 6.75 6.75 581000 581000 10/1/2006 9/1/2036 3768.35 2503174336 SFR 1 OO PURCHASE N 11.5 11.5 166000 166000 10/1/2006 9/1/2021 1643.88 2503174340 PUD 1 OO REFI N 9.89 9.89 33000 32985.06 9/1/2006 8/1/2021 286.92 2503174356 CONDO 1 OO PURCHASE N 7.375 7.375 102800 102721.78 9/1/2006 8/1/2036 710.01 2503174360 CONDO 1 OO PURCHASE N 11 11 25700 25690.83 9/1/2006 8/1/2036 244.75 2503174369 CONDO 1 OO PURCHASE N 6.99 6.99 166500 166500 9/1/2006 8/1/2036 969.86 2503174402 CONDO 1 NOO PURCHASE N 7.375 7.375 172500 172500 9/1/2006 8/1/2036 1060.16 2503174405 CONDO 1 OO PURCHASE N 7.3 7.3 412500 412500 10/1/2006 9/1/2036 2509.38 2503174409 CONDO 1 NOO PURCHASE N 11.5 11.5 46000 45985.3 9/1/2006 8/1/2021 455.53 2503174410 CONDO 1 OO PURCHASE N 11.89 11.89 137500 137500 10/1/2006 9/1/2021 1402.71 2503174420 SFR 1 NOO PURCHASE N 7.233 7.233 195000 194982 9/1/2006 8/1/2036 1175.36 2503174456 CONDO 1 OO PURCHASE N 6.625 6.625 315200 315200 9/1/2006 8/1/2036 1740.17 2503174460 SFR 1 OO PURCHASE N 11.5 11.5 44500 44426.46 9/1/2006 8/1/2021 440.68 2503174469 SFR 1 OO PURCHASE N 6.95 6.95 250800 250800 10/1/2006 9/1/2036 1660.17 2503174474 SFR 1 OO REFI Y 9.375 9.375 116000 115941.42 9/1/2006 8/1/2036 964.83 2503174476 SFR 1 OO PURCHASE N 7.99 7.99 375000 374747.88 9/1/2006 8/1/2036 2749 2503174477 SFR 1 OO PURCHASE N 13.625 13.625 125000 124975.2 9/1/2006 8/1/2021 1444.07 2503174485 SFR 1 NOO PURCHASE N 6.988 6.988 266350 266350 9/1/2006 8/1/2036 1551.04 2503174494 HI-RISE 1 OO PURCHASE N 9.125 9.125 302000 302000 10/1/2006 9/1/2036 2296.46 2503174497 HI-RISE 1 OO PURCHASE N 14.5 14.5 75500 75500 10/1/2006 9/1/2021 912.29 2503174500 SFR 1 NOO PURCHASE N 7.25 7.25 106125 106125 10/1/2006 9/1/2036 723.96 2503174513 SFR 1 OO PURCHASE N 8.925 8.925 135000 135000 10/1/2006 9/1/2036 1004.06 2503174517 SFR 1 OO PURCHASE N 12.5 12.5 45000 45000 10/1/2006 9/1/2021 480.27 2503174528 HI-RISE 1 OO PURCHASE N 9.538 9.538 451250 451250 9/1/2006 8/1/2036 3586.69 2503174544 SFR 1 OO REFI Y 12.1 12.1 41700 41688.34 9/1/2006 8/1/2021 432.14 2503174546 2-4FAMILY 2 NOO PURCHASE N 7.99 7.99 250400 250400 10/1/2006 9/1/2036 1667.25 2503174547 2-4FAMILY 2 NOO PURCHASE N 12.5 12.5 46950 46950 10/1/2006 9/1/2021 501.08 2503174559 PUD 1 NOO PURCHASE N 7.625 7.625 213650 213650 10/1/2006 9/1/2036 1357.57 2503174560 PUD 1 NOO PURCHASE N 14.29 14.29 56950 56950 10/1/2006 9/1/2021 687.88 2503174569 CONDO 1 2ND REFI Y 7.723 7.723 82660 82601.35 9/1/2006 8/1/2036 590.64 2503174576 SFR 1 2ND REFI Y 7.75 7.75 241000 241000 10/1/2006 9/1/2036 1556.46 2503174582 SFR 1 OO PURCHASE N 6.99 6.99 271900 271900 9/1/2006 8/1/2036 1583.82 2503174612 PUD 1 NOO REFI N 7.33 7.33 101500 101320 9/1/2006 8/1/2036 697.93 2503174617 SFR 1 OO REFI N 6.738 6.738 468000 468000 9/1/2006 8/1/2036 2627.82 2503174618 SFR 1 OO REFI N 11.94 11.94 58500 58483.04 9/1/2006 8/1/2021 599.04 2503174619 CONDO 1 OO PURCHASE N 7.25 7.25 371920 371867.02 9/1/2006 8/1/2036 2247.02 2503174620 SFR 1 OO REFI Y 7.375 7.375 276500 276500 10/1/2006 9/1/2036 1909.72 2503174621 CONDO 1 OO PURCHASE N 13.091 13.091 92980 92894.33 9/1/2006 8/1/2021 1035.16 2503174623 CONDO 1 OO REFI N 8.625 8.625 415150 415150 9/1/2006 8/1/2036 2983.89 2503174635 SFR 1 OO REFI N 6.75 6.75 356250 356250 10/1/2006 9/1/2036 2003.91 2503174636 SFR 1 OO REFI Y 11.5 11.5 95000 95000 10/1/2006 9/1/2021 940.78 2503174638 SFR 1 NOO REFI N 6.78 6.78 535000 535000 10/1/2006 9/1/2036 3480.68 2503174641 SFR 1 NOO REFI N 6.79 6.79 861000 861000 10/1/2006 9/1/2036 5607.34 2503174652 SFR 1 OO PURCHASE N 8.125 8.125 117400 117294.9 9/1/2006 8/1/2036 871.69 2503174653 SFR 1 OO PURCHASE N 12.625 12.625 29350 29338.79 9/1/2006 8/1/2021 316.09 2503174658 PUD 1 OO PURCHASE N 6.375 6.375 288000 288000 10/1/2006 9/1/2036 1530 2503174689 CONDO 1 2ND PURCHASE N 7.787 7.787 151500 151500 11/1/2006 10/1/2036 983.11 2503174692 SFR 1 OO REFI Y 6.875 6.875 259000 259000 9/1/2006 8/1/2036 1483.85 2503174696 CONDO 1 OO REFI Y 7.35 7.35 95795 95795 10/1/2006 9/1/2036 586.74 2503174709 SFR 1 OO PURCHASE N 11.525 11.525 25000 25000 10/1/2006 9/1/2021 248.05 2503174721 PUD 1 OO REFI Y 8 8 480000 479862.5 9/1/2006 8/1/2036 3337.5 2503174722 PUD 1 OO REFI Y 11.875 11.875 90000 89973.53 9/1/2006 8/1/2021 917.1 2503174751 SFR 1 NOO PURCHASE N 8 8 128000 128000 10/1/2006 9/1/2036 853.33 2503174762 CONDO 1 NOO REFI N 6.75 6.75 434000 434000 10/1/2006 9/1/2036 2441.25 2503174768 CONDO 1 NOO REFI N 12.5 12.5 55000 55000 10/1/2006 9/1/2021 586.99 2503174789 PUD 1 OO PURCHASE N 7.5 7.5 284950 284738.53 9/1/2006 8/1/2036 1992.41 2503174801 SFR 1 OO PURCHASE N 8.75 8.75 135750 135750 9/1/2006 8/1/2036 989.84 2503174802 SFR 1 NOO PURCHASE N 7.8 7.8 131250 131250 10/1/2006 9/1/2036 853.13 2503174807 SFR 1 OO PURCHASE N 6.875 6.875 245300 245300 10/1/2006 9/1/2036 1405.37 2503174818 SFR 1 NOO PURCHASE N 13.9 13.9 35000 35000 10/1/2006 9/1/2021 411.94 2503174828 SFR 1 OO PURCHASE N 7.5 7.5 183000 183000 9/1/2006 8/1/2036 1143.75 2503174829 SFR 1 OO PURCHASE N 13.2 13.2 61000 60986.67 9/1/2006 8/1/2021 684.33 2503174832 SFR 1 OO REFI Y 6.25 6.25 215000 214796 9/1/2006 8/1/2036 1323.79 2503174859 PUD 1 OO REFI Y 12 12 56200 56200 10/1/2006 9/1/2021 578.08 2503174864 CONDO 1 NOO PURCHASE N 7.75 7.75 95200 95200 9/1/2006 8/1/2036 614.83 2503174865 CONDO 1 NOO PURCHASE N 13.75 13.75 34000 33993.44 9/1/2006 8/1/2021 396.14 2503174870 SFR 1 OO REFI Y 10.6 10.6 62000 61975.89 9/1/2006 8/1/2021 571.78 2503174872 PUD 1 OO REFI N 7.875 7.875 750000 750000 9/1/2006 8/1/2036 4921.88 2503174873 PUD 1 OO REFI Y 13.125 13.125 220000 219951.1 9/1/2006 8/1/2021 2455.15 2503174885 SFR 1 NOO REFI Y 7.25 7.25 187500 187500 9/1/2006 8/1/2036 1132.81 2503174905 SFR 1 OO REFI N 10.65 10.65 45000 45000 10/1/2006 9/1/2021 416.69 2503174934 SFR 1 OO PURCHASE N 11.35 11.35 92500 92469.45 9/1/2006 8/1/2021 905.45 2503174938 SFR 1 OO PURCHASE N 7.5 7.5 276000 276000 10/1/2006 9/1/2036 1725 2503174939 PUD 1 OO REFI N 7.99 7.99 572000 572000 10/1/2006 9/1/2036 3808.57 2503174940 SFR 1 OO PURCHASE N 11.375 11.375 69000 69000 10/1/2006 9/1/2021 676.73 2503174960 2-4FAMILY 4 NOO REFI Y 7.625 7.625 450795 450795 10/1/2006 9/1/2036 2864.43 2503174961 2-4FAMILY 2 OO PURCHASE N 9.65 9.65 240000 240000 10/1/2006 9/1/2036 1930 2503174962 2-4FAMILY 2 OO PURCHASE N 12.55 12.55 60000 60000 10/1/2006 9/1/2021 642.68 2503175015 CONDO 1 OO REFI Y 12.1 12.1 31200 31200 10/1/2006 9/1/2021 323.33 2503175019 SFR 1 OO PURCHASE N 7.625 7.625 292000 291788.66 9/1/2006 8/1/2036 2066.76 2503175020 SFR 1 OO PURCHASE N 13.375 13.375 73000 72984.67 9/1/2006 8/1/2021 828.98 2503175029 PUD 1 NOO PURCHASE N 8.125 8.125 101250 101250 9/1/2006 8/1/2036 685.55 2503175030 PUD 1 NOO PURCHASE N 14 14 27000 26995.08 9/1/2006 8/1/2021 319.92 2503175038 CONDO 1 OO PURCHASE N 6.99 6.99 303920 303920 10/1/2006 9/1/2036 1770.33 2503175055 SFR 1 OO REFI Y 7.5 7.5 150000 149950.39 9/1/2006 8/1/2036 987.11 2503175061 CONDO 1 OO REFI Y 11.34 11.34 42000 42000 10/1/2006 9/1/2021 410.8 2503175071 PUD 1 OO PURCHASE N 7.7 7.7 263900 263900 10/1/2006 9/1/2036 1693.36 2503175072 PUD 1 OO PURCHASE N 13.44 13.44 66000 66000 10/1/2006 9/1/2021 752.86 2503175096 SFR 1 OO REFI N 7.375 7.375 384000 384000 9/1/2006 8/1/2036 2360 2503175097 SFR 1 OO REFI N 12.99 12.99 96000 95978 9/1/2006 8/1/2021 1061.2 2503175126 SFR 1 OO PURCHASE N 7.35 7.35 96000 96000 10/1/2006 9/1/2036 661.41 2503175132 SFR 1 OO PURCHASE N 6.875 6.875 157200 157200 9/1/2006 8/1/2036 900.63 2503175139 SFR 1 OO REFI Y 7.125 7.125 500000 500000 9/1/2006 8/1/2036 2968.75 2503175149 SFR 1 OO REFI Y 7.99 7.99 296000 296000 9/1/2006 8/1/2036 1970.87 2503175152 SFR 1 OO REFI N 7 7 574400 574400 9/1/2006 8/1/2036 3350.67 2503175156 SFR 1 OO REFI Y 12.7 12.7 81800 81779.99 9/1/2006 8/1/2021 885.73 2503175172 CONDO 1 OO PURCHASE N 7.375 7.375 281600 281600 10/1/2006 9/1/2036 1730.67 2503175173 CONDO 1 OO PURCHASE N 11.375 11.375 70400 70400 10/1/2006 9/1/2021 690.46 2503175176 SFR 1 NOO PURCHASE N 7 7 594300 594300 9/1/2006 8/1/2036 3466.75 2503175177 SFR 1 NOO PURCHASE N 12 12 169800 169751.42 9/1/2006 8/1/2021 1746.58 2503175179 CONDO 1 OO PURCHASE N 6.875 6.875 256000 256000 9/1/2006 8/1/2036 1466.67 2503175180 CONDO 1 OO PURCHASE N 10.88 10.88 64000 63976.58 9/1/2006 8/1/2021 603.69 2503175199 SFR 1 OO PURCHASE N 6.8 6.8 408750 408750 9/1/2006 8/1/2036 2316.25 2503175200 SFR 1 OO PURCHASE N 11.74 11.74 136250 136208.7 9/1/2006 8/1/2021 1374.28 2503175206 HI-RISE 1 OO PURCHASE N 11.49 11.49 35000 35000 10/1/2006 9/1/2021 346.33 2503175215 SFR 1 OO REFI N 7.125 7.125 350000 350000 10/1/2006 9/1/2036 2078.12 2503175216 SFR 1 OO REFI Y 12.45 12.45 150000 150000 10/1/2006 9/1/2021 1595.07 2503175221 SFR 1 OO PURCHASE N 6.99 6.99 288000 288000 9/1/2006 8/1/2036 1677.6 2503175222 SFR 1 OO REFI Y 6.875 6.875 1469000 1467765.87 9/1/2006 8/1/2036 9650.28 2503175223 SFR 1 OO PURCHASE N 11.25 11.25 72000 71975.69 9/1/2006 8/1/2021 699.31 2503175225 SFR 1 NOO REFI Y 8.75 8.75 117000 117000 10/1/2006 9/1/2036 880.04 2503175230 SFR 1 OO PURCHASE N 6.8 6.8 228950 228950 10/1/2006 9/1/2036 1297.38 2503175231 SFR 1 OO PURCHASE N 13 13 76300 76300 10/1/2006 9/1/2021 844.03 2503175238 SFR 1 OO REFI Y 7.8 7.8 252800 252800 9/1/2006 8/1/2036 1643.2 2503175239 SFR 1 OO REFI N 13.35 13.35 63200 63186.65 9/1/2006 8/1/2021 716.45 2503175241 SFR 1 OO PURCHASE N 8.25 8.25 470250 469950.14 9/1/2006 8/1/2036 3532.83 2503175248 2-4FAMILY 2 OO PURCHASE N 6.99 6.99 345000 345000 10/1/2006 9/1/2036 2009.63 2503175249 2-4FAMILY 2 OO PURCHASE N 12.45 12.45 115000 115000 10/1/2006 9/1/2021 1222.89 2503175250 CONDO 1 OO PURCHASE N 11.05 11.05 75980 75980 10/1/2006 9/1/2021 726.45 2503175264 SFR 1 OO REFI N 7.35 7.35 280800 280585.27 9/1/2006 8/1/2036 1934.63 2503175265 SFR 1 OO REFI Y 11.575 11.575 70200 70177.94 9/1/2006 8/1/2021 699.2 2503175302 SFR 1 OO PURCHASE N 6.613 6.613 215250 215250 10/1/2006 9/1/2036 1186.21 2503175303 SFR 1 OO PURCHASE N 11.09 11.09 71750 71750 10/1/2006 9/1/2021 688.18 2503175309 SFR 1 OO REFI Y 6.75 6.75 364000 364000 9/1/2006 8/1/2036 2047.5 2503175326 SFR 1 OO REFI Y 11.4 11.4 35000 34988.57 9/1/2006 8/1/2021 343.93 2503175330 SFR 1 NOO PURCHASE N 9.25 9.25 279920 279920 9/1/2006 8/1/2036 2157.72 2503175335 PUD 1 OO PURCHASE N 6.5 6.5 236250 236250 9/1/2006 8/1/2036 1279.69 2503175377 SFR 1 OO REFI Y 10.8 10.8 125000 124953.45 9/1/2006 8/1/2021 1171.55 2503175395 HI-RISE 1 OO PURCHASE N 7.125 7.125 408750 408750 10/1/2006 9/1/2036 2426.95 2503175407 SFR 1 NOO REFI N 8 8 288750 288750 9/1/2006 8/1/2036 1925 2503175415 PUD 1 OO PURCHASE N 7.875 7.875 773450 773450 9/1/2006 8/1/2036 5075.77 2503175416 PUD 1 OO PURCHASE N 11.55 11.55 154700 154651.1 9/1/2006 8/1/2021 1537.89 2503175424 SFR 1 OO PURCHASE N 7 7 525000 525000 9/1/2006 8/1/2036 3062.5 2503175426 SFR 1 OO REFI N 6.75 6.75 216800 216800 9/1/2006 8/1/2036 1219.5 2503175427 SFR 1 OO REFI Y 11.69 11.69 27100 27091.7 9/1/2006 8/1/2021 272.3 2503175428 SFR 1 OO PURCHASE N 6.75 6.75 363150 363150 10/1/2006 9/1/2036 2042.72 2503175429 SFR 1 OO PURCHASE N 10.875 10.875 155640 155640 10/1/2006 9/1/2021 1467.51 2503175431 SFR 1 2ND PURCHASE N 6.75 6.75 401518 401518 10/1/2006 9/1/2036 2258.54 2503175432 SFR 1 2ND PURCHASE N 10.15 10.15 25095 25095 10/1/2006 9/1/2021 223.01 2503175449 SFR 1 OO REFI Y 7.25 7.25 428000 427666.12 9/1/2006 8/1/2036 2919.71 2503175463 SFR 1 OO PURCHASE N 6.63 6.63 455000 455000 10/1/2006 9/1/2036 2513.88 2503175464 SFR 1 OO PURCHASE N 11.75 11.75 195000 195000 10/1/2006 9/1/2021 1968.35 2503175475 PUD 1 NOO PURCHASE N 7.5 7.5 312072 312072 10/1/2006 9/1/2036 1950.45 2503175476 PUD 1 NOO PURCHASE N 11.94 11.94 58513 58513 10/1/2006 9/1/2021 599.17 2503175485 SFR 1 OO REFI Y 13 13 20000 20000 10/1/2006 9/1/2021 221.24 2503175487 PUD 1 2ND PURCHASE N 8.25 8.25 324000 324000 10/1/2006 9/1/2036 2434.1 2503175502 PUD 1 OO REFI Y 6.5 6.5 405000 405000 9/1/2006 8/1/2036 2193.75 2503175538 PUD 1 OO REFI Y 6.55 6.55 153000 153000 10/1/2006 9/1/2036 972.1 2503175547 SFR 1 OO PURCHASE N 7.75 7.75 187400 187400 10/1/2006 9/1/2036 1342.56 2503175548 SFR 1 OO PURCHASE N 12.3 12.3 62500 62500 10/1/2006 9/1/2021 657.35 2503175558 SFR 1 OO PURCHASE N 6.8 6.8 195000 194833.75 9/1/2006 8/1/2036 1271.25 2503175559 SFR 1 OO PURCHASE N 12.04 12.04 65000 64981.57 9/1/2006 8/1/2021 670.6 2503175562 SFR 1 OO PURCHASE N 7 7 394500 394500 10/1/2006 9/1/2036 2301.25 2503175563 SFR 1 OO PURCHASE N 11.125 11.125 131500 131500 10/1/2006 9/1/2036 1264.74 2503175614 CONDO 1 NOO REFI Y 7.75 7.75 103500 103500 9/1/2006 8/1/2036 668.44 2503175615 CONDO 1 NOO REFI N 13.675 13.675 27600 27594.59 9/1/2006 8/1/2021 319.94 2503175616 2-4FAMILY 2 OO PURCHASE N 6.75 6.75 432750 432750 10/1/2006 9/1/2036 2434.22 2503175617 2-4FAMILY 2 OO PURCHASE N 11.6 11.6 144250 144250 10/1/2006 9/1/2021 1439.51 2503175625 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 420000 420000 10/1/2006 9/1/2036 2537.5 2503175626 2-4FAMILY 2 OO PURCHASE N 11.45 11.45 112000 112000 10/1/2006 9/1/2021 1104.86 2503175631 SFR 1 OO REFI Y 7.125 7.125 209000 209000 10/1/2006 9/1/2036 1240.94 2503175632 SFR 1 NOO PURCHASE N 7.5 7.5 86250 86250 10/1/2006 9/1/2036 603.07 2503175643 PUD 1 NOO PURCHASE N 7.275 7.275 140325 140325 9/1/2006 8/1/2036 850.72 2503175654 SFR 1 NOO PURCHASE N 7.5 7.5 152800 152800 10/1/2006 9/1/2036 955 2503175661 SFR 1 NOO REFI Y 9 9 81000 81000 10/1/2006 9/1/2036 607.5 2503175674 2-4FAMILY 4 NOO REFI Y 7 7 572245 572245 10/1/2006 9/1/2036 3338.1 2503175685 HI-RISE 1 OO PURCHASE N 7.95 7.95 137150 137150 9/1/2006 8/1/2036 908.62 2503175693 SFR 1 OO PURCHASE N 7.875 7.875 264000 264000 9/1/2006 8/1/2036 1732.5 2503175712 HI-RISE 1 OO PURCHASE N 11.825 11.825 45700 45686.41 9/1/2006 8/1/2036 463.93 2503175713 2-4FAMILY 4 NOO REFI N 6.875 6.875 474000 474000 10/1/2006 9/1/2036 2715.63 2503175715 SFR 1 OO PURCHASE N 11.25 11.25 30000 30000 10/1/2006 9/1/2021 291.38 2503175720 CONDO 1 NOO PURCHASE N 8 8 115500 115500 10/1/2006 9/1/2036 770 2503175725 CONDO 1 NOO PURCHASE N 13.25 13.25 23100 23100 10/1/2006 9/1/2021 260.05 2503175730 SFR 1 OO PURCHASE N 8.125 8.125 144950 144950 9/1/2006 8/1/2036 981.43 2503175731 SFR 1 NOO REFI Y 6.675 6.675 301000 301000 9/1/2006 8/1/2036 1674.31 2503175732 SFR 1 NOO REFI Y 12.54 12.54 107500 107472.74 9/1/2006 8/1/2021 1150.64 2503175734 PUD 1 2ND PURCHASE N 6 6 242250 242250 10/1/2006 9/1/2036 1452.41 2503175744 CONDO 1 OO PURCHASE N 7.375 7.375 239250 239250 10/1/2006 9/1/2036 1470.39 2503175751 CONDO 1 OO PURCHASE N 12.04 12.04 79750 79750 10/1/2006 9/1/2021 822.77 2503175773 2-4FAMILY 4 NOO REFI N 6.875 6.875 450795 450795 10/1/2006 9/1/2036 2582.68 2503175793 SFR 1 OO REFI Y 12.75 12.75 32000 31992.26 9/1/2006 8/1/2036 347.74 2503175799 PUD 1 OO REFI Y 11.7 11.7 37400 37400 10/1/2006 9/1/2021 376.09 2503175800 SFR 1 OO REFI Y 6.5 6.5 325000 325000 9/1/2006 8/1/2036 1760.42 2503175812 SFR 1 OO PURCHASE N 7.125 7.125 396000 395854.35 9/1/2006 8/1/2036 2496.9 2503175836 2-4FAMILY 2 OO REFI N 8 8 382500 382500 10/1/2006 9/1/2036 2659.57 2503175837 2-4FAMILY 2 OO REFI Y 13.5 13.5 102000 102000 10/1/2006 9/1/2021 1168.32 2503175841 SFR 1 OO PURCHASE N 6.875 6.875 405000 405000 10/1/2006 9/1/2036 2320.31 2503175842 SFR 1 OO PURCHASE N 10.25 10.25 135000 135000 10/1/2006 9/1/2021 1209.74 2503175845 SFR 1 OO REFI Y 6.5 6.5 287000 287000 10/1/2006 9/1/2036 1554.58 2503175852 SFR 1 OO REFI Y 11.625 11.625 72750 72727.39 9/1/2006 8/1/2036 727.38 2503175865 SFR 1 OO REFI Y 8.75 8.75 155000 155000 10/1/2006 9/1/2036 1165.86 2503175904 PUD 1 OO REFI Y 7.5 7.5 394000 393869.7 9/1/2006 8/1/2036 2592.8 2503175906 CONDO 1 NOO REFI Y 8.5 8.5 292000 292000 10/1/2006 9/1/2036 2068.33 2503175907 CONDO 1 NOO REFI Y 12.55 12.55 36500 36500 10/1/2006 9/1/2021 390.97 2503175918 2-4FAMILY 4 NOO PURCHASE N 7.85 7.85 468000 468000 10/1/2006 9/1/2036 3385.21 2503175927 SFR 1 NOO PURCHASE N 7.5 7.5 506250 506250 9/1/2006 8/1/2036 3164.06 2503175932 2-4FAMILY 3 OO PURCHASE N 8.85 8.85 438750 438652.01 9/1/2006 8/1/2036 3333.77 2503175933 2-4FAMILY 3 OO PURCHASE N 13.375 13.375 146250 146219.29 9/1/2006 8/1/2021 1660.79 2503175937 SFR 1 OO PURCHASE N 7.75 7.75 248000 247923.65 9/1/2006 8/1/2036 1678.02 2503175938 SFR 1 OO PURCHASE N 11.35 11.35 62000 61979.53 9/1/2006 8/1/2021 606.89 2503175942 PUD 1 OO REFI Y 7.25 7.25 316000 316000 9/1/2006 8/1/2036 1909.17 2503175943 PUD 1 OO REFI Y 12.6 12.6 79000 78980.23 9/1/2006 8/1/2021 849.27 2503175944 2-4FAMILY 2 OO REFI N 6.375 6.375 450000 450000 10/1/2006 9/1/2036 2390.63 2503175945 2-4FAMILY 2 OO REFI Y 10.7 10.7 90000 90000 10/1/2006 9/1/2021 836.75 2503175947 PUD 1 OO REFI Y 7.655 7.655 228750 228750 10/1/2006 9/1/2036 1459.23 2503175950 PUD 1 OO REFI Y 10.94 10.94 76250 76250 10/1/2006 9/1/2021 722.69 2503175951 2-4FAMILY 3 OO REFI Y 6.875 6.875 376000 376000 9/1/2006 8/1/2036 2154.17 2503175957 2-4FAMILY 2 OO PURCHASE N 6.375 6.375 464000 464000 10/1/2006 9/1/2036 2465 2503175958 SFR 1 NOO PURCHASE N 12.8 12.8 66500 66500 10/1/2006 9/1/2021 725.24 2503175969 HI-RISE 1 OO PURCHASE N 9 9 296000 296000 10/1/2006 9/1/2036 2220 2503175970 HI-RISE 1 OO PURCHASE N 11.79 11.79 74000 74000 10/1/2006 9/1/2021 749.23 2503175973 PUD 1 OO REFI Y 7.25 7.25 275000 275000 10/1/2006 9/1/2036 1661.46 2503175984 2-4FAMILY 3 NOO REFI Y 8.75 8.75 476250 476250 10/1/2006 9/1/2036 3472.66 2503176028 2-4FAMILY 3 OO PURCHASE N 7.5 7.5 523500 523500 10/1/2006 9/1/2036 3271.87 2503176029 2-4FAMILY 3 OO PURCHASE N 11.4 11.4 174500 174500 10/1/2006 9/1/2021 1714.76 2503176035 SFR 1 OO REFI Y 11.25 11.25 23550 23542.05 9/1/2006 8/1/2021 228.73 2503176042 PUD 1 OO PURCHASE N 7.625 7.625 186400 186400 9/1/2006 8/1/2036 1184.42 2503176043 PUD 1 OO PURCHASE N 12.375 12.375 46600 46587.73 9/1/2006 8/1/2021 492.83 2503176045 PUD 1 OO REFI N 12.875 12.875 48000 48000 10/1/2006 9/1/2021 526.29 2503176051 CONDO 1 OO REFI N 6.875 6.875 163850 163850 10/1/2006 9/1/2036 938.72 2503176056 SFR 1 NOO PURCHASE N 12.9 12.9 54500 54500 10/1/2006 9/1/2036 598.62 2503176103 SFR 1 NOO PURCHASE N 7.625 7.625 380600 380600 10/1/2006 9/1/2036 2418.4 2503176104 SFR 1 NOO PURCHASE N 11.75 11.75 101500 101500 10/1/2006 9/1/2021 1024.55 2503176121 CONDO 1 NOO PURCHASE N 7.63 7.63 110200 110200 10/1/2006 9/1/2036 700.69 2503176122 CONDO 1 NOO PURCHASE N 12.93 12.93 29350 29350 10/1/2006 9/1/2021 323.06 2503176127 HI-RISE 1 NOO REFI Y 7.5 7.5 152000 152000 10/1/2006 9/1/2036 950 2503176130 2-4FAMILY 2 NOO REFI Y 6.99 6.99 270000 270000 9/1/2006 8/1/2036 1572.75 2503176138 PUD 1 OO PURCHASE N 10.35 10.35 32500 32486.66 9/1/2006 8/1/2021 293.65 2503176167 HI-RISE 1 2ND PURCHASE N 8.375 8.375 332900 332900 10/1/2006 9/1/2036 2530.28 2503176175 PUD 1 OO REFI N 11.95 11.95 25000 24992.77 9/1/2006 8/1/2021 256.19 2503176189 SFR 1 NOO PURCHASE N 7.25 7.25 88000 88000 10/1/2006 9/1/2036 531.67 2503176190 SFR 1 NOO PURCHASE N 12.32 12.32 20000 20000 10/1/2006 9/1/2021 210.66 2503176201 HI-RISE 1 OO REFI Y 6.5 6.5 252000 252000 10/1/2006 9/1/2021 2195.19 2503176209 CONDO 1 NOO PURCHASE N 6.5 6.5 403200 403200 10/1/2006 9/1/2036 2184 2503176210 CONDO 1 NOO PURCHASE N 11.75 11.75 80600 80575.63 10/1/2006 9/1/2021 813.58 2503176219 SFR 1 OO REFI Y 10.99 10.99 34550 34537.65 9/1/2006 8/1/2021 328.77 2503176221 SFR 1 OO PURCHASE N 7.375 7.375 215600 215526.11 9/1/2006 8/1/2036 1398.93 2503176222 SFR 1 OO PURCHASE N 12.45 12.45 53900 53886.05 9/1/2006 8/1/2021 573.16 2503176247 2-4FAMILY 4 NOO REFI Y 6.875 6.875 530000 530000 9/1/2006 8/1/2036 3036.46 2503176264 2-4FAMILY 3 OO PURCHASE N 8.75 8.75 556000 556000 9/1/2006 8/1/2036 4054.17 2503176273 2-4FAMILY 3 OO PURCHASE N 11.5 11.5 139000 138955.57 9/1/2006 8/1/2021 1376.51 2503176277 SFR 1 OO REFI Y 6.363 6.363 285000 285000 9/1/2006 8/1/2036 1511.21 2503176290 SFR 1 OO PURCHASE N 7.45 7.45 584000 584000 10/1/2006 9/1/2036 3625.67 2503176291 SFR 1 OO PURCHASE N 11 11 146000 146000 10/1/2006 9/1/2021 1390.39 2503176301 CONDO 1 NOO PURCHASE N 7.75 7.75 273000 273000 10/1/2006 9/1/2036 1955.81 2503176302 CONDO 1 NOO PURCHASE N 14.5 14.5 97500 97500 10/1/2006 9/1/2021 1193.94 2503176307 SFR 1 OO REFI N 6.375 6.375 355000 355000 9/1/2006 8/1/2036 1885.94 2503176319 SFR 1 NOO REFI Y 6.875 6.875 650000 650000 10/1/2006 9/1/2036 3723.96 2503176321 SFR 1 OO PURCHASE N 8.375 8.375 516000 515867.47 9/1/2006 8/1/2036 3733.78 2503176344 CONDO 1 OO PURCHASE N 6.365 6.615 161175 161175 10/1/2006 9/1/2036 888.48 2503176345 CONDO 1 OO PURCHASE N 11.4 10.8 53725 53725 10/1/2006 9/1/2021 503.53 2503176346 SFR 1 OO PURCHASE N 13 13 129000 128970.5 9/1/2006 8/1/2021 1427 2503176349 SFR 1 NOO PURCHASE N 8.75 8.75 166122 166122 10/1/2006 9/1/2036 1211.31 2503176350 SFR 1 NOO PURCHASE N 12 12 31148 31148 10/1/2006 9/1/2021 320.39 2503176352 SFR 1 OO PURCHASE N 9.3 9.3 134400 134400 10/1/2006 9/1/2036 1110.55 2503176355 SFR 1 OO REFI Y 10.625 10.625 34000 34000 10/1/2006 9/1/2021 314.19 2503176364 SFR 1 OO REFI N 11.875 11.875 73500 73500 10/1/2006 9/1/2021 748.97 2503176365 SFR 1 OO REFI N 7.25 7.25 352500 352500 9/1/2006 8/1/2036 2129.69 2503176366 SFR 1 OO REFI Y 13.5 13.5 117500 117476.02 9/1/2006 8/1/2021 1345.86 2503176375 2-4FAMILY 3 OO PURCHASE N 8.625 8.625 516750 516750 10/1/2006 9/1/2036 3714.14 2503176376 2-4FAMILY 3 OO PURCHASE N 12.75 12.75 172250 172250 10/1/2006 9/1/2021 1871.83 2503176381 SFR 1 OO PURCHASE N 6.99 6.99 280000 280000 10/1/2006 9/1/2036 1860.97 2503176384 SFR 1 OO PURCHASE N 10.84 10.84 120000 120000 10/1/2006 9/1/2021 1128.3 2503176400 SFR 1 OO PURCHASE N 6.625 6.625 244000 244000 10/1/2006 9/1/2036 1347.08 2503176401 SFR 1 OO PURCHASE N 10.875 10.875 45750 45750 10/1/2006 9/1/2021 414.61 2503176403 SFR 1 OO REFI Y 6.875 6.875 375000 375000 10/1/2006 9/1/2036 2148.44 2503176406 SFR 1 NOO REFI N 7.15 7.15 464000 464000 9/1/2006 8/1/2036 2764.67 2503176412 SFR 1 OO REFI Y 10.75 10.75 89900 89866.15 9/1/2006 8/1/2021 839.2 2503176421 CONDO 1 OO REFI Y 6.99 6.99 261000 261000 10/1/2006 9/1/2036 1520.33 2503176422 PUD 1 OO REFI N 7.125 7.125 397500 397500 10/1/2006 9/1/2036 2360.16 2503176440 SFR 1 OO REFI Y 7.5 7.5 225000 225000 9/1/2006 8/1/2036 1406.25 2503176443 SFR 1 OO REFI N 6.875 6.875 496000 496000 9/1/2006 8/1/2036 2841.67 2503176444 SFR 1 OO REFI Y 11 11 124000 123955.79 9/1/2006 8/1/2021 1180.88 2503176446 SFR 1 OO PURCHASE N 7.875 7.875 273600 273600 11/1/2006 10/1/2036 1795.5 2503176464 SFR 1 OO REFI Y 11.25 11.25 27200 27200 10/1/2006 9/1/2021 264.18 2503176470 SFR 1 OO PURCHASE N 6.65 6.65 609600 609600 9/1/2006 8/1/2036 3378.2 2503176471 SFR 1 OO PURCHASE N 10.8 10.8 152400 152343.24 9/1/2006 8/1/2021 1428.36 2503176477 SFR 1 NOO REFI Y 7.995 7.995 444000 444000 9/1/2006 8/1/2036 2958.15 2503176478 SFR 1 NOO REFI Y 12.65 12.65 83250 83229.4 9/1/2006 8/1/2021 898.19 2503176490 PUD 1 OO PURCHASE N 6.95 6.95 232500 232500 10/1/2006 9/1/2036 1346.56 2503176501 CONDO 1 OO PURCHASE N 7.65 7.65 202500 202500 10/1/2006 9/1/2036 1290.94 2503176514 TOWNHOUSE 1 OO REFI Y 8.55 8.55 456000 456000 9/1/2006 8/1/2036 3249 2503176524 2-4FAMILY 2 OO PURCHASE N 8.5 8.5 504000 504000 10/1/2006 9/1/2036 3570 2503176526 SFR 1 OO PURCHASE N 6.8 6.8 388000 388000 10/1/2006 9/1/2036 2198.67 2503176527 SFR 1 OO PURCHASE N 11.49 11.49 97000 97000 10/1/2006 9/1/2021 959.84 2503176532 2-4FAMILY 2 OO PURCHASE N 12.4 12.4 126000 126000 10/1/2006 9/1/2021 1334.98 2503176533 PUD 1 OO REFI Y 6.375 6.375 314500 314500 10/1/2006 9/1/2036 1670.78 2503176550 CONDO 1 OO PURCHASE N 7.375 7.375 206300 206300 10/1/2006 9/1/2036 1267.89 2503176551 CONDO 1 OO PURCHASE N 12.25 12.25 51550 51550 10/1/2006 9/1/2021 540.19 2503176564 2-4FAMILY 4 OO PURCHASE N 8.375 8.375 600000 600000 10/1/2006 9/1/2036 4187.5 2503176565 2-4FAMILY 4 OO PURCHASE N 12.325 12.325 150000 150000 10/1/2006 9/1/2021 1580.55 2503176600 2-4FAMILY 2 OO PURCHASE N 7.5 7.5 200000 199851.57 9/1/2006 8/1/2036 1398.43 2503176601 2-4FAMILY 2 OO PURCHASE N 13.35 13.35 50000 49989.44 9/1/2006 8/1/2021 566.81 2503176626 PUD 1 OO PURCHASE N 8.775 8.775 170250 170250 10/1/2006 9/1/2036 1244.95 2503176631 PUD 1 OO PURCHASE N 12.725 12.725 56750 56750 10/1/2006 9/1/2021 615.59 2503176633 SFR 1 OO REFI Y 10.75 10.75 56300 56278.8 9/1/2006 8/1/2021 525.55 2503176641 SFR 1 OO REFI Y 6.875 6.875 256000 256000 10/1/2006 9/1/2036 1466.67 2503176658 PUD 1 OO PURCHASE N 6.5 6.5 280000 280000 10/1/2006 9/1/2036 1639.28 2503176660 SFR 1 OO REFI N 6.7 6.7 572250 572250 10/1/2006 9/1/2036 3195.06 2503176677 SFR 1 OO PURCHASE N 6.125 6.125 850000 850000 10/1/2006 9/1/2036 4338.54 2503176686 SFR 1 NOO REFI N 6.625 6.625 184500 184500 10/1/2006 9/1/2036 1018.59 2503176698 SFR 1 OO REFI Y 12.875 12.875 70300 70300 10/1/2006 9/1/2021 770.8 2503176705 SFR 1 OO REFI Y 7.75 7.75 486400 486400 10/1/2006 9/1/2036 3291.08 2503176706 SFR 1 NOO PURCHASE N 7.875 7.875 300000 300000 10/1/2006 9/1/2036 1968.75 2503176714 PUD 1 OO REFI Y 7.25 7.25 272000 272000 10/1/2006 9/1/2036 1643.33 2503176715 PUD 1 OO REFI Y 12.3 12.3 34000 34000 10/1/2006 9/1/2021 357.6 2503176745 SFR 1 NOO PURCHASE N 12.3 12.3 80000 80000 10/1/2006 9/1/2021 841.41 2503176784 SFR 1 OO PURCHASE N 9.975 9.975 65000 65000 10/1/2006 9/1/2021 569.22 2503176786 SFR 1 OO REFI Y 6.75 6.75 162000 161860.52 9/1/2006 8/1/2036 1050.73 2503176794 SFR 1 OO PURCHASE N 8.875 8.875 75750 75750 10/1/2006 9/1/2036 602.7 2503176795 SFR 1 OO PURCHASE N 12.65 12.65 20200 20200 10/1/2006 9/1/2021 217.94 2503176814 SFR 1 NOO PURCHASE N 7.755 7.755 322500 322500 9/1/2006 8/1/2036 2084.16 2503176827 SFR 1 NOO PURCHASE N 13.09 13.09 86000 85980.73 9/1/2006 8/1/2021 957.39 2503176838 SFR 1 OO REFI Y 7.125 7.125 155200 155200 11/1/2006 10/1/2036 921.5 2503176842 2-4FAMILY 2 OO REFI Y 6.74 6.74 100000 100000 11/1/2006 10/1/2036 561.67 2503176843 2-4FAMILY 3 OO PURCHASE N 7.625 7.625 589600 589600 10/1/2006 9/1/2036 3746.42 2503176844 2-4FAMILY 3 OO PURCHASE N 12.5 12.5 110550 110550 10/1/2006 9/1/2021 1179.85 2503176848 SFR 1 OO REFI Y 6.5 6.5 524000 524000 9/1/2006 8/1/2036 2838.33 2503176854 SFR 1 OO PURCHASE N 7.125 7.125 576000 576000 10/1/2006 9/1/2036 3420 2503176855 SFR 1 OO PURCHASE N 12.39 12.39 144000 144000 10/1/2006 9/1/2021 1524.57 2503176857 HI-RISE 1 OO PURCHASE N 10.9 10.9 24200 24200 10/1/2006 9/1/2021 228.64 2503176858 SFR 1 OO REFI Y 7.6 7.6 378000 378000 10/1/2006 9/1/2036 2668.96 2503176885 SFR 1 OO PURCHASE N 6.875 6.875 333900 333900 10/1/2006 9/1/2036 1912.97 2503176888 SFR 1 OO PURCHASE N 11.75 11.75 83400 83400 10/1/2006 9/1/2021 841.85 2503176893 PUD 1 OO REFI Y 12.95 12.95 70000 70000 10/1/2006 9/1/2021 771.6 2503176898 2-4FAMILY 4 NOO REFI Y 7.125 7.125 120000 120000 10/1/2006 9/1/2036 712.5 2503176900 SFR 1 OO REFI Y 10.9 10.9 45750 45733.33 9/1/2006 8/1/2021 432.23 2503176909 SFR 1 OO REFI Y 10.89 10.89 32500 32500 10/1/2006 9/1/2021 306.81 2503176939 SFR 1 OO PURCHASE N 7.5 7.5 140000 140000 10/1/2006 9/1/2036 875 2503176940 SFR 1 OO PURCHASE N 11.175 11.175 35000 35000 10/1/2006 9/1/2021 337.95 2503176960 SFR 1 OO REFI Y 11.6 11.6 90000 90000 10/1/2006 9/1/2021 898.14 2503176975 SFR 1 OO PURCHASE N 7.375 7.375 424000 424000 10/1/2006 9/1/2036 2751.13 2503176978 SFR 1 OO REFI Y 12.475 12.475 28000 28000 10/1/2006 9/1/2021 298.29 2503177002 PUD 1 OO REFI Y 6.75 6.75 207890 207890 10/1/2006 9/1/2036 1169.38 2503177005 HI-RISE 1 OO PURCHASE N 7.53 7.53 168000 168000 10/1/2006 9/1/2036 1054.2 2503177006 HI-RISE 1 OO PURCHASE N 11.625 11.625 42000 42000 10/1/2006 9/1/2021 419.93 2503177010 PUD 1 OO REFI N 10.79 10.79 36000 36000 10/1/2006 9/1/2021 337.14 2503177011 SFR 1 OO PURCHASE N 13.125 13.125 36250 36241.94 9/1/2006 8/1/2021 404.54 2503177013 2-4FAMILY 4 OO PURCHASE N 8.125 8.125 463500 463500 10/1/2006 9/1/2036 3138.28 2503177014 2-4FAMILY 4 OO PURCHASE N 11.7 11.7 154500 154500 10/1/2006 9/1/2021 1553.62 2503177015 2-4FAMILY 4 OO REFI N 9.125 9.125 450000 450000 10/1/2006 9/1/2036 3661.35 2503177016 2-4FAMILY 4 OO REFI Y 13.625 13.625 150000 150000 10/1/2006 9/1/2021 1732.88 2503177020 CONDO 1 OO PURCHASE N 7.875 7.875 119100 119100 11/1/2006 10/1/2036 781.59 2503177023 SFR 1 NOO PURCHASE N 7.2 7.2 257750 257750 10/1/2006 9/1/2036 1546.5 2503177024 SFR 1 NOO PURCHASE N 12.5 12.5 69000 69000 10/1/2006 9/1/2021 736.41 2503177027 SFR 1 NOO PURCHASE N 6.75 6.75 81000 81000 10/1/2006 9/1/2036 455.63 2503177028 SFR 1 NOO PURCHASE N 12.775 12.775 21600 21600 10/1/2006 9/1/2036 235.15 2503177031 SFR 1 NOO REFI Y 7.875 7.875 206400 206400 10/1/2006 9/1/2036 1415.8 2503177044 SFR 1 OO REFI Y 6.99 6.99 362000 361861.7 9/1/2006 8/1/2036 2246.95 2503177048 SFR 1 OO PURCHASE N 7.75 7.75 219600 219600 10/1/2006 9/1/2036 1418.25 2503177049 SFR 1 OO PURCHASE N 12.9 12.9 54900 54900 10/1/2006 9/1/2021 603.02 2503177079 SFR 1 2ND PURCHASE N 6 6 217700 217700 10/1/2006 9/1/2036 1305.22 2503177080 CONDO 1 NOO REFI Y 8.05 8.05 200000 200000 10/1/2006 9/1/2036 1474.51 2503177099 PUD 1 OO PURCHASE N 6.85 6.85 131900 131900 10/1/2006 9/1/2036 752.93 2503177100 PUD 1 OO PURCHASE N 10.25 10.25 32950 32950 10/1/2006 9/1/2021 295.27 2503177116 SFR 1 OO PURCHASE N 6.5 6.5 405750 405750 10/1/2006 9/1/2036 2197.81 2503177117 SFR 1 OO PURCHASE N 12.45 12.45 136250 136250 10/1/2006 9/1/2021 1448.85 2503177124 2-4FAMILY 3 OO REFI N 9.875 9.875 292500 292500 10/1/2006 9/1/2036 2539.92 2503177125 2-4FAMILY 3 OO REFI Y 12.875 12.875 97500 97500 10/1/2006 9/1/2021 1069.03 2503177137 PUD 1 OO REFI Y 6.99 6.99 196000 196000 10/1/2006 9/1/2036 1141.7 2503177145 HI-RISE 1 OO PURCHASE N 7.625 7.625 368000 368000 11/1/2006 10/1/2036 2338.33 2503177150 CONDO 1 OO REFI Y 11.4 11.4 35000 35000 10/1/2006 9/1/2021 343.93 2503177151 PUD 1 OO REFI Y 10.89 10.89 48000 48000 10/1/2006 9/1/2021 453.13 2503177174 CONDO 1 OO PURCHASE N 10.84 10.84 32400 32400 10/1/2006 9/1/2021 304.64 2503177208 SFR 1 OO REFI N 6.5 6.5 245000 245000 10/1/2006 9/1/2036 1327.08 2503177217 CONDO 1 NOO PURCHASE N 7.275 7.275 124400 124400 10/1/2006 9/1/2036 754.18 2503177218 CONDO 1 NOO PURCHASE N 12.8 12.8 33150 33150 10/1/2006 9/1/2021 361.53 2503177248 CONDO 1 OO PURCHASE N 6.8 6.8 225600 225600 10/1/2006 9/1/2036 1278.4 2503177249 CONDO 1 OO PURCHASE N 12.55 12.55 56400 56400 10/1/2006 9/1/2021 604.12 2503177285 SFR 1 OO REFI Y 6.2 6.2 750000 750000 10/1/2006 9/1/2036 3875 2503177287 SFR 1 OO REFI Y 11.75 11.75 390000 390000 10/1/2006 9/1/2021 3936.7 2503177316 CONDO 1 NOO PURCHASE N 7.25 7.25 150750 150750 10/1/2006 9/1/2036 1028.38 2503177321 SFR 1 NOO PURCHASE N 6.375 6.375 465000 465000 10/1/2006 9/1/2036 2470.31 2503177357 HI-RISE 1 2ND PURCHASE N 7.5 7.5 143900 143900 10/1/2006 9/1/2036 899.37 2503177359 HI-RISE 1 NOO PURCHASE N 7.11 7.11 98900 98900 10/1/2006 9/1/2036 585.98 2503177360 HI-RISE 1 NOO PURCHASE N 12.5 12.5 26350 26350 10/1/2006 9/1/2021 281.22 2503177398 PUD 1 OO REFI N 10.8 10.8 41500 41500 10/1/2006 9/1/2021 388.96 2503177402 SFR 1 OO PURCHASE N 7.5 7.5 208000 208000 10/1/2006 9/1/2036 1300 2503177404 SFR 1 OO PURCHASE N 13.875 13.875 52000 52000 10/1/2006 9/1/2021 610.99 2503177405 SFR 1 NOO REFI Y 8 8 337500 337500 10/1/2006 9/1/2036 2250 2503177406 SFR 1 NOO REFI Y 13.75 13.75 90000 90000 10/1/2006 9/1/2021 1048.6 2503177408 SFR 1 OO PURCHASE N 7.5 7.5 213000 213000 10/1/2006 9/1/2036 1331.25 2503177409 SFR 1 OO PURCHASE N 11.625 11.625 71000 71000 10/1/2006 9/1/2021 709.89 2503177423 SFR 1 OO REFI Y 10.99 10.99 57000 57000 10/1/2006 9/1/2021 542.39 2503177424 2-4FAMILY 3 OO PURCHASE N 7.75 7.75 333750 333750 11/1/2006 10/1/2036 2155.47 2503177425 2-4FAMILY 3 OO PURCHASE N 11.9 11.9 89000 89000 11/1/2006 10/1/2021 908.62 2503177430 CONDO 1 OO PURCHASE N 7.63 7.63 184000 184000 11/1/2006 10/1/2036 1169.93 2503177442 SFR 1 NOO REFI Y 12.25 12.25 96400 96400 10/1/2006 9/1/2036 1010.17 2503177469 SFR 1 OO REFI Y 11.5 11.5 56300 56300 10/1/2006 9/1/2021 557.53 2503177470 SFR 1 OO REFI Y 6.45 6.45 584250 584250 10/1/2006 9/1/2036 3140.34 2503177473 SFR 1 OO REFI Y 10.54 10.54 155800 155800 10/1/2006 9/1/2021 1429.83 2503177482 CONDO 1 OO PURCHASE N 7.875 7.875 248000 248000 11/1/2006 10/1/2036 1627.5 2503177488 SFR 1 OO PURCHASE N 7.75 7.75 231900 231900 10/1/2006 9/1/2036 1497.69 2503177489 SFR 1 OO PURCHASE N 11.3 11.3 57950 57950 10/1/2006 9/1/2021 565.05 2503177495 SFR 1 OO REFI Y 6.875 6.875 175000 175000 10/1/2006 9/1/2036 1149.63 2503177502 SFR 1 OO PURCHASE N 7.375 7.375 210000 210000 10/1/2006 9/1/2036 1362.59 2503177503 SFR 1 OO PURCHASE N 11.75 11.75 70000 70000 10/1/2006 9/1/2021 706.59 2503177509 SFR 1 OO PURCHASE N 7.5 7.5 191900 191900 10/1/2006 9/1/2036 1199.38 2503177510 SFR 1 OO PURCHASE N 11.95 11.95 47950 47950 10/1/2006 9/1/2021 491.38 2503177544 SFR 1 OO REFI N 7.2 7.2 315000 315000 10/1/2006 9/1/2036 2003.43 2503177545 SFR 1 OO REFI Y 10.65 10.65 105000 105000 10/1/2006 9/1/2021 972.27 2503177564 SFR 1 OO REFI Y 6.5 6.5 80300 80035.46 9/1/2006 8/1/2021 699.5 2503177568 SFR 1 OO REFI Y 7.182 7.182 233000 233000 10/1/2006 9/1/2036 1578.74 2503177571 CONDO 1 2ND REFI Y 8.875 8.875 300000 300000 10/1/2006 9/1/2036 2218.75 2503177574 SFR 1 OO REFI Y 6.5 6.5 495000 495000 10/1/2006 9/1/2036 2681.25 2503177578 SFR 1 OO REFI Y 10.25 10.25 165000 165000 10/1/2006 9/1/2021 1478.57 2503177593 CONDO 1 NOO PURCHASE N 7.5 7.5 315900 315900 10/1/2006 9/1/2036 1974.37 2503177594 PUD 1 NOO REFI Y 6.75 6.75 768500 768500 10/1/2006 9/1/2036 4322.81 2503177597 CONDO 1 NOO PURCHASE N 13.15 13.15 84250 84250 10/1/2006 9/1/2021 941.86 2503177605 SFR 1 OO REFI N 12.75 12.75 31000 31000 10/1/2006 9/1/2021 336.87 2503177637 HI-RISE 1 OO PURCHASE N 7 7 260000 260000 10/1/2006 9/1/2036 1516.67 2503177638 SFR 1 OO REFI Y 11.825 11.825 70000 70000 10/1/2006 9/1/2021 710.61 2503177639 PUD 1 OO PURCHASE N 7 7 308750 308750 10/1/2006 9/1/2036 1801.04 2503177640 PUD 1 OO PURCHASE N 10.8 10.8 77200 77200 10/1/2006 9/1/2021 723.55 2503177641 SFR 1 OO PURCHASE N 6.99 6.99 200000 200000 10/1/2006 9/1/2036 1165 2503177642 SFR 1 OO PURCHASE N 11.45 11.45 50000 50000 10/1/2006 9/1/2021 493.24 2503177643 2-4FAMILY 2 OO PURCHASE N 6.75 6.75 393750 393750 10/1/2006 9/1/2036 2214.84 2503177652 SFR 1 OO PURCHASE N 7.755 7.755 236250 236250 10/1/2006 9/1/2036 1526.77 2503177653 SFR 1 OO PURCHASE N 10.69 10.69 78750 78750 10/1/2006 9/1/2021 731.57 2503177673 PUD 1 OO REFI Y 8.3 8.3 227200 227200 11/1/2006 10/1/2036 1571.47 2503177688 SFR 1 OO REFI Y 10 10 64500 64500 10/1/2006 9/1/2021 566.03 2503177718 PUD 1 NOO PURCHASE N 6.45 6.45 217000 217000 10/1/2006 9/1/2036 1166.38 2503177733 SFR 1 OO PURCHASE N 8.375 8.375 124000 124000 10/1/2006 9/1/2036 865.42 2503177734 SFR 1 OO PURCHASE N 13.55 13.55 31000 31000 10/1/2006 9/1/2021 356.3 2503177735 SFR 1 OO PURCHASE N 6.99 6.99 384000 384000 10/1/2006 9/1/2036 2236.8 2503177736 SFR 1 OO PURCHASE N 13.95 13.95 96000 96000 10/1/2006 9/1/2021 1116 2503177739 CONDO 1 OO PURCHASE N 7.93 7.93 88450 88450 10/1/2006 9/1/2036 584.51 2503177740 CONDO 1 OO PURCHASE N 11.99 11.99 29450 29450 10/1/2006 9/1/2021 302.7 2503177744 SFR 1 OO REFI Y 6.99 6.99 105000 105000 10/1/2006 9/1/2036 611.63 2503177757 SFR 1 OO REFI N 7.875 7.875 322500 322500 10/1/2006 9/1/2036 2116.41 2503177758 SFR 1 OO REFI Y 12.5 12.5 64500 64500 10/1/2006 9/1/2021 688.38 2503177781 SFR 1 OO REFI N 7.3 7.3 180000 180000 11/1/2006 10/1/2036 1095 2503177794 SFR 1 OO PURCHASE N 10.6 10.6 41000 40984.06 9/1/2006 8/1/2021 378.11 2503177796 SFR 1 OO REFI Y 6.75 6.75 1000000 1000000 10/1/2006 9/1/2036 5625 2503177797 SFR 1 OO REFI Y 10.88 10.88 400000 400000 10/1/2006 9/1/2021 3773.07 2503177816 SFR 1 OO REFI Y 7.75 7.75 160000 160000 10/1/2006 9/1/2036 1146.26 2503177829 SFR 1 OO PURCHASE N 6.87 6.87 423200 423200 10/1/2006 9/1/2036 2422.82 2503177830 SFR 1 OO PURCHASE N 10.94 10.94 105800 105800 10/1/2006 9/1/2021 1002.76 2503177831 HI-RISE 1 OO PURCHASE N 7.5 7.5 206400 206400 10/1/2006 9/1/2036 1290 2503177907 PUD 1 OO REFI Y 10.125 10.125 49500 49500 10/1/2006 9/1/2021 438.98 2503177937 SFR 1 OO PURCHASE N 7.75 7.75 157125 157125 10/1/2006 9/1/2036 1014.77 2503177945 PUD 1 OO PURCHASE N 6.875 6.875 251150 251150 10/1/2006 9/1/2036 1438.88 2503177947 SFR 1 OO PURCHASE N 11.9 11.9 52375 52375 10/1/2006 9/1/2021 534.71 2503177967 SFR 1 OO REFI Y 7.93 7.93 337500 337500 10/1/2006 9/1/2036 2328.97 2503177968 SFR 1 OO REFI Y 12.64 12.64 112500 112500 10/1/2006 9/1/2021 1212.9 2503177991 SFR 1 NOO REFI Y 6.68 6.68 210000 210000 10/1/2006 9/1/2036 1169 2503178003 SFR 1 OO PURCHASE N 7.125 7.125 278250 278250 10/1/2006 9/1/2036 1652.11 2503178004 SFR 1 OO PURCHASE N 11.125 11.125 92750 92750 10/1/2006 9/1/2036 892.05 2503178008 SFR 1 OO REFI Y 6.875 6.875 500000 500000 10/1/2006 9/1/2036 2864.58 2503178009 SFR 1 OO REFI Y 9.8 9.8 109500 109500 10/1/2006 9/1/2036 944.8 2503178012 SFR 1 OO PURCHASE N 7.125 7.125 247200 247200 10/1/2006 9/1/2036 1467.75 2503178013 SFR 1 OO PURCHASE N 11.99 11.99 61800 61800 10/1/2006 9/1/2021 635.21 2503178014 CONDO 1 OO PURCHASE N 7.75 7.75 248000 248000 11/1/2006 10/1/2036 1601.67 2503178015 CONDO 1 OO PURCHASE N 12.09 12.09 62000 62000 11/1/2006 10/1/2021 624.65 2503178029 SFR 1 OO REFI Y 12.2 12.2 53600 53600 10/1/2006 9/1/2021 559.6 2503178045 SFR 1 NOO PURCHASE N 7.75 7.75 165000 165000 10/1/2006 9/1/2036 1182.08 2503178053 CONDO 1 OO PURCHASE N 7.5 7.5 116950 116950 10/1/2006 9/1/2036 730.94 2503178055 SFR 1 OO PURCHASE N 7.125 7.125 251250 251250 10/1/2006 9/1/2036 1491.8 2503178061 SFR 1 OO PURCHASE N 10.8 10.8 83750 83750 10/1/2006 9/1/2021 784.94 2503178065 CONDO 1 OO PURCHASE N 11.64 11.64 39000 39000 10/1/2006 9/1/2021 390.38 2503178072 SFR 1 OO PURCHASE N 6.99 6.99 424800 424800 10/1/2006 9/1/2036 2474.46 2503178073 SFR 1 OO PURCHASE N 11.35 11.35 106200 106200 10/1/2006 9/1/2021 1039.55 2503178080 2-4FAMILY 2 OO PURCHASE N 11.2 11.2 131250 131250 10/1/2006 9/1/2021 1269.8 2503178087 PUD 1 OO PURCHASE N 6.25 6.25 493200 493200 10/1/2006 9/1/2036 2568.75 2503178088 PUD 1 OO PURCHASE N 9.875 9.875 123300 123300 10/1/2006 9/1/2021 1070.67 2503178115 SFR 1 OO PURCHASE N 12.5 12.5 85000 85000 10/1/2006 9/1/2021 907.17 2503178139 SFR 1 NOO PURCHASE N 8.75 8.75 156000 156000 10/1/2006 9/1/2036 1227.25 2503178148 SFR 1 NOO PURCHASE N 7 7 476250 476250 10/1/2006 9/1/2036 3168.5 2503178168 SFR 1 OO PURCHASE N 6.775 6.775 198750 198750 10/1/2006 9/1/2036 1122.11 2503178169 SFR 1 OO PURCHASE N 11.14 11.14 66250 66250 10/1/2006 9/1/2021 637.93 2503178185 SFR 1 OO REFI N 10.35 10.35 71500 71500 10/1/2006 9/1/2021 646.03 2503178204 PUD 1 OO PURCHASE N 7.1 7.1 457500 457500 10/1/2006 9/1/2036 2706.88 2503178205 PUD 1 OO PURCHASE N 11.85 11.85 152500 152500 10/1/2006 9/1/2021 1551.05 2503178211 2-4FAMILY 2 OO PURCHASE N 7.75 7.75 184650 184650 10/1/2006 9/1/2036 1322.86 2503178212 2-4FAMILY 2 OO PURCHASE N 11.5 11.5 61550 61550 10/1/2006 9/1/2021 609.52 2503178217 PUD 1 OO PURCHASE N 6.9 6.9 207600 207600 10/1/2006 9/1/2036 1193.7 2503178218 PUD 1 OO PURCHASE N 13.4 13.4 51900 51900 10/1/2006 9/1/2021 590.39 2503178234 SFR 1 OO PURCHASE N 8.375 8.375 111650 111650 10/1/2006 9/1/2036 807.9 2503178249 SFR 1 OO PURCHASE N 12.4 12.4 29750 29750 10/1/2006 9/1/2021 315.2 2503178251 SFR 1 OO PURCHASE N 7.125 7.125 428000 428000 10/1/2006 9/1/2036 2541.25 2503178265 SFR 1 OO PURCHASE N 11.975 11.975 107000 107000 10/1/2006 9/1/2021 1098.56 2503178268 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 225000 225000 10/1/2006 9/1/2036 1359.38 2503178269 2-4FAMILY 2 OO PURCHASE N 11.5 11.5 75000 75000 10/1/2006 9/1/2021 742.72 2503178275 HI-RISE 1 OO PURCHASE N 8.2 8.2 161500 161500 11/1/2006 10/1/2036 1103.58 2503178276 HI-RISE 1 OO PURCHASE N 11.25 11.25 40350 40350 11/1/2006 10/1/2021 391.9 2503178294 2-4FAMILY 2 OO PURCHASE N 7.75 7.75 444000 444000 10/1/2006 9/1/2036 2867.5 2503178295 2-4FAMILY 2 OO PURCHASE N 12.5 12.5 96400 96400 10/1/2006 9/1/2021 1028.84 2503178311 SFR 1 OO REFI Y 6.37 6.37 180000 180000 10/1/2006 9/1/2036 955.5 2503178318 2-4FAMILY 3 NOO PURCHASE N 7.325 7.325 483000 483000 11/1/2006 10/1/2036 2948.31 2503178319 2-4FAMILY 3 NOO PURCHASE N 12.75 12.75 138000 138000 11/1/2006 10/1/2021 1499.64 2503178327 CONDO 1 OO REFI Y 10.625 10.625 35500 35500 10/1/2006 9/1/2021 328.05 2503178332 CONDO 1 OO REFI Y 11.375 11.375 24000 24000 10/1/2006 9/1/2021 235.38 2503178333 SFR 1 NOO REFI Y 7.75 7.75 191250 191250 10/1/2006 9/1/2036 1235.16 2503178334 2-4FAMILY 2 NOO PURCHASE N 7.275 7.275 615000 615000 10/1/2006 9/1/2036 3728.44 2503178335 2-4FAMILY 2 NOO PURCHASE N 12.375 12.375 164000 164000 10/1/2006 9/1/2021 1734.41 2503178344 2-4FAMILY 2 OO REFI Y 6.875 6.875 240000 240000 10/1/2006 9/1/2036 1576.63 2503178349 SFR 1 OO REFI Y 8.125 8.125 166740 166740 10/1/2006 9/1/2036 1128.97 2503178358 PUD 1 OO REFI N 12.025 12.025 21000 21000 10/1/2006 9/1/2021 216.41 2503178374 PUD 1 OO PURCHASE N 7.75 7.75 238984 238984 10/1/2006 9/1/2036 1543.44 2503178375 PUD 1 OO PURCHASE N 12.55 12.55 59746 59746 10/1/2006 9/1/2021 639.96 2503178383 SFR 1 OO REFI Y 6.75 6.75 196000 196000 10/1/2006 9/1/2036 1102.5 2503178396 CONDO 1 OO PURCHASE N 7.5 7.5 106400 106400 11/1/2006 10/1/2036 665 2503178418 SFR 1 OO PURCHASE N 8.4 8.4 495000 495000 10/1/2006 9/1/2036 3771.1 2503178423 SFR 1 OO PURCHASE N 6.25 6.25 314250 314250 10/1/2006 9/1/2036 1636.72 2503178424 SFR 1 NOO REFI N 6.99 6.99 468750 468750 10/1/2006 9/1/2036 2730.47 2503178425 SFR 1 NOO REFI Y 12.4 12.4 62000 62000 10/1/2006 9/1/2021 656.89 2503178431 SFR 1 NOO REFI Y 7.55 7.55 338047 338047 10/1/2006 9/1/2036 2126.88 2503178451 2-4FAMILY 2 NOO REFI Y 7.99 7.99 325500 325500 10/1/2006 9/1/2036 2386.13 2503178452 2-4FAMILY 2 NOO REFI Y 12.75 12.75 86800 86800 10/1/2006 9/1/2021 943.25 2503178454 2-4FAMILY 2 NOO REFI Y 8.25 8.25 280000 280000 10/1/2006 9/1/2036 1925 2503178456 SFR 1 NOO REFI Y 7.75 7.75 227250 227250 10/1/2006 9/1/2036 1467.66 2503178457 PUD 1 NOO REFI N 6.25 6.25 435000 435000 10/1/2006 9/1/2036 2265.63 2503178475 PUD 1 OO REFI Y 7 7 130950 130950 10/1/2006 9/1/2036 763.88 2503178476 PUD 1 OO REFI Y 10.8 10.8 43650 43650 10/1/2006 9/1/2021 409.11 2503178517 SFR 1 OO PURCHASE N 6.99 6.99 327200 327200 10/1/2006 9/1/2036 2030.95 2503178518 SFR 1 OO PURCHASE N 11.625 11.625 81800 81800 10/1/2006 9/1/2021 817.87 2503178519 SFR 1 OO PURCHASE N 7.99 7.99 513150 513150 10/1/2006 9/1/2036 3416.72 2503178520 SFR 1 OO PURCHASE N 12.99 12.99 128300 128300 10/1/2006 9/1/2021 1418.25 2503178525 SFR 1 OO PURCHASE N 6.625 6.625 551900 551900 10/1/2006 9/1/2036 3046.95 2503178526 SFR 1 OO PURCHASE N 10.2 10.2 137950 137950 10/1/2006 9/1/2021 1231.05 2503178545 SFR 1 OO REFI N 9.55 9.55 36050 36050 10/1/2006 9/1/2021 304.44 2503178566 SFR 1 OO PURCHASE N 8.9 8.9 216000 216000 10/1/2006 9/1/2036 1602 2503178567 SFR 1 OO PURCHASE N 12.275 12.275 54000 54000 10/1/2006 9/1/2021 566.91 2503178586 SFR 1 OO PURCHASE N 11.6 11.6 106000 106000 10/1/2006 9/1/2021 1057.8 2503178591 PUD 1 OO REFI Y 11.6 11.6 35300 35300 10/1/2006 9/1/2021 352.27 2503178613 SFR 1 OO PURCHASE N 7.125 7.125 499200 499200 10/1/2006 9/1/2036 2964 2503178614 SFR 1 OO PURCHASE N 12.75 12.75 62400 62400 10/1/2006 9/1/2021 678.1 2503178622 SFR 1 OO REFI Y 6.375 6.375 279500 279500 10/1/2006 9/1/2036 1484.84 2503178656 SFR 1 OO REFI Y 6.125 6.125 231000 231000 10/1/2006 9/1/2036 1179.06 2503178661 SFR 1 OO REFI Y 6.75 6.75 233000 233000 10/1/2006 9/1/2036 1310.63 2503178699 SFR 1 OO REFI N 6.55 6.55 650000 650000 10/1/2006 9/1/2036 3547.92 2503178727 PUD 1 OO PURCHASE N 7.55 7.55 392000 392000 10/1/2006 9/1/2036 2466.33 2503178728 PUD 1 OO PURCHASE N 11.8 11.8 98000 98000 10/1/2006 9/1/2021 992.98 2503178744 2-4FAMILY 4 NOO REFI N 7 7 975000 975000 10/1/2006 9/1/2036 5687.5 2503178767 SFR 1 OO REFI Y 6.769 6.769 385000 385000 10/1/2006 9/1/2036 2501.97 2503178768 SFR 1 OO REFI Y 12.49 12.49 104995 104995 10/1/2006 9/1/2021 1119.75 2503178786 SFR 1 OO REFI Y 6.875 6.875 410000 410000 10/1/2006 9/1/2036 2348.96 2503178791 SFR 1 OO REFI N 6.5 6.5 265000 265000 10/1/2006 9/1/2036 1435.42 2503178801 SFR 1 OO PURCHASE N 7.075 7.075 536250 536250 10/1/2006 9/1/2036 3161.64 2503178802 SFR 1 OO PURCHASE N 11.2 11.2 178750 178750 10/1/2006 9/1/2021 1729.35 2503178816 HI-RISE 1 OO PURCHASE N 7.9 7.9 246750 246750 10/1/2006 9/1/2036 1624.44 2503178817 HI-RISE 1 OO PURCHASE N 12.4 12.4 82250 82250 10/1/2006 9/1/2021 871.44 2503178834 CONDO 1 NOO PURCHASE N 9 9 89600 89600 10/1/2006 9/1/2036 672 2503178850 SFR 1 OO REFI Y 6.125 6.125 415000 415000 10/1/2006 9/1/2036 2319.65 2503178876 SFR 1 OO REFI Y 7.25 7.25 138000 138000 10/1/2006 9/1/2036 941.4 2503178877 PUD 1 OO REFI Y 6.375 6.375 199125 199125 10/1/2006 9/1/2036 1057.85 2503178882 PUD 1 OO REFI Y 7.775 7.775 208000 208000 10/1/2006 9/1/2036 1347.67 2503178898 SFR 1 OO PURCHASE N 6.99 6.99 368000 368000 10/1/2006 9/1/2036 2143.6 2503178899 SFR 1 OO PURCHASE N 12 12 92000 92000 10/1/2006 9/1/2021 946.32 2503178901 CONDO 1 OO PURCHASE N 6.625 6.625 336750 336750 10/1/2006 9/1/2036 1859.14 2503178902 CONDO 1 OO PURCHASE N 10.54 10.54 112250 112250 10/1/2006 9/1/2021 1030.15 2503178907 SFR 1 OO REFI Y 7.125 7.125 228200 228200 10/1/2006 9/1/2036 1438.87 2503178908 SFR 1 OO PURCHASE N 7.105 7.105 315000 315000 10/1/2006 9/1/2036 1865.06 2503178909 SFR 1 OO PURCHASE N 11.5 11.5 105000 105000 10/1/2006 9/1/2021 1039.81 2503178913 PUD 1 OO PURCHASE N 6.6 6.6 323850 323850 10/1/2006 9/1/2036 1781.18 2503178916 PUD 1 OO REFI Y 7.192 7.192 222400 222400 10/1/2006 9/1/2036 1508.42 2503178922 SFR 1 OO PURCHASE N 6.75 6.75 298500 298500 10/1/2006 9/1/2036 1679.06 2503178923 SFR 1 OO PURCHASE N 12.49 12.49 99500 99500 10/1/2006 9/1/2021 1061.15 2503178950 SFR 1 OO PURCHASE N 7.125 7.125 522000 522000 10/1/2006 9/1/2036 3099.37 2503178951 SFR 1 OO PURCHASE N 12.775 12.775 174000 174000 10/1/2006 9/1/2021 1894.23 2503178969 SFR 1 OO PURCHASE N 6.25 6.25 243750 243750 10/1/2006 9/1/2036 1269.53 2503178970 SFR 1 OO PURCHASE N 10.625 10.625 81250 81250 10/1/2006 9/1/2021 750.83 2503178980 SFR 1 OO PURCHASE N 6.5 6.5 212000 212000 10/1/2006 9/1/2036 1148.33 2503178981 SFR 1 OO PURCHASE N 10.45 10.45 53000 53000 10/1/2006 9/1/2021 482.83 2503179002 SFR 1 OO REFI Y 6.25 6.25 230000 230000 10/1/2006 9/1/2036 1197.92 2503179016 SFR 1 OO PURCHASE N 6.7 6.7 388000 388000 10/1/2006 9/1/2036 2166.33 2503179017 SFR 1 OO PURCHASE N 10.7 10.7 97000 97000 10/1/2006 9/1/2021 901.83 2503179020 SFR 1 OO PURCHASE N 7.375 7.375 618750 618750 10/1/2006 9/1/2036 3802.73 2503179026 SFR 1 OO REFI N 8.55 8.55 400000 400000 10/1/2006 9/1/2036 3089.84 2503179029 SFR 1 OO REFI Y 12.75 12.75 100000 100000 10/1/2006 9/1/2021 1086.69 2503179032 CONDO 1 2ND PURCHASE N 8.125 8.125 159600 159600 10/1/2006 9/1/2036 1124.72 2503179045 HI-RISE 1 NOO PURCHASE N 7 7 450000 450000 11/1/2006 10/1/2036 2625 2503179050 SFR 1 OO REFI Y 12.75 12.75 56000 56000 10/1/2006 9/1/2021 608.55 2503179060 SFR 1 OO REFI Y 7 7 144000 144000 10/1/2006 9/1/2036 840 2503179111 SFR 1 OO REFI Y 8.5 8.5 224000 224000 10/1/2006 9/1/2036 1586.67 2503179112 SFR 1 OO REFI Y 13.7 13.7 56000 56000 10/1/2006 9/1/2021 650.25 2503179120 SFR 1 NOO PURCHASE N 7.5 7.5 87750 87750 10/1/2006 9/1/2036 613.56 2503179121 SFR 1 NOO PURCHASE N 12.54 12.54 23400 23400 10/1/2006 9/1/2021 250.46 2503179123 SFR 1 OO REFI Y 7.625 7.625 388000 388000 10/1/2006 9/1/2036 2465.42 2503179182 SFR 1 OO REFI N 6.5 6.5 352500 352500 10/1/2006 9/1/2036 1909.38 2503179183 SFR 1 OO REFI Y 10.75 10.75 117500 117500 10/1/2006 9/1/2021 1096.84 2503179203 PUD 1 OO PURCHASE N 7.38 7.38 255825 255825 10/1/2006 9/1/2036 1573.32 2503179204 PUD 1 OO PURCHASE N 12.94 12.94 63956 63956 10/1/2006 9/1/2021 704.48 2503179210 PUD 1 OO REFI Y 7.875 7.875 360000 360000 10/1/2006 9/1/2036 2362.5 2503179223 SFR 1 OO REFI N 5.99 5.99 311250 311250 10/1/2006 9/1/2036 1553.66 2503179224 SFR 1 OO REFI Y 10.9 10.9 83000 83000 10/1/2006 9/1/2021 784.16 2503179239 2-4FAMILY 3 OO PURCHASE N 7.875 7.875 277500 277500 11/1/2006 10/1/2036 1821.09 2503179257 PUD 1 OO REFI Y 7 7 330000 330000 10/1/2006 9/1/2036 1925 2503179270 SFR 1 OO PURCHASE N 6.8 6.8 292000 292000 10/1/2006 9/1/2036 1654.67 2503179271 SFR 1 OO PURCHASE N 11.2 11.2 73000 73000 10/1/2006 9/1/2021 706.25 2503179275 SFR 1 NOO REFI N 7.125 7.125 390000 390000 10/1/2006 9/1/2036 2315.62 2503179276 SFR 1 NOO REFI Y 12.075 12.075 104000 104000 10/1/2006 9/1/2021 1075.76 2503179280 SFR 1 OO REFI N 7.8 7.8 148000 148000 11/1/2006 10/1/2036 962 2503179281 SFR 1 OO PURCHASE N 7.65 7.65 216000 216000 10/1/2006 9/1/2036 1377 2503179282 SFR 1 OO PURCHASE N 12.75 12.75 54000 54000 10/1/2006 9/1/2021 586.81 2503179285 SFR 1 OO PURCHASE N 6.3 6.3 525750 525750 10/1/2006 9/1/2036 2760.19 2503179286 SFR 1 OO PURCHASE N 10.4 10.4 175250 175250 10/1/2006 9/1/2021 1589.99 2503179291 SFR 1 OO REFI Y 6.375 6.375 263340 263340 10/1/2006 9/1/2036 1398.99 2503179316 PUD 1 OO PURCHASE N 9.99 9.99 342000 342000 10/1/2006 9/1/2036 2847.15 2503179320 SFR 1 OO REFI Y 6.25 6.25 143500 143500 10/1/2006 9/1/2036 814.71 2503179329 SFR 1 OO REFI Y 7.25 7.25 83000 83000 10/1/2006 9/1/2036 566.21 2503179368 CONDO 1 OO REFI N 6.9 6.9 236250 236250 10/1/2006 9/1/2036 1358.44 2503179369 CONDO 1 OO REFI Y 11.125 11.125 78750 78750 10/1/2006 9/1/2021 757.4 2503179389 CONDO 1 OO PURCHASE N 6.75 6.75 215250 215250 10/1/2006 9/1/2036 1210.78 2503179390 CONDO 1 OO PURCHASE N 11.375 11.375 71750 71750 10/1/2006 9/1/2021 703.7 2503179396 SFR 1 OO PURCHASE N 11.575 11.575 206250 206250 10/1/2006 9/1/2021 2054.29 2503179411 2-4FAMILY 2 OO REFI Y 7.375 7.375 445000 445000 10/1/2006 9/1/2036 2734.9 2503179419 CONDO 1 OO REFI Y 7.625 7.625 144000 144000 11/1/2006 10/1/2036 915 2503179421 SFR 1 OO REFI N 7.125 7.125 416250 416250 10/1/2006 9/1/2036 2471.48 2503179422 SFR 1 OO REFI Y 10.5 10.5 126750 126750 10/1/2006 9/1/2021 1159.43 2503179468 PUD 1 OO PURCHASE N 11.45 11.45 39000 39000 10/1/2006 9/1/2021 384.73 2503179478 SFR 1 OO REFI Y 11.3 11.3 65000 65000 10/1/2006 9/1/2021 633.79 2503179524 SFR 1 OO REFI Y 6.875 6.875 224000 224000 10/1/2006 9/1/2036 1283.33 2503179533 SFR 1 OO PURCHASE N 6.875 6.875 221250 221250 10/1/2006 9/1/2036 1453.46 2503179534 SFR 1 OO PURCHASE N 12.25 12.25 73750 73750 10/1/2006 9/1/2021 772.82 2503179539 HI-RISE 1 NOO PURCHASE N 6.375 6.375 127300 127300 10/1/2006 9/1/2036 676.28 2503179545 PUD 1 OO PURCHASE N 7.95 7.95 207200 207200 10/1/2006 9/1/2036 1372.7 2503179546 PUD 1 OO PURCHASE N 11.55 11.55 51800 51800 10/1/2006 9/1/2021 514.95 2503179586 SFR 1 OO PURCHASE N 6.875 6.875 86250 86250 10/1/2006 9/1/2036 494.14 2503179590 SFR 1 OO REFI Y 7.875 7.875 600000 600000 10/1/2006 9/1/2036 3937.5 2503179591 SFR 1 OO REFI Y 10.99 10.99 150000 150000 10/1/2006 9/1/2021 1427.35 2503179593 2-4FAMILY 3 OO PURCHASE N 7.825 7.825 421350 421350 10/1/2006 9/1/2036 2747.55 2503179594 2-4FAMILY 3 OO PURCHASE N 11.8 11.8 140450 140450 10/1/2006 9/1/2021 1423.1 2503179596 SFR 1 OO REFI Y 10.19 10.19 42000 42000 10/1/2006 9/1/2021 374.49 2503179601 SFR 1 OO REFI Y 12.5 12.5 74000 74000 10/1/2006 9/1/2021 789.77 2503179613 PUD 1 OO PURCHASE N 11.3 11.3 59800 59800 10/1/2006 9/1/2021 583.09 2503179615 SFR 1 OO PURCHASE N 9.75 9.75 60000 60000 10/1/2006 9/1/2021 515.49 2503179621 SFR 1 OO REFI Y 10.125 10.125 96000 96000 10/1/2006 9/1/2021 851.35 2503179625 CONDO 1 OO PURCHASE N 7.875 7.875 344000 344000 10/1/2006 9/1/2036 2257.5 2503179626 CONDO 1 OO PURCHASE N 12.5 12.5 86000 86000 10/1/2006 9/1/2021 917.84 2503179642 SFR 1 NOO PURCHASE N 6.75 6.75 648750 648750 11/1/2006 10/1/2036 3649.22 2503179644 SFR 1 OO REFI Y 6.25 6.25 682500 682500 10/1/2006 9/1/2036 3554.69 2503179648 SFR 1 OO REFI Y 7.25 7.25 200000 200000 10/1/2006 9/1/2036 1364.35 2503179649 CONDO 1 NOO PURCHASE N 8.5 8.5 105000 105000 10/1/2006 9/1/2036 743.75 2503179678 SFR 1 OO PURCHASE N 7.5 7.5 200000 200000 10/1/2006 9/1/2036 1398.43 2503179679 SFR 1 OO PURCHASE N 13.75 13.75 50000 50000 10/1/2006 9/1/2021 582.56 2503179687 PUD 1 OO REFI N 8 8 750000 750000 11/1/2006 10/1/2036 5000 2503179757 SFR 1 OO REFI Y 10.4 10.4 28500 28500 10/1/2006 9/1/2021 258.57 2503179761 SFR 1 OO REFI Y 6.75 6.75 308000 308000 10/1/2006 9/1/2036 1732.5 2503179769 SFR 1 OO REFI Y 10.5 10.5 77000 77000 10/1/2006 9/1/2021 704.35 2503179811 PUD 1 OO REFI Y 7.6 7.6 169600 169600 10/1/2006 9/1/2036 1197.5 2503179812 SFR 1 OO REFI Y 6.1 6.1 260000 260000 10/1/2006 9/1/2036 1321.67 2503179849 CONDO 1 NOO REFI N 7.875 7.875 135000 135000 10/1/2006 9/1/2036 885.94 2503179850 CONDO 1 NOO REFI Y 12.75 12.75 36000 36000 10/1/2006 9/1/2021 391.21 2503179858 PUD 1 OO REFI Y 8.2 8.2 540000 540000 10/1/2006 9/1/2036 3690 2503179859 PUD 1 OO REFI Y 13.8 13.8 180000 180000 10/1/2006 9/1/2036 2104.31 2503179860 2-4FAMILY 2 OO PURCHASE N 7 7 302400 302400 10/1/2006 9/1/2036 1764 2503179861 2-4FAMILY 2 OO PURCHASE N 12.475 12.475 37800 37800 10/1/2006 9/1/2021 402.69 2503179864 SFR 1 OO PURCHASE N 6.55 6.55 212000 212000 10/1/2006 9/1/2036 1157.17 2503179866 SFR 1 OO PURCHASE N 10.3 10.3 53000 53000 10/1/2006 9/1/2021 476.9 2503179892 PUD 1 2ND PURCHASE N 6.9 6.9 259900 259900 11/1/2006 10/1/2036 1711.7 2503179898 CONDO 1 OO REFI Y 5.89 5.89 475000 475000 10/1/2006 9/1/2036 2331.46 2503179915 SFR 1 OO PURCHASE N 6.875 6.875 276750 276750 10/1/2006 9/1/2036 1585.55 2503179916 SFR 1 OO PURCHASE N 11.75 11.75 92250 92250 10/1/2006 9/1/2021 931.18 2503179920 SFR 1 OO REFI Y 6.75 6.75 292000 292000 10/1/2006 9/1/2036 1642.5 2503179921 PUD 1 NOO PURCHASE N 6.5 6.5 110000 110000 10/1/2006 9/1/2036 595.83 2503179923 CONDO 1 OO REFI Y 7.2 7.2 336000 336000 10/1/2006 9/1/2036 2016 2503179928 CONDO 1 OO REFI Y 12.8 12.8 84000 84000 10/1/2006 9/1/2021 916.09 2503179934 CONDO 1 OO PURCHASE N 6.99 6.99 246000 246000 10/1/2006 9/1/2036 1432.95 2503179935 CONDO 1 OO PURCHASE N 11.25 11.25 82000 82000 10/1/2006 9/1/2021 796.43 2503179942 PUD 1 NOO PURCHASE N 12 12 31500 31500 10/1/2006 9/1/2021 324.01 2503179945 SFR 1 NOO REFI Y 6.6 6.6 228000 228000 10/1/2006 9/1/2036 1254 2503179946 SFR 1 OO PURCHASE N 8.125 8.125 176000 176000 10/1/2006 9/1/2036 1191.67 2503179947 SFR 1 OO PURCHASE N 12.65 12.65 44000 44000 10/1/2006 9/1/2021 474.72 2503179975 SFR 1 NOO PURCHASE N 7 7 136500 136500 11/1/2006 10/1/2036 796.25 2503179984 SFR 1 OO REFI N 7.5 7.5 414000 414000 10/1/2006 9/1/2036 2587.5 2503179985 SFR 1 OO REFI Y 11.975 11.975 138000 138000 10/1/2006 9/1/2021 1416.83 2503179999 2-4FAMILY 2 NOO PURCHASE N 7.125 7.125 118500 118500 10/1/2006 9/1/2036 798.36 2503180000 2-4FAMILY 2 NOO PURCHASE N 12.55 12.55 31600 31600 10/1/2006 9/1/2021 338.48 2503180006 PUD 1 OO REFI N 6.95 6.95 277500 277500 10/1/2006 9/1/2036 1836.91 2503180007 PUD 1 OO REFI Y 11.5 11.5 92500 92500 10/1/2006 9/1/2021 916.02 2503180016 CONDO 1 OO PURCHASE N 6.75 6.75 115200 115200 10/1/2006 9/1/2036 747.19 2503180027 SFR 1 OO REFI Y 11.9 11.9 59000 59000 10/1/2006 9/1/2021 602.34 2503180031 SFR 1 OO PURCHASE N 7.45 7.45 316000 312446.26 10/1/2006 9/1/2036 1961.83 2503180037 SFR 1 OO PURCHASE N 10.65 10.65 79000 79000 10/1/2006 9/1/2021 731.52 2503180043 SFR 1 OO PURCHASE N 7.25 7.25 314320 314320 10/1/2006 9/1/2036 2010.62 2503180058 PUD 1 OO PURCHASE N 10.5 10.5 100000 100000 10/1/2006 9/1/2021 914.74 2503180088 2-4FAMILY 2 NOO REFI Y 7.75 7.75 213500 213500 10/1/2006 9/1/2036 1378.85 2503180112 SFR 1 OO REFI N 6.55 6.55 218000 218000 10/1/2006 9/1/2036 1284.07 2503180113 SFR 1 OO REFI Y 9.7 9.7 29000 29000 10/1/2006 9/1/2021 248.09 2503180130 PUD 1 OO PURCHASE N 7.75 7.75 174400 174400 11/1/2006 10/1/2036 1249.42 2503180177 SFR 1 OO PURCHASE N 7.5 7.5 240000 240000 10/1/2006 9/1/2036 1500 2503180178 SFR 1 OO REFI Y 7.375 7.375 230000 230000 10/1/2006 9/1/2036 1588.55 2503180188 SFR 1 OO REFI Y 6.675 6.675 177000 177000 10/1/2006 9/1/2036 984.56 2503180208 CONDO 1 OO PURCHASE N 8.625 8.625 175920 175920 10/1/2006 9/1/2036 1368.29 2503180209 CONDO 1 OO PURCHASE N 12.75 12.75 43980 43980 10/1/2006 9/1/2021 477.93 2503180229 SFR 1 NOO REFI Y 6.875 6.875 374500 374500 10/1/2006 9/1/2036 2145.57 2503180259 SFR 1 OO REFI Y 9 9 167200 167200 10/1/2006 9/1/2036 1345.33 2503180277 SFR 1 OO REFI N 6.625 6.625 152250 152250 10/1/2006 9/1/2036 840.55 2503180279 SFR 1 OO REFI Y 11.75 11.75 50750 50750 10/1/2006 9/1/2021 512.28 2503180296 SFR 1 OO REFI Y 7.625 7.625 387000 387000 10/1/2006 9/1/2036 2739.16 2503180312 SFR 1 OO REFI Y 9.1 9.1 232000 232000 10/1/2006 9/1/2036 1883.44 2503180321 SFR 1 OO PURCHASE N 7 7 412500 412500 10/1/2006 9/1/2036 2406.25 2503180322 SFR 1 NOO REFI N 6.95 6.95 189750 189750 10/1/2006 9/1/2036 1098.97 2503180324 SFR 1 NOO REFI Y 14.175 14.175 50600 50600 10/1/2006 9/1/2021 606.56 2503180329 SFR 1 NOO REFI N 7.99 7.99 148500 148500 10/1/2006 9/1/2036 1088.61 2503180330 SFR 1 NOO REFI Y 12.75 12.75 39600 39600 10/1/2006 9/1/2021 430.33 2503180334 SFR 1 OO PURCHASE N 10.84 10.84 137500 137500 10/1/2006 9/1/2021 1292.85 2503180336 2-4FAMILY 2 OO PURCHASE N 5.625 5.625 503600 503600 10/1/2006 9/1/2036 2360.63 2503180337 2-4FAMILY 2 OO PURCHASE N 10.875 10.875 167850 167850 10/1/2006 9/1/2021 1582.64 2503180347 SFR 1 OO REFI N 7.125 7.125 172500 172500 10/1/2006 9/1/2036 1024.22 2503180359 SFR 1 OO REFI Y 6.25 6.25 650000 650000 11/1/2006 10/1/2036 3385.42 2503180367 PUD 1 OO REFI N 7.4 7.4 240000 240000 10/1/2006 9/1/2036 1561.66 2503180407 SFR 1 OO REFI N 7.32 7.32 587200 587200 10/1/2006 9/1/2036 3581.92 2503180408 SFR 1 OO REFI Y 12.875 12.875 110100 110100 10/1/2006 9/1/2021 1207.18 2503180419 CONDO 1 OO PURCHASE N 7.25 7.25 137250 137250 10/1/2006 9/1/2036 877.95 2503180445 SFR 1 OO REFI Y 10.3 10.3 57500 57500 10/1/2006 9/1/2021 517.4 2503180449 SFR 1 OO REFI N 7.5 7.5 156000 156000 10/1/2006 9/1/2036 975 2503180461 PUD 1 OO PURCHASE N 5.75 5.75 472550 472550 11/1/2006 10/1/2036 2264.3 2503180463 SFR 1 OO REFI Y 13.25 13.25 29250 29250 10/1/2006 9/1/2021 329.29 2503180470 SFR 1 NOO PURCHASE N 8.25 8.25 468000 468000 10/1/2006 9/1/2036 3217.5 2503180471 SFR 1 NOO PURCHASE N 11.75 11.75 87750 87750 10/1/2006 9/1/2021 885.76 2503180496 CONDO 1 OO PURCHASE N 11.6 11.6 36600 36600 10/1/2006 9/1/2021 365.24 2503180518 CONDO 1 2ND PURCHASE N 8.25 8.25 131900 131900 11/1/2006 10/1/2036 990.92 2503180535 PUD 1 OO REFI N 6.95 6.95 192000 192000 10/1/2006 9/1/2036 1112 2503180536 PUD 1 OO REFI Y 10.85 10.85 48000 48000 10/1/2006 9/1/2021 451.68 2503180542 SFR 1 NOO PURCHASE N 8.925 8.925 439200 439200 10/1/2006 9/1/2036 3266.55 2503180543 SFR 1 NOO PURCHASE N 12.44 12.44 82350 82350 10/1/2006 9/1/2021 875.05 2503180587 PUD 1 OO REFI Y 7.25 7.25 365600 365600 11/1/2006 10/1/2036 2208.83 2503180595 2-4FAMILY 2 NOO PURCHASE N 7.1 7.1 502500 502500 11/1/2006 10/1/2036 2973.13 2503180601 PUD 1 OO REFI Y 6.55 6.55 140250 140250 10/1/2006 9/1/2036 765.53 2503180630 SFR 1 OO PURCHASE N 7.99 7.99 305400 305400 10/1/2006 9/1/2036 2033.46 2503180631 SFR 1 OO PURCHASE N 12.59 12.59 76400 76400 10/1/2006 9/1/2021 820.72 2503180653 SFR 1 2ND PURCHASE N 6.99 6.99 297000 297000 10/1/2006 9/1/2036 1730.03 2503180688 HI-RISE 1 NOO PURCHASE N 8.55 8.55 366320 366320 10/1/2006 9/1/2036 2610.03 2503180690 CONDO 1 OO REFI Y 11.99 11.99 27000 27000 10/1/2006 9/1/2021 277.52 2503180692 SFR 1 OO PURCHASE N 8.9 8.9 378400 378400 10/1/2006 9/1/2036 3017.5 2503180693 SFR 1 OO PURCHASE N 12.8 12.8 94600 94600 10/1/2006 9/1/2021 1031.7 2503180700 SFR 1 OO PURCHASE N 10.55 10.55 64000 64000 10/1/2006 9/1/2021 587.83 2503180703 SFR 1 OO REFI Y 11.64 11.64 45000 45000 10/1/2006 9/1/2021 450.44 2503180714 SFR 1 OO REFI Y 8.412 8.412 633750 633750 11/1/2006 10/1/2036 4442.59 2503180718 PUD 1 OO PURCHASE N 7.3 7.3 450000 425000 10/1/2006 9/1/2036 2585.42 2503180726 2-4FAMILY 2 OO REFI Y 7.075 7.075 452250 452250 11/1/2006 10/1/2036 2666.39 2503180729 CONDO 1 OO REFI N 9.25 9.25 180000 180000 10/1/2006 9/1/2036 1387.5 2503180730 CONDO 1 OO REFI Y 12.5 12.5 60000 60000 10/1/2006 9/1/2021 640.35 2503180742 2-4FAMILY 4 OO PURCHASE N 7.75 7.75 577500 577500 10/1/2006 9/1/2036 3729.69 2503180762 SFR 1 OO PURCHASE N 8.125 8.125 314400 314400 10/1/2006 9/1/2036 2128.75 2503180763 SFR 1 OO PURCHASE N 11.45 11.45 78600 78600 10/1/2006 9/1/2021 775.37 2503180779 SFR 1 OO PURCHASE N 7.75 7.75 160000 160000 10/1/2006 9/1/2036 1033.33 2503180780 SFR 1 OO PURCHASE N 11.95 11.95 40000 40000 10/1/2006 9/1/2021 409.91 2503180781 PUD 1 OO PURCHASE N 7.2 7.2 1592500 1592500 10/1/2006 9/1/2036 9555 2503180786 PUD 1 OO PURCHASE N 8 8 244000 244000 10/1/2006 9/1/2036 1626.67 2503180793 PUD 1 OO PURCHASE N 12.5 12.5 61000 61000 10/1/2006 9/1/2021 651.03 2503180811 SFR 1 NOO REFI N 6.99 6.99 348000 348000 10/1/2006 9/1/2036 2027.1 2503180812 SFR 1 OO REFI Y 6.99 6.99 518000 518000 10/1/2006 9/1/2036 3017.35 2503180823 SFR 1 OO REFI N 12.75 12.75 41800 41800 10/1/2006 9/1/2021 454.24 2503180828 SFR 1 OO REFI Y 6.14 6.14 320000 320000 10/1/2006 9/1/2036 1637.33 2503180835 2-4FAMILY 2 OO PURCHASE N 7.25 7.25 667500 667500 10/1/2006 9/1/2036 4032.81 2503180845 SFR 1 OO REFI Y 7.49 7.49 255000 255000 11/1/2006 10/1/2036 1591.63 2503180874 SFR 1 OO PURCHASE N 7.99 7.99 164000 164000 10/1/2006 9/1/2036 1091.97 2503180875 SFR 1 OO PURCHASE N 12.85 12.85 41000 41000 10/1/2006 9/1/2021 448.74 2503180877 SFR 1 OO REFI Y 6.99 6.99 228750 228750 10/1/2006 9/1/2036 1332.47 2503180878 SFR 1 OO REFI N 11.25 11.25 76250 76250 10/1/2006 9/1/2021 740.59 2503180903 CONDO 1 NOO PURCHASE N 6.738 6.738 209930 209930 10/1/2006 9/1/2036 1178.76 2503180957 SFR 1 OO PURCHASE N 7.625 7.625 369800 369800 10/1/2006 9/1/2036 2349.77 2503180966 PUD 1 OO REFI N 6.4 6.4 248000 248000 10/1/2006 9/1/2036 1551.26 2503180967 PUD 1 OO REFI Y 11.55 11.55 62000 62000 10/1/2006 9/1/2021 616.35 2503180998 SFR 1 OO PURCHASE N 8.625 8.625 224800 224800 10/1/2006 9/1/2036 1748.47 2503180999 SFR 1 OO PURCHASE N 12.75 12.75 56200 56200 10/1/2006 9/1/2021 610.72 2503181009 SFR 1 OO REFI Y 12.75 12.75 20650 20650 10/1/2006 9/1/2021 224.4 2503181012 SFR 1 OO REFI N 6.625 6.625 371250 371250 10/1/2006 9/1/2036 2049.61 2503181013 SFR 1 OO REFI Y 12.45 12.45 99000 99000 10/1/2006 9/1/2021 1052.75 2503181020 SFR 1 OO REFI N 7.625 7.625 236250 236250 10/1/2006 9/1/2036 1672.16 2503181021 SFR 1 OO REFI Y 12.75 12.75 78750 78750 10/1/2006 9/1/2021 855.77 2503181029 SFR 1 OO REFI Y 11.45 11.45 44000 44000 10/1/2006 9/1/2021 434.05 2503181045 SFR 1 OO PURCHASE N 6.875 6.875 442500 442500 11/1/2006 10/1/2036 2535.16 2503181055 SFR 1 OO PURCHASE N 7.6 7.6 159900 159900 11/1/2006 10/1/2036 1129.01 2503181067 2-4FAMILY 2 OO PURCHASE N 8.99 8.99 299250 299250 10/1/2006 9/1/2036 2241.88 2503181068 2-4FAMILY 2 OO PURCHASE N 12.85 12.85 99750 99750 10/1/2006 9/1/2021 1091.75 2503181086 2-4FAMILY 4 NOO REFI Y 9.1 9.1 247500 247500 11/1/2006 10/1/2036 1876.88 2503181103 SFR 1 OO PURCHASE N 6.75 6.75 400000 400000 10/1/2006 9/1/2036 2250 2503181104 SFR 1 OO PURCHASE N 10.29 10.29 100000 100000 10/1/2006 9/1/2021 899.08 2503181117 HI-RISE 1 OO PURCHASE N 7.9 7.9 461250 461250 11/1/2006 10/1/2036 3036.56 2503181152 SFR 1 OO PURCHASE N 6.74 6.74 428000 428000 10/1/2006 9/1/2036 2403.93 2503181153 SFR 1 OO PURCHASE N 11.1 11.1 107000 107000 10/1/2006 9/1/2021 1027.08 2503181170 SFR 1 OO REFI N 7.25 7.25 343000 343000 10/1/2006 9/1/2036 2072.29 2503181171 SFR 1 OO REFI Y 13 13 147000 147000 10/1/2006 9/1/2021 1626.11 2503181183 SFR 1 OO REFI Y 6.75 6.75 397500 397500 10/1/2006 9/1/2036 2235.94 2503181184 SFR 1 OO REFI Y 10.8 10.8 132500 132500 10/1/2006 9/1/2021 1241.85 2503181185 SFR 1 NOO PURCHASE N 6.25 6.25 123750 123750 10/1/2006 9/1/2036 644.53 2503181186 SFR 1 NOO PURCHASE N 11.5 11.5 24750 24750 10/1/2006 9/1/2021 245.1 2503181200 PUD 1 OO PURCHASE N 7.4 7.4 186650 186650 11/1/2006 10/1/2036 1151.01 2503181202 SFR 1 OO PURCHASE N 6.75 6.75 680000 680000 10/1/2006 9/1/2036 3825 2503181203 SFR 1 OO PURCHASE N 12 12 170000 170000 10/1/2006 9/1/2021 1748.64 2503181215 SFR 1 OO PURCHASE N 6.625 6.625 273000 273000 11/1/2006 10/1/2036 1507.19 2503181218 SFR 1 OO REFI Y 7.125 7.125 360000 360000 10/1/2006 9/1/2036 2137.5 2503181228 SFR 1 OO REFI N 5.875 5.875 400000 400000 10/1/2006 9/1/2036 1958.33 2503181245 SFR 1 NOO REFI N 6.74 6.74 203250 203250 10/1/2006 9/1/2036 1141.59 2503181246 SFR 1 NOO REFI Y 11.65 11.65 54200 54200 10/1/2006 9/1/2021 542.95 2503181257 SFR 1 NOO PURCHASE N 7.45 7.45 206500 206500 10/1/2006 9/1/2036 1282.02 2503181268 SFR 1 OO REFI N 7.625 7.625 184000 184000 10/1/2006 9/1/2036 1302.34 2503181274 PUD 1 OO REFI Y 9.79 9.79 52000 52000 10/1/2006 9/1/2021 448.29 2503181314 SFR 1 OO REFI N 6.55 6.55 576000 576000 10/1/2006 9/1/2036 3144 2503181315 SFR 1 OO REFI Y 10.75 10.75 144000 144000 10/1/2006 9/1/2021 1344.21 2503181324 SFR 1 OO REFI N 5.75 5.75 280000 280000 10/1/2006 9/1/2036 1341.67 2503181351 CONDO 1 NOO REFI N 7.125 7.125 176395 176395 11/1/2006 10/1/2036 1047.35 2503181370 PUD 1 OO PURCHASE N 7.75 7.75 251550 251550 10/1/2006 9/1/2036 1624.59 2503181387 2-4FAMILY 3 OO PURCHASE N 9.2 9.2 252350 252350 11/1/2006 10/1/2036 2066.88 2503181391 PUD 1 OO PURCHASE N 8.17 8.17 600000 600000 10/1/2006 9/1/2036 4085 2503181392 PUD 1 OO PURCHASE N 12.84 12.84 200000 200000 10/1/2006 9/1/2021 2187.41 2503181398 SFR 1 OO REFI Y 6.375 6.375 345000 345000 10/1/2006 9/1/2036 1832.81 2503181407 SFR 1 OO PURCHASE N 7.5 7.5 454950 454950 10/1/2006 9/1/2036 2843.44 2503181418 PUD 1 NOO PURCHASE N 6.8 6.8 171710 171710 10/1/2006 9/1/2036 973.02 2503181419 PUD 1 NOO PURCHASE N 12.09 12.09 61325 61325 10/1/2006 9/1/2021 635.05 2503181434 SFR 1 OO REFI Y 6.25 6.25 274000 274000 11/1/2006 10/1/2036 1555.61 2503181481 PUD 1 OO REFI Y 7.4 7.4 288000 288000 10/1/2006 9/1/2036 1776 2503181493 SFR 1 NOO REFI N 6.75 6.75 112000 112000 10/1/2006 9/1/2036 630 2503181495 CONDO 1 OO PURCHASE N 7.375 7.375 297550 297550 11/1/2006 10/1/2036 1828.69 2503181526 SFR 1 OO REFI N 6.75 6.75 360000 360000 11/1/2006 10/1/2036 2025 2503181528 SFR 1 OO REFI Y 10.725 10.725 20000 20000 10/1/2006 9/1/2021 186.32 2503181603 SFR 1 OO REFI Y 10.89 10.89 32500 32500 10/1/2006 9/1/2021 306.81 2503181607 SFR 1 NOO REFI N 6.325 6.325 187500 187500 10/1/2006 9/1/2036 1163.63 2503181612 PUD 1 OO PURCHASE N 7.5 7.5 239900 239900 10/1/2006 9/1/2036 1499.37 2503181618 PUD 1 OO PURCHASE N 11.55 11.55 59950 59950 10/1/2006 9/1/2021 595.97 2503181638 SFR 1 OO PURCHASE N 6.89 6.89 256000 256000 10/1/2006 9/1/2036 1469.87 2503181639 SFR 1 OO PURCHASE N 12.485 12.485 64000 64000 10/1/2006 9/1/2021 682.3 2503181647 SFR 1 OO REFI N 6.95 6.95 432000 432000 10/1/2006 9/1/2036 2502 2503181648 SFR 1 OO PURCHASE N 6.4 6.4 165000 165000 10/1/2006 9/1/2036 880 2503181649 SFR 1 OO PURCHASE N 10.99 10.99 55000 55000 10/1/2006 9/1/2021 523.36 2503181681 SFR 1 NOO REFI N 6.65 6.65 112500 112500 11/1/2006 10/1/2036 623.44 2503181686 2-4FAMILY 2 OO PURCHASE N 7.425 7.425 196000 196000 10/1/2006 9/1/2036 1212.75 2503181687 2-4FAMILY 2 OO PURCHASE N 12.5 12.5 49000 49000 10/1/2006 9/1/2021 522.96 2503181691 CONDO 1 OO PURCHASE N 6.625 6.625 299250 299250 10/1/2006 9/1/2036 1652.11 2503181707 SFR 1 NOO REFI N 6.875 6.875 166000 166000 11/1/2006 10/1/2036 951.04 2503181728 2-4FAMILY 2 OO PURCHASE N 6.375 6.375 423750 423750 11/1/2006 10/1/2036 2251.17 2503181765 SFR 1 OO REFI Y 6.75 6.75 637500 637500 11/1/2006 10/1/2036 3585.94 2503181814 SFR 1 OO PURCHASE N 6.82 6.82 647500 647500 11/1/2006 10/1/2036 3679.96 2503181824 2-4FAMILY 3 OO PURCHASE N 8.75 8.75 292500 292500 10/1/2006 9/1/2036 2132.81 2503181825 2-4FAMILY 3 OO PURCHASE N 11.875 11.875 97500 97500 10/1/2006 9/1/2021 993.53 2503181831 SFR 1 OO REFI Y 7.375 7.375 175200 175200 10/1/2006 9/1/2036 1210.06 2503181846 CONDO 1 OO PURCHASE N 8 8 173600 173600 10/1/2006 9/1/2036 1157.33 2503181847 CONDO 1 OO PURCHASE N 13.5 13.5 57900 57900 10/1/2006 9/1/2021 663.19 2503181860 SFR 1 OO PURCHASE N 7.45 7.45 212750 212750 11/1/2006 10/1/2036 1480.3 2503181865 SFR 1 OO PURCHASE N 7.234 7.234 176250 176250 10/1/2006 9/1/2036 1125.36 2503181882 SFR 1 OO PURCHASE N 7.5 7.5 712500 712500 10/1/2006 9/1/2036 4453.13 2503181888 SFR 1 OO PURCHASE N 11.74 11.74 58750 58750 10/1/2006 9/1/2021 592.58 2503181889 SFR 1 OO PURCHASE N 6.75 6.75 198750 198750 10/1/2006 9/1/2036 1199.17 2503181890 SFR 1 OO PURCHASE N 12.25 12.25 39750 39750 10/1/2006 9/1/2021 416.54 2503181894 SFR 1 OO REFI N 11.95 11.95 88500 88500 10/1/2006 9/1/2021 906.92 2503181898 PUD 1 OO REFI Y 6.75 6.75 71250 71250 11/1/2006 10/1/2036 400.78 2503181899 CONDO 1 OO PURCHASE N 7.9 7.9 188000 188000 11/1/2006 10/1/2036 1237.67 2503181900 CONDO 1 OO PURCHASE N 11 11 47000 47000 11/1/2006 10/1/2021 447.59 2503181963 SFR 1 OO PURCHASE N 10.15 10.15 31750 31750 10/1/2006 9/1/2021 282.15 2503181970 CONDO 1 OO REFI N 6.25 6.25 272000 272000 11/1/2006 10/1/2036 1416.67 2503181971 SFR 1 OO PURCHASE N 7.4 7.4 456000 456000 11/1/2006 10/1/2036 2812 2503181974 SFR 1 NOO REFI N 8.125 8.125 219200 219200 10/1/2006 9/1/2036 1484.17 2503181975 SFR 1 NOO REFI Y 12.75 12.75 41100 41100 10/1/2006 9/1/2021 446.63 2503181981 SFR 1 OO REFI Y 6.375 6.375 645000 645000 11/1/2006 10/1/2036 3426.56 2503181987 2-4FAMILY 2 NOO PURCHASE N 6.75 6.75 300000 300000 10/1/2006 9/1/2036 1687.5 2503182025 SFR 1 OO REFI N 6.85 6.85 280000 280000 10/1/2006 9/1/2036 1834.73 2503182043 SFR 1 NOO REFI Y 8.25 8.25 540000 540000 11/1/2006 10/1/2036 3712.5 2503182046 CONDO 1 2ND PURCHASE N 7.75 7.75 171200 171200 11/1/2006 10/1/2036 1226.5 2503182048 SFR 1 OO REFI N 7.5 7.5 345000 345000 10/1/2006 9/1/2036 2412.29 2503182062 HI-RISE 1 OO PURCHASE N 7.99 7.99 348000 348000 10/1/2006 9/1/2036 2317.1 2503182063 HI-RISE 1 OO PURCHASE N 10.8 10.8 87000 87000 10/1/2006 9/1/2021 815.4 2503182064 SFR 1 NOO PURCHASE N 8.125 8.125 214400 214400 11/1/2006 10/1/2036 1510.9 2503182204 SFR 1 NOO REFI Y 7.81 7.81 150000 150000 11/1/2006 10/1/2036 1080.84 2503182207 SFR 1 OO PURCHASE N 8.17 8.17 368000 368000 11/1/2006 10/1/2036 2505.47 2503182215 TOWNHOUSE 1 NOO PURCHASE N 6.5 6.5 81050 81050 10/1/2006 9/1/2036 512.29 2503182216 TOWNHOUSE 1 NOO PURCHASE N 11.99 11.99 21600 21600 10/1/2006 9/1/2021 222.01 2503182225 SFR 1 OO PURCHASE N 7.25 7.25 360000 360000 10/1/2006 9/1/2036 2175 2503182226 SFR 1 OO PURCHASE N 11.5 11.5 90000 90000 10/1/2006 9/1/2021 891.26 2503182256 SFR 1 OO REFI Y 5.75 5.75 460000 460000 10/1/2006 9/1/2036 2204.17 2503182262 SFR 1 OO PURCHASE N 7.6 7.6 216000 216000 11/1/2006 10/1/2036 1368 2503182270 2-4FAMILY 2 OO REFI Y 6.75 6.75 200000 200000 10/1/2006 9/1/2036 1297.2 2503182293 SFR 1 NOO PURCHASE N 6.55 6.55 136500 136500 10/1/2006 9/1/2036 745.06 2503182294 SFR 1 NOO PURCHASE N 12.65 12.65 39000 39000 10/1/2006 9/1/2021 420.78 2503182295 SFR 1 OO REFI Y 7.25 7.25 225000 225000 10/1/2006 9/1/2036 1359.38 2503182302 SFR 1 OO REFI N 7.25 7.25 524000 524000 11/1/2006 10/1/2036 3351.88 2503182323 SFR 1 OO REFI N 6.55 6.55 255000 255000 10/1/2006 9/1/2036 1391.88 2503182324 SFR 1 OO REFI Y 11.1 11.1 85000 85000 10/1/2006 9/1/2021 815.9 2503182327 SFR 1 OO PURCHASE N 7.625 7.625 194250 194250 11/1/2006 10/1/2036 1234.3 2503182338 SFR 1 OO PURCHASE N 7.7 7.7 134550 134550 10/1/2006 9/1/2036 959.29 2503182339 SFR 1 OO PURCHASE N 13 13 44850 44850 10/1/2006 9/1/2021 496.13 2503182341 SFR 1 OO REFI N 6.99 6.99 463000 463000 10/1/2006 9/1/2036 2696.98 2503182342 SFR 1 OO REFI Y 11.625 11.625 135500 135500 10/1/2006 9/1/2021 1354.78 2503182357 SFR 1 OO REFI Y 7.125 7.125 273750 273750 10/1/2006 9/1/2036 1625.39 2503182358 SFR 1 OO REFI Y 12.875 12.875 36500 36500 10/1/2006 9/1/2021 400.2 2503182361 SFR 1 OO REFI Y 6.875 6.875 186000 186000 10/1/2006 9/1/2036 1221.89 3900014067 PUD 1 2ND PURCHASE N 7.625 7.625 144000 138312.56 11/1/2002 10/1/2032 1019.22 3900014068 PUD 1 OO PURCHASE N 7.5 7.5 105450 100873.4 8/1/2002 7/1/2032 737.32 3900014069 SFR 1 OO PURCHASE N 8.25 8.25 74480 71700 9/1/2002 8/1/2032 559.54 2503182372 CONDO 1 NOO PURCHASE N 7.192 7.192 112400 112400 11/1/2006 10/1/2036 673.65 2503182373 SFR 1 OO REFI N 10.94 10.94 80000 80000 10/1/2006 9/1/2021 758.23 2503182375 SFR 1 OO PURCHASE N 6.75 6.75 372000 372000 10/1/2006 9/1/2036 2092.5 2503182376 SFR 1 OO PURCHASE N 12.125 12.125 93000 93000 10/1/2006 9/1/2021 965.57 2503182378 PUD 1 OO REFI Y 8.1 8.1 202500 202500 10/1/2006 9/1/2036 1366.88 2503182392 SFR 1 OO PURCHASE N 7.25 7.25 157600 157600 10/1/2006 9/1/2036 952.17 2503182393 PUD 1 OO PURCHASE N 7.75 7.75 305800 305800 10/1/2006 9/1/2036 1974.96 2503182396 PUD 1 OO PURCHASE N 12.375 12.375 101950 101950 10/1/2006 9/1/2021 1078.19 2503182415 CONDO 1 OO REFI N 6.7 6.7 334000 334000 10/1/2006 9/1/2036 1864.83 2503182423 SFR 1 NOO PURCHASE N 7.25 7.25 453750 453750 11/1/2006 10/1/2036 3013.28 2503182441 SFR 1 NOO PURCHASE N 6.875 6.875 252000 252000 11/1/2006 10/1/2036 1443.75 2503182476 CONDO 1 OO PURCHASE N 5.875 5.875 320550 320550 11/1/2006 10/1/2036 1569.36 2503182510 SFR 1 OO REFI Y 7.25 7.25 320000 320000 11/1/2006 10/1/2036 1933.33 2503182515 CONDO 1 OO PURCHASE N 6.99 6.99 176000 176000 10/1/2006 9/1/2036 1025.2 2503182518 CONDO 1 OO PURCHASE N 13.2 13.2 44000 44000 10/1/2006 9/1/2021 493.62 2503182529 CONDO 1 OO PURCHASE N 7.625 7.625 224900 224900 10/1/2006 9/1/2036 1429.05 3900014072 SFR 1 OO PURCHASE N 8.5 8.5 98925 95421.82 11/1/2002 10/1/2017 760.65 3900014073 SFR 1 OO REFI Y 6.625 6.625 108000 87668.86 10/1/2002 9/1/2017 948.23 3900014074 SFR 1 NOO PURCHASE N 8.25 8.25 120000 115723.54 11/1/2002 10/1/2032 901.52 2503182530 CONDO 1 OO PURCHASE N 13.875 13.875 75000 75000 10/1/2006 9/1/2021 881.24 2503182566 SFR 1 OO PURCHASE N 6.75 6.75 272250 272250 10/1/2006 9/1/2036 1642.64 2503182567 SFR 1 OO PURCHASE N 11.25 11.25 90750 90750 10/1/2006 9/1/2021 881.42 2503182595 CONDO 1 OO REFI N 7.25 7.25 396000 396000 11/1/2006 10/1/2036 2701.42 2503182601 SFR 1 OO PURCHASE N 10.74 10.74 38500 38500 10/1/2006 9/1/2021 359.1 2503182608 SFR 1 OO PURCHASE N 7.125 7.125 164100 164100 10/1/2006 9/1/2036 1105.57 2503182609 SFR 1 OO PURCHASE N 10.5 10.5 54800 54800 10/1/2006 9/1/2021 501.28 2503182634 SFR 1 OO PURCHASE N 6.875 6.875 382500 382500 10/1/2006 9/1/2036 2191.41 2503182636 SFR 1 OO PURCHASE N 7.031 7.031 920000 920000 11/1/2006 10/1/2036 5390.43 2503182640 SFR 1 OO PURCHASE N 11.875 11.875 127500 127500 10/1/2006 9/1/2021 1299.23 2503182678 SFR 1 OO PURCHASE N 6.99 6.99 376000 376000 10/1/2006 9/1/2036 2190.2 2503182679 SFR 1 OO PURCHASE N 12.625 12.625 47000 47000 10/1/2006 9/1/2021 506.17 2503182697 PUD 1 2ND PURCHASE N 8 8 244400 244400 10/1/2006 9/1/2036 1629.33 2503182715 PUD 1 OO REFI Y 7 7 686000 686000 10/1/2006 9/1/2036 4001.67 2503182718 CONDO 1 OO PURCHASE N 7.2 7.2 184000 184000 10/1/2006 9/1/2036 1248.97 2503182719 CONDO 1 OO PURCHASE N 12.65 12.65 46000 46000 10/1/2006 9/1/2021 496.3 3900014098 SFR 1 OO REFI Y 8.875 8.875 76000 73172.6 8/1/2002 7/1/2032 604.69 3900014100 SFR 1 OO REFI Y 7.875 7.875 90700 85835.68 8/1/2002 7/1/2032 657.64 3900014101 SFR 1 OO REFI N 8 8 80500 55184.47 8/1/2002 7/1/2017 769.3 3900014102 SFR 1 OO PURCHASE N 8.625 8.625 108200 104372.86 8/1/2002 7/1/2032 841.57 2503182721 SFR 1 OO PURCHASE N 7.705 7.705 148300 148300 10/1/2006 9/1/2036 952.21 2503182722 SFR 1 OO PURCHASE N 12.39 12.39 37100 37100 10/1/2006 9/1/2021 392.79 2503182726 SFR 1 OO REFI N 6.75 6.75 212000 212000 11/1/2006 10/1/2036 1375.03 2503182733 SFR 1 OO REFI N 6.95 6.95 93000 93000 10/1/2006 9/1/2036 615.61 2503182753 CONDO 1 OO PURCHASE N 7.1 7.1 296000 296000 10/1/2006 9/1/2036 1751.33 2503182772 SFR 1 2ND REFI Y 7.25 7.25 332500 332500 10/1/2006 9/1/2036 2008.85 2503182773 SFR 1 2ND REFI Y 13.3 13.3 118750 118750 10/1/2006 9/1/2021 1341.51 2503182775 PUD 1 OO PURCHASE N 7 7 198750 198750 11/1/2006 10/1/2036 1159.38 2503182793 SFR 1 OO REFI Y 7.05 7.05 525000 525000 11/1/2006 10/1/2036 3084.37 2503182818 2-4FAMILY 2 OO REFI Y 6.99 6.99 405000 405000 10/1/2006 9/1/2036 2513.86 2503182822 PUD 1 2ND PURCHASE N 7.45 7.45 896600 896600 10/1/2006 9/1/2036 5566.39 2503182828 CONDO 1 NOO PURCHASE N 7.317 7.317 163400 163400 11/1/2006 10/1/2036 996.33 2503182838 SFR 1 OO REFI N 6.8 6.8 195000 195000 11/1/2006 10/1/2036 1105 2503182847 SFR 1 OO PURCHASE N 8.5 8.5 178500 178500 11/1/2006 10/1/2036 1264.38 2503182852 SFR 1 OO REFI Y 6.625 6.625 445000 445000 10/1/2006 9/1/2036 2456.77 2503182868 HI-RISE 1 OO REFI Y 6.875 6.875 147000 147000 11/1/2006 10/1/2036 965.69 2503182886 SFR 1 OO REFI Y 5.68 5.68 250000 250000 11/1/2006 10/1/2036 1183.33 2503182894 2-4FAMILY 3 OO PURCHASE N 9.625 9.625 300000 300000 10/1/2006 9/1/2036 2406.25 2503182910 CONDO 1 NOO REFI Y 7.25 7.25 330000 330000 11/1/2006 10/1/2036 1993.75 2503182930 PUD 1 OO PURCHASE N 6.5 6.5 300000 300000 11/1/2006 10/1/2036 1625 2503182936 SFR 1 OO REFI Y 6.125 6.125 525000 525000 11/1/2006 10/1/2036 2679.69 2503182937 2-4FAMILY 3 OO PURCHASE N 8 8 348750 348750 11/1/2006 10/1/2036 2325 2503182940 2-4FAMILY 2 NOO REFI Y 7.11 7.11 193600 193600 11/1/2006 10/1/2036 1147.08 2503182955 PUD 1 OO REFI Y 8.925 8.925 315000 315000 11/1/2006 10/1/2036 2342.81 2503183024 PUD 1 OO PURCHASE N 6.875 6.875 356250 356250 11/1/2006 10/1/2036 2041.02 2503183037 2-4FAMILY 2 NOO REFI Y 8.5 8.5 230000 230000 11/1/2006 10/1/2036 1629.17 2503183047 2-4FAMILY 3 OO PURCHASE N 8.5 8.5 243750 243750 11/1/2006 10/1/2036 1726.56 2503183055 SFR 1 OO PURCHASE N 8.2 8.2 156000 156000 11/1/2006 10/1/2036 1108.17 2503183058 2-4FAMILY 2 OO REFI Y 8.5 8.5 304000 304000 11/1/2006 10/1/2036 2153.33 2503183061 SFR 1 OO PURCHASE N 7.25 7.25 420000 420000 11/1/2006 10/1/2036 2686.62 3900014104 SFR 1 OO REFI N 5.875 5.875 146500 118983.06 10/1/2002 9/1/2017 1226.38 3900014105 SFR 1 NOO REFI Y 6.375 6.375 89600 84109.66 11/1/2002 10/1/2032 558.99 3900014106 SFR 1 NOO REFI Y 6.875 6.875 99400 94261.96 10/1/2002 9/1/2032 652.99 2503183074 SFR 1 OO PURCHASE N 6.75 6.75 240000 240000 11/1/2006 10/1/2036 1350 2503183078 SFR 1 OO PURCHASE N 7.25 7.25 296250 296250 11/1/2006 10/1/2036 1789.84 2503183158 SFR 1 NOO REFI N 7.75 7.75 228750 228750 11/1/2006 10/1/2036 1477.34 2503183164 SFR 1 OO PURCHASE N 6.25 6.25 439200 439200 10/1/2006 9/1/2036 2287.5 2503183195 SFR 1 OO PURCHASE N 7.28 7.28 480000 480000 11/1/2006 10/1/2036 3284.22 2503183201 SFR 1 OO PURCHASE N 7.067 7.067 195000 195000 11/1/2006 10/1/2036 1148.39 2503183210 HI-RISE 1 OO PURCHASE N 7.625 7.625 636000 636000 11/1/2006 10/1/2036 4041.25 2503183211 CONDO 1 OO PURCHASE N 6.75 6.75 562500 562500 11/1/2006 10/1/2036 3164.06 2503183215 SFR 1 NOO REFI Y 7.2 7.2 378750 378750 11/1/2006 10/1/2036 2272.5 2503183216 SFR 1 OO REFI Y 6.9 6.9 247500 247500 11/1/2006 10/1/2036 1520.1 2503183238 SFR 1 OO REFI Y 7.75 7.75 447000 447000 10/1/2006 9/1/2036 2886.88 2503183248 SFR 1 OO REFI N 6.99 6.99 138750 138750 11/1/2006 10/1/2036 808.22 2503183261 PUD 1 OO PURCHASE N 7.275 7.275 180700 180700 11/1/2006 10/1/2036 1095.49 2503183269 PUD 1 OO PURCHASE N 8.538 8.538 568000 568000 11/1/2006 10/1/2036 4041.32 2503183272 SFR 1 OO PURCHASE N 5.75 5.75 256000 256000 10/1/2006 9/1/2036 1493.95 2503183274 PUD 1 OO REFI Y 11.45 11.45 20000 20000 10/1/2006 9/1/2021 197.3 2503183308 CONDO 1 NOO PURCHASE N 6.99 6.99 179600 179600 10/1/2006 9/1/2036 1114.79 2503183309 CONDO 1 NOO PURCHASE N 12.5 12.5 47900 47900 10/1/2006 9/1/2021 511.22 2503183336 SFR 1 NOO PURCHASE N 6.375 6.375 419916 419916 10/1/2006 9/1/2036 2230.8 2503183337 SFR 1 NOO PURCHASE N 12.2 12.2 111950 111950 10/1/2006 9/1/2021 1168.8 2503183349 SFR 1 OO PURCHASE N 7.15 7.15 348000 348000 11/1/2006 10/1/2036 2073.5 2503183389 CONDO 1 OO PURCHASE N 8.8 8.8 305900 305900 11/1/2006 10/1/2036 2312.6 2503183391 SFR 1 OO REFI Y 6.625 6.625 500000 500000 10/1/2006 9/1/2036 2760.42 2503183392 SFR 1 OO REFI Y 10.55 10.55 120000 120000 10/1/2006 9/1/2021 1102.18 2503183408 2-4FAMILY 2 NOO PURCHASE N 8.125 8.125 340000 340000 11/1/2006 10/1/2036 2524.49 2503183412 SFR 1 OO PURCHASE N 7.75 7.75 216700 216700 10/1/2006 9/1/2036 1399.52 2503183425 PUD 1 OO REFI Y 7.875 7.875 203200 203200 11/1/2006 10/1/2036 1333.5 2503183428 SFR 1 OO REFI N 6.25 6.25 412500 412500 11/1/2006 10/1/2036 2148.44 2503183484 2-4FAMILY 4 OO PURCHASE N 9.125 9.125 431250 431250 10/1/2006 9/1/2036 3279.3 2503183485 2-4FAMILY 4 OO PURCHASE N 12.99 12.99 143750 143750 10/1/2006 9/1/2021 1589.04 2503183511 CONDO 1 OO PURCHASE N 6.99 6.99 501375 501375 10/1/2006 9/1/2036 2920.51 2503183512 PUD 1 OO PURCHASE N 7.65 7.65 304000 304000 11/1/2006 10/1/2036 1938 2503183520 CONDO 1 OO PURCHASE N 12.5 12.5 100275 100275 10/1/2006 9/1/2021 1070.19 2503183546 SFR 1 OO PURCHASE N 7.375 7.375 536000 536000 10/1/2006 9/1/2036 3294.17 2503183566 SFR 1 NOO PURCHASE N 6.99 6.99 262500 262500 11/1/2006 10/1/2036 1529.06 2503183567 PUD 1 OO PURCHASE N 6.35 6.35 447200 447200 10/1/2006 9/1/2036 2366.43 2503183568 PUD 1 OO PURCHASE N 10.7 10.7 111800 111800 10/1/2006 9/1/2021 1039.43 2503183569 CONDO 1 NOO REFI N 7 7 105000 105000 11/1/2006 10/1/2036 698.57 2503183571 PUD 1 OO PURCHASE N 6.56 6.56 725000 725000 11/1/2006 10/1/2036 4275.59 2503183656 CONDO 1 OO PURCHASE N 6.115 6.115 139500 139500 11/1/2006 10/1/2036 710.87 2503183664 SFR 1 OO PURCHASE N 6.999 6.999 220500 220500 11/1/2006 10/1/2036 1286.07 2503183669 SFR 1 2ND PURCHASE N 7 7 1000000 1000000 11/1/2006 10/1/2036 5833.33 2503183684 SFR 1 OO PURCHASE N 7.5 7.5 172000 172000 10/1/2006 9/1/2036 1202.65 2503183714 SFR 1 NOO PURCHASE N 7.45 7.45 120000 120000 11/1/2006 10/1/2036 785.25 2503183716 SFR 1 OO REFI Y 7.45 7.45 182750 182750 11/1/2006 10/1/2036 1271.56 2503183727 SFR 1 OO PURCHASE N 6.5 6.5 492000 492000 11/1/2006 10/1/2036 2665 2503183740 SFR 1 OO PURCHASE N 6.95 6.95 244000 244000 11/1/2006 10/1/2036 1413.17 2503183748 2-4FAMILY 3 OO PURCHASE N 6.75 6.75 413400 413400 11/1/2006 10/1/2036 2325.38 2503183770 SFR 1 OO REFI Y 7.875 7.875 171000 171000 11/1/2006 10/1/2036 1122.19 2503183784 SFR 1 NOO REFI Y 6.25 6.25 430000 430000 10/1/2006 9/1/2036 2239.58 2503183795 SFR 1 OO PURCHASE N 7.315 7.315 160000 160000 11/1/2006 10/1/2036 975.33 2503183865 2-4FAMILY 2 OO PURCHASE N 8.04 8.04 375000 375000 11/1/2006 10/1/2036 2512.5 2503183893 SFR 1 OO REFI Y 7.25 7.25 337500 337500 10/1/2006 9/1/2036 2039.06 2503183922 SFR 1 NOO PURCHASE N 7.99 7.99 73000 73000 11/1/2006 10/1/2036 535.14 2503183939 SFR 1 OO PURCHASE N 7.75 7.75 140000 140000 11/1/2006 10/1/2036 904.17 2503183960 CONDO 1 OO PURCHASE N 8 8 82800 82800 11/1/2006 10/1/2036 607.56 2503183962 PUD 1 OO PURCHASE N 7.1 7.1 476250 476250 11/1/2006 10/1/2036 2817.81 2503183966 SFR 1 OO PURCHASE N 6.5 6.5 232000 232000 11/1/2006 10/1/2036 1256.67 2503183982 SFR 1 OO PURCHASE N 7 7 216000 216000 11/1/2006 10/1/2036 1260 2503183994 SFR 1 OO REFI Y 6.75 6.75 350000 350000 11/1/2006 10/1/2036 1968.75 2503184003 2-4FAMILY 2 NOO PURCHASE N 7.875 7.875 307500 307500 11/1/2006 10/1/2036 2229.59 2503184024 SFR 1 OO PURCHASE N 7.45 7.45 392000 392000 11/1/2006 10/1/2036 2433.67 2503184045 SFR 1 OO REFI Y 6.75 6.75 400000 400000 11/1/2006 10/1/2036 2250 2503184048 SFR 1 OO REFI N 6.875 6.875 356250 356250 11/1/2006 10/1/2036 2041.02 2503184074 PUD 1 OO REFI Y 6.375 6.375 775000 775000 11/1/2006 10/1/2036 4117.19 2503184097 SFR 1 OO REFI N 9.4 9.4 104000 104000 11/1/2006 10/1/2036 814.67 2503184117 CONDO 1 OO PURCHASE N 7.025 7.025 177650 177650 11/1/2006 10/1/2036 1184.89 2503184231 PUD 1 2ND PURCHASE N 6.55 6.55 213675 213675 11/1/2006 10/1/2036 1166.31 2503184255 SFR 1 OO PURCHASE N 7.25 7.25 471750 471750 11/1/2006 10/1/2036 2850.16 2503184266 SFR 1 OO PURCHASE N 6.95 6.95 218400 218400 11/1/2006 10/1/2036 1264.9 2503184282 PUD 1 OO REFI N 7.675 7.675 380000 380000 11/1/2006 10/1/2036 2430.42 2503184287 CONDO 1 OO REFI Y 7.25 7.25 165000 165000 11/1/2006 10/1/2036 1125.59 2503184307 SFR 1 OO PURCHASE N 7.95 7.95 513750 513750 11/1/2006 10/1/2036 3751.82 2503184325 PUD 1 OO REFI Y 6.97 6.97 450000 450000 11/1/2006 10/1/2036 2984.8 2503184415 SFR 1 OO PURCHASE N 6.25 6.25 438000 438000 11/1/2006 10/1/2036 2281.25 2503184430 CONDO 1 NOO PURCHASE N 6.99 6.99 202425 202425 11/1/2006 10/1/2036 1179.13 2503184486 SFR 1 OO REFI N 7.55 7.55 277500 277500 11/1/2006 10/1/2036 1949.83 2503184489 SFR 1 NOO PURCHASE N 7.875 7.875 83900 83900 11/1/2006 10/1/2036 550.59 2503184499 SFR 1 OO REFI Y 5.745 5.745 283700 283700 11/1/2006 10/1/2036 1358.21 2503184501 SFR 1 OO REFI N 6.45 6.45 138750 138750 11/1/2006 10/1/2036 745.78 2503184537 2-4FAMILY 2 OO REFI Y 6.875 6.875 150000 150000 11/1/2006 10/1/2036 859.38 2503184543 SFR 1 OO REFI Y 6.375 6.375 261000 261000 11/1/2006 10/1/2036 1386.56 2503184557 CONDO 1 NOO REFI Y 6.625 6.625 270000 270000 11/1/2006 10/1/2036 1490.63 2503184568 SFR 1 OO PURCHASE N 7.75 7.75 260800 260800 11/1/2006 10/1/2036 1764.62 2503184632 SFR 1 OO PURCHASE N 6.75 6.75 277500 277500 11/1/2006 10/1/2036 1560.94 2503184674 SFR 1 OO PURCHASE N 6.125 6.125 217500 217500 11/1/2006 10/1/2036 1110.16 2503184679 SFR 1 NOO PURCHASE N 7 7 150000 150000 11/1/2006 10/1/2036 997.95 2503184696 PUD 1 OO PURCHASE N 7.5 7.5 525000 525000 11/1/2006 10/1/2036 3281.25 2503184716 SFR 1 OO REFI Y 7.625 7.625 442000 442000 11/1/2006 10/1/2036 2808.54 2503184736 SFR 1 OO REFI Y 6.5 6.5 252000 252000 11/1/2006 10/1/2036 1365 2503184740 SFR 1 OO PURCHASE N 6.675 6.675 318400 318400 11/1/2006 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1012.7 2503185194 SFR 1 OO REFI Y 6.25 6.25 350000 350000 11/1/2006 10/1/2036 1822.92 2503185208 SFR 1 OO PURCHASE N 6.375 6.375 327750 327750 11/1/2006 10/1/2036 1741.17 2503185241 SFR 1 OO PURCHASE N 6.375 6.375 219950 219950 11/1/2006 10/1/2036 1168.48 2503185272 SFR 1 OO PURCHASE N 6.325 6.325 562500 562500 11/1/2006 10/1/2036 2964.84 2503185348 PUD 1 OO REFI Y 6.99 6.99 198750 198750 11/1/2006 10/1/2036 1233.65 2503185429 SFR 1 OO PURCHASE N 6.75 6.75 319200 319200 11/1/2006 10/1/2036 1795.5 2503185458 SFR 1 OO PURCHASE N 7.35 7.35 667500 667500 11/1/2006 10/1/2036 4088.44 2503185476 CONDO 1 OO PURCHASE N 8.5 8.5 209920 209920 11/1/2006 10/1/2036 1486.93 2503185590 HI-RISE 1 OO PURCHASE N 7.375 7.375 424000 424000 11/1/2006 10/1/2036 2928.46 2503185600 2-4FAMILY 3 OO REFI N 7.63 7.63 431250 431250 11/1/2006 10/1/2036 3053.84 2503185606 SFR 1 OO PURCHASE N 6.85 6.85 356000 356000 11/1/2006 10/1/2036 2032.17 2503185640 2-4FAMILY 2 NOO REFI Y 8.29 8.29 97500 97500 11/1/2006 10/1/2036 735.23 2503185736 SFR 1 NOO REFI Y 7.6 7.6 341000 341000 11/1/2006 10/1/2036 2159.67 2503185742 SFR 1 OO REFI Y 6.625 6.625 276000 276000 11/1/2006 10/1/2036 1523.75 2503185822 SFR 1 OO PURCHASE N 6.5 6.5 496875 496875 11/1/2006 10/1/2036 2691.41 2503185890 SFR 1 OO REFI Y 6.75 6.75 210000 210000 11/1/2006 10/1/2036 1181.25 2503185918 SFR 1 NOO PURCHASE N 6.5 6.5 123750 123750 11/1/2006 10/1/2036 670.31 2503185952 SFR 1 OO PURCHASE N 6.25 6.25 349650 349650 11/1/2006 10/1/2036 1821.09 2503186102 SFR 1 NOO PURCHASE N 7.5 7.5 359910 359910 11/1/2006 10/1/2036 2516.54 2503186173 SFR 1 OO PURCHASE N 6.5 6.5 105600 105600 11/1/2006 10/1/2036 667.46 2503186179 SFR 1 OO REFI Y 7.195 7.195 478400 478400 11/1/2006 10/1/2036 3245.7 2503186301 SFR 1 NOO REFI Y 7.5 7.5 195000 195000 11/1/2006 10/1/2036 1218.75 2503186313 SFR 1 OO PURCHASE N 7.125 7.125 410625 410625 11/1/2006 10/1/2036 2438.09 2503186421 2-4FAMILY 2 NOO REFI Y 6.925 6.925 300000 300000 11/1/2006 10/1/2036 1980.82 2503186461 SFR 1 OO PURCHASE N 6.75 6.75 95200 95200 11/1/2006 10/1/2036 617.47 2503186482 SFR 1 OO PURCHASE N 6.5 6.5 161250 161250 11/1/2006 10/1/2036 873.44 2503186597 SFR 1 OO PURCHASE N 6.5 6.5 137250 137250 11/1/2006 10/1/2036 743.44 2503186668 SFR 1 OO REFI Y 7 7 440000 440000 11/1/2006 10/1/2036 2927.33 2503187441 SFR 1 OO REFI Y 6.875 6.875 562500 562500 11/1/2006 10/1/2036 3695.22 3900014032 HI-RISE 1 NOO PURCHASE N 7 7 88800 84877.01 11/1/2002 10/1/2032 590.79 3900014033 SFR 1 OO PURCHASE N 6.875 6.875 121450 100212.6 11/1/2002 10/1/2017 1083.16 3900014034 PUD 1 OO REFI Y 8.75 8.75 100800 97563.09 11/1/2002 10/1/2032 792.99 3900014035 CONDO 1 NOO PURCHASE N 7 7 168750 161294.98 11/1/2002 10/1/2032 1122.7 3900014036 SFR 1 OO REFI Y 6.875 6.875 137000 112776.82 10/1/2002 9/1/2017 1221.84 3900014037 SFR 1 OO PURCHASE N 8 8 72300 69597.26 11/1/2002 10/1/2032 530.51 3900014038 SFR 1 OO PURCHASE N 7.75 7.75 87860 84263.68 9/1/2002 8/1/2032 629.44 3900014039 SFR 1 OO PURCHASE N 9.875 9.875 99750 96853.09 11/1/2002 10/1/2032 866.18 3900014041 SFR 1 OO REFI Y 9.25 9.25 152950 148402.69 11/1/2002 10/1/2032 1258.28 3900014042 CONDO 1 OO PURCHASE N 9.25 9.25 94050 91300.65 11/1/2002 10/1/2032 773.73 3900014043 PUD 1 OO REFI Y 8.125 8.125 90000 86673.88 10/1/2002 9/1/2032 668.25 3900014044 SFR 1 OO PURCHASE N 7.75 7.75 135300 129879.2 10/1/2002 9/1/2032 969.31 3900014046 SFR 1 OO REFI Y 6.125 6.125 399000 377471.96 11/1/2002 10/1/2032 2424.37 3900014047 SFR 1 OO PURCHASE N 8.75 8.75 226800 219332.69 10/1/2002 9/1/2032 1784.24 3900014048 2-4FAMILY 2 OO REFI N 7.375 7.375 195600 180209.85 10/1/2002 9/1/2032 1350.96 3900014049 SFR 1 OO REFI Y 6.625 6.625 90000 74097.47 11/1/2002 10/1/2017 790.19 3900014050 SFR 1 OO PURCHASE N 6.75 6.75 331000 314972.33 10/1/2002 9/1/2032 2146.86 3900014051 SFR 1 OO REFI Y 8 8 70000 67353.06 10/1/2002 9/1/2032 513.64 3900014052 PUD 1 OO PURCHASE N 8.75 8.75 130550 125679.93 9/1/2002 8/1/2032 1027.04 3900014053 SFR 1 OO REFI N 6.375 6.375 160000 147191.24 11/1/2002 10/1/2032 998.19 3900014054 2-4FAMILY 2 NOO REFI Y 7.25 7.25 101600 97238.3 11/1/2002 10/1/2032 693.09 3900014055 SFR 1 OO REFI Y 6.375 6.375 350000 331491.14 10/1/2002 9/1/2032 2183.54 3900014056 CONDO 1 NOO PURCHASE N 7.25 7.25 139900 132973.3 10/1/2002 9/1/2032 954.36 3900014057 SFR 1 OO PURCHASE N 9.125 9.125 81700 79045.29 10/1/2002 9/1/2032 664.74 3900014058 CONDO 1 OO PURCHASE N 7.75 7.75 88900 85382.4 10/1/2002 9/1/2032 636.89 3900014059 SFR 1 OO REFI Y 6.5 6.5 252000 239160.49 10/1/2002 9/1/2032 1592.81 3900014060 SFR 1 OO REFI Y 7.625 7.625 144000 123890.15 10/1/2002 9/1/2032 1019.22 3900014061 SFR 1 OO REFI Y 8.75 8.75 75100 72423.71 10/1/2002 9/1/2032 590.81 3900014062 PUD 1 NOO PURCHASE N 8.25 8.25 109800 105530.6 10/1/2002 9/1/2032 824.89 3900014063 SFR 1 OO REFI Y 8.125 8.125 75000 72228.49 10/1/2002 9/1/2032 556.87 3900014064 SFR 1 OO REFI Y 6.25 6.25 145000 118463.16 10/1/2002 9/1/2017 1243.26 3900014065 SFR 1 NOO PURCHASE N 7.625 7.625 112500 107330.95 10/1/2002 9/1/2032 796.27 3900014075 SFR 1 OO REFI Y 7.25 7.25 130000 121561.89 11/1/2002 10/1/2032 886.83 3900014076 SFR 1 OO PURCHASE N 8.49 8.49 118600 114475.63 11/1/2002 10/1/2032 911.09 3900014077 SFR 1 NOO REFI Y 6.25 6.25 390000 360950.35 10/1/2002 9/1/2032 2401.3 3900014078 CONDO 1 OO PURCHASE N 7.5 7.5 91105 87208.72 10/1/2002 9/1/2032 637.02 3900014079 SFR 1 OO PURCHASE N 8.125 8.125 124794 118650.82 10/1/2002 9/1/2032 926.6 3900014080 2-4FAMILY 4 OO REFI N 6.25 6.25 200000 189604.23 10/1/2002 9/1/2032 1231.43 3900014081 CONDO 1 OO REFI N 6.125 6.125 530000 501962.28 10/1/2002 9/1/2032 3220.34 3900014082 SFR 1 OO PURCHASE N 8 8 116910 112256.69 11/1/2002 10/1/2032 857.84 3900014083 SFR 1 OO REFI Y 8.125 8.125 117000 112781.38 11/1/2002 10/1/2032 868.72 3900014084 SFR 1 OO REFI Y 6.875 6.875 332000 316475.02 10/1/2002 9/1/2032 2181 3900014085 SFR 1 OO REFI N 6.5 6.5 145000 118268.55 10/1/2002 9/1/2017 1263.11 3900014086 PUD 1 OO PURCHASE N 7.375 7.375 151520 145105.82 10/1/2002 9/1/2032 1046.51 3900014087 CONDO 1 OO REFI Y 7.5 7.5 195000 186928.12 10/1/2002 9/1/2032 1363.47 3900014088 PUD 1 OO REFI Y 7.5 7.5 85500 81909.12 10/1/2002 9/1/2032 597.83 3900014089 SFR 1 OO REFI Y 6.75 6.75 276000 263256.62 11/1/2002 10/1/2032 1790.13 3900014090 SFR 1 OO REFI Y 6.125 6.125 550000 521686.64 11/1/2002 10/1/2032 3341.86 3900014091 SFR 1 OO PURCHASE N 6.625 6.625 102400 97566.97 11/1/2002 10/1/2032 655.68 3900014092 SFR 1 OO REFI Y 7.75 7.75 188000 180418.46 10/1/2002 9/1/2032 1346.86 3900014093 SFR 1 OO REFI Y 6.875 6.875 292000 278811.78 11/1/2002 10/1/2032 1918.23 3900014095 SFR 1 OO PURCHASE N 8.25 8.25 104000 82875.34 6/1/2002 5/1/2032 781.32 3900014107 SFR 1 OO REFI Y 7.875 7.875 211200 203201.66 11/1/2002 10/1/2032 1531.35 3900014108 CONDO 1 NOO REFI Y 6.5 6.5 84500 79678.48 11/1/2002 10/1/2032 534.1 3900014109 SFR 1 NOO REFI Y 6.875 6.875 152000 125303.38 10/1/2002 9/1/2017 1355.62 3900014110 SFR 1 OO PURCHASE N 6.625 6.625 311900 296823.05 10/1/2002 9/1/2032 1997.13 3900014111 2-4FAMILY 2 NOO REFI Y 6.75 6.75 300000 285919.12 11/1/2002 10/1/2032 1945.79 3900014112 SFR 1 OO PURCHASE N 7.5 7.5 356250 341452.11 11/1/2002 10/1/2032 2490.95 3900014113 SFR 1 OO PURCHASE N 5.75 5.75 90750 84862.91 11/1/2002 10/1/2032 529.59 3900014114 HI-RISE 1 2ND PURCHASE N 7.375 7.375 140000 134115.57 11/1/2002 10/1/2032 966.95 3900014116 SFR 1 OO REFI Y 7.375 7.375 81330 77969.04 11/1/2002 10/1/2032 561.73 3900014117 2-4FAMILY 4 NOO REFI Y 6.375 6.375 90000 73998.04 11/1/2002 10/1/2017 777.83 3900014119 SFR 1 OO PURCHASE N 7.5 7.5 197950 189711.55 11/1/2002 10/1/2032 1384.1 3900014120 SFR 1 OO PURCHASE N 8.375 8.375 92150 84872.9 11/1/2002 10/1/2032 700.41 3900014122 PUD 1 OO PURCHASE N 6.75 6.75 300700 286368.43 10/1/2002 9/1/2032 1950.33 3900014123 SFR 1 OO PURCHASE N 7.625 7.625 88000 84026.35 10/1/2002 9/1/2032 622.86 3900014124 SFR 1 OO REFI Y 6.75 6.75 375000 355813.03 11/1/2002 10/1/2032 2432.24 3900014125 SFR 1 OO REFI Y 7.75 7.75 120000 113308.91 11/1/2002 10/1/2032 859.69 3900014126 SFR 1 NOO REFI Y 6.875 6.875 311000 296246.97 11/1/2002 10/1/2032 2043.05 3900014127 PUD 1 OO PURCHASE N 6.5 6.5 208000 196152.74 11/1/2002 10/1/2032 1314.7 3900014128 PUD 1 OO PURCHASE N 6.625 6.625 520000 494863.5 10/1/2002 9/1/2032 3329.62 3900014129 PUD 1 OO PURCHASE N 7.875 7.875 166250 159974.86 11/1/2002 10/1/2032 1205.43 3900014130 SFR 1 NOO REFI Y 6.375 6.375 130000 123591.06 11/1/2002 10/1/2032 811.03 3900014131 SFR 1 OO PURCHASE N 6.875 6.875 200000 190966.74 11/1/2002 10/1/2032 1313.86 3900014132 SFR 1 OO REFI N 6.75 6.75 94300 77532.19 11/1/2002 10/1/2017 834.47 3900014133 SFR 1 OO PURCHASE N 7.125 7.125 211375 202063.63 11/1/2002 10/1/2032 1424.07 3900014134 SFR 1 OO PURCHASE N 6.375 6.375 345600 327195.8 11/1/2002 10/1/2032 2156.09 3900014135 SFR 1 OO PURCHASE N 8.5 8.5 134000 129491.8 11/1/2002 10/1/2032 1030.34 3900014136 SFR 1 OO REFI Y 7.25 7.25 195000 185991.43 11/1/2002 10/1/2032 1330.24 3900014137 SFR 1 OO REFI N 7.875 7.875 113715 108475.45 11/1/2002 10/1/2032 824.51 3900014139 SFR 1 OO REFI N 7.25 7.25 196000 187028.89 11/1/2002 10/1/2032 1337.07 3900014140 HI-RISE 1 OO PURCHASE N 7.5 7.5 92000 77245.15 12/1/2002 11/1/2017 852.85 3900014141 SFR 1 OO REFI N 6.875 6.875 155000 127296.65 11/1/2002 10/1/2032 1018.24 3900014142 CONDO 1 OO PURCHASE N 6.25 6.25 126600 118976.72 11/1/2002 10/1/2032 779.5 3900014143 SFR 1 OO REFI Y 6.5 6.5 164000 156088.88 11/1/2002 10/1/2032 1036.59 3900014145 SFR 1 OO PURCHASE N 6.625 6.625 264000 251813.87 12/1/2002 11/1/2032 1690.42 3900014146 CONDO 1 OO PURCHASE N 7.75 7.75 111100 106909.62 12/1/2002 11/1/2032 795.93 3900014147 PUD 1 OO REFI Y 8.5 8.5 171000 165049.5 12/1/2002 11/1/2032 1314.84 3900014148 SFR 1 OO REFI Y 6.75 6.75 110400 105256.7 11/1/2002 10/1/2032 716.05 3900014149 SFR 1 OO PURCHASE N 8.49 8.49 76500 73817.11 11/1/2002 10/1/2032 587.68 3900014150 PUD 1 OO PURCHASE N 7.875 7.875 110675 106497.65 11/1/2002 10/1/2017 802.48 3900014151 PUD 1 OO PURCHASE N 7.75 7.75 106400 101958.97 11/1/2002 10/1/2032 762.26 3900014152 2-4FAMILY 3 NOO REFI Y 6 6 105750 100187.42 11/1/2002 10/1/2032 634.02 3900014153 SFR 1 OO PURCHASE N 8.625 8.625 88350 82119.03 11/1/2002 10/1/2032 687.18 3900014154 SFR 1 NOO REFI Y 6.25 6.25 104000 98408.39 11/1/2002 10/1/2032 640.35 3900014155 SFR 1 OO REFI N 6.75 6.75 192000 158696.19 12/1/2002 11/1/2017 1699.03 3900014157 SFR 1 OO PURCHASE N 6.875 6.875 136000 129164.07 12/1/2002 11/1/2032 893.42 3900014158 SFR 1 OO PURCHASE N 6.875 6.875 348650 333284.11 12/1/2002 11/1/2032 2290.38 3900014159 SFR 1 OO PURCHASE N 7.625 7.625 176000 161144.91 11/1/2002 10/1/2032 1245.72 3900014160 CONDO 1 2ND PURCHASE N 6.875 6.875 328000 313185.5 11/1/2002 10/1/2032 2154.73 3900014161 SFR 1 NOO REFI Y 7.125 7.125 157500 148326.83 11/1/2002 10/1/2032 1061.11 3900014162 2-4FAMILY 2 OO PURCHASE N 7 7 126000 120563.45 12/1/2002 11/1/2032 838.28 3900014163 SFR 1 OO REFI Y 8.375 8.375 171000 165037.46 11/1/2002 10/1/2032 1299.72 3900014164 CONDO 1 OO PURCHASE N 8.875 8.875 102590 99371.72 11/1/2002 10/1/2032 816.25 3900014165 SFR 1 OO PURCHASE N 8 8 171000 162544.43 11/1/2002 10/1/2032 1254.74 3900014166 PUD 1 OO PURCHASE N 7.75 7.75 211100 175152.3 9/1/2002 8/1/2017 1987.03 3900014167 SFR 1 NOO PURCHASE N 7.875 7.875 48300 46259.55 10/1/2002 9/1/2032 350.21 3900014168 SFR 1 OO REFI Y 7.5 7.5 149600 142536.78 10/1/2002 9/1/2032 1046.02 3900014170 SFR 1 NOO PURCHASE N 6.875 6.875 120000 114433.44 10/1/2002 9/1/2032 788.31 3900014171 SFR 1 OO REFI N 7.5 7.5 67520 64320.69 9/1/2002 8/1/2032 472.11 3900014172 SFR 1 NOO PURCHASE N 7.375 7.375 130100 124592.46 10/1/2002 9/1/2032 898.57 3900014173 PUD 1 OO PURCHASE N 7.625 7.625 230250 221246.28 12/1/2002 11/1/2032 1629.7 3900014174 PUD 1 2ND PURCHASE N 7.375 7.375 210000 200939.89 11/1/2002 10/1/2032 1450.42 3900014175 SFR 1 OO PURCHASE N 6.625 6.625 264000 251173.24 10/1/2002 9/1/2032 1690.42 3900014176 SFR 1 OO REFI Y 6.75 6.75 750000 708362.57 11/1/2002 10/1/2032 4864.49 3900014177 SFR 1 OO REFI Y 6.75 6.75 136000 111914.85 10/1/2002 9/1/2017 1203.48 3900014178 PUD 1 NOO PURCHASE N 5.875 5.875 95000 77599.85 11/1/2002 10/1/2017 795.26 3900014179 SFR 1 OO PURCHASE N 7.875 7.875 105000 101034.65 11/1/2002 10/1/2032 761.32 3900014180 SFR 1 OO PURCHASE N 7.875 7.875 102600 96845.02 10/1/2002 9/1/2032 743.92 3900014181 SFR 1 OO REFI N 6.25 6.25 234000 191068.67 10/1/2002 9/1/2017 2006.37 3900014182 2-4FAMILY 2 OO REFI N 7 7 172000 164216.2 10/1/2002 9/1/2032 1144.32 3900014183 SFR 1 OO PURCHASE N 7.25 7.25 80800 77296.38 11/1/2002 10/1/2032 551.2 3900014184 PUD 1 OO PURCHASE N 7.25 7.25 139860 131000.08 11/1/2002 10/1/2032 954.09 3900014185 SFR 1 OO REFI Y 8.875 8.875 144000 139475.73 11/1/2002 10/1/2032 1145.73 3900014186 PUD 1 2ND REFI Y 7.625 7.625 98000 93853.44 11/1/2002 10/1/2032 693.64 3900014187 2-4FAMILY 2 OO REFI Y 7.75 7.75 121000 101839.24 12/1/2002 11/1/2017 1138.94 3900014188 PUD 1 OO REFI N 5.625 5.625 67500 63471.04 11/1/2002 10/1/2032 388.57 3900014189 CONDO 1 OO PURCHASE N 6.99 6.99 175050 164915.56 11/1/2002 10/1/2032 1163.44 3900014190 2-4FAMILY 2 OO REFI Y 6.75 6.75 155000 145064.31 11/1/2002 10/1/2032 1005.33 3900014191 2-4FAMILY 4 NOO REFI Y 6.875 6.875 185000 176639.82 11/1/2002 10/1/2032 1215.32 3900014192 SFR 1 OO REFI Y 6.375 6.375 391000 360454.98 11/1/2002 10/1/2032 2439.33 3900014193 SFR 1 OO REFI Y 6.5 6.5 151000 139776.8 11/1/2002 10/1/2032 954.42 3900014194 SFR 1 OO REFI N 6.5 6.5 730000 694785.3 11/1/2002 10/1/2032 4614.1 3900014195 PUD 1 OO PURCHASE N 7.125 7.125 140000 133313.97 11/1/2002 10/1/2032 943.21 3900014196 SFR 1 OO REFI N 5.5 5.5 136500 128690.87 12/1/2002 11/1/2032 775.03 3900014198 SFR 1 OO PURCHASE N 9.625 9.625 116750 112676.22 11/1/2002 10/1/2032 992.36 3900014199 PUD 1 NOO PURCHASE N 5.75 5.75 434000 353687.48 11/1/2002 10/1/2017 3603.98 3900014200 CONDO 1 2ND PURCHASE N 8.75 8.75 63700 61320.94 12/1/2002 11/1/2032 501.13 3900014201 2-4FAMILY 2 NOO REFI Y 6.875 6.875 160000 152947.34 12/1/2002 11/1/2032 1051.09 3900014202 SFR 1 OO REFI N 7.75 7.75 135000 126552.98 11/1/2002 10/1/2032 967.16 3900014203 SFR 1 OO PURCHASE N 7.75 7.75 109750 92988.37 11/1/2002 10/1/2032 786.26 3900014204 SFR 1 NOO REFI Y 7.375 7.375 70550 67611.58 11/1/2002 10/1/2032 487.27 3900014205 SFR 1 OO PURCHASE N 7.75 7.75 108350 103654.62 11/1/2002 10/1/2032 776.23 3900014206 SFR 1 OO PURCHASE N 7.5 7.5 125000 119935.58 12/1/2002 11/1/2032 874.02 3900014207 PUD 1 OO REFI Y 7.375 7.375 108000 103447.43 12/1/2002 11/1/2032 745.93 3900014208 PUD 1 OO PURCHASE N 6 6 205000 194344.65 12/1/2002 11/1/2032 1229.08 3900014209 SFR 1 OO REFI Y 6.875 6.875 369000 350002.38 11/1/2002 10/1/2032 2424.07 3900014210 SFR 1 OO REFI Y 7.5 7.5 71950 67733.63 12/1/2002 11/1/2032 503.08 3900014211 PUD 1 OO REFI N 7.875 7.875 458000 440712.2 11/1/2002 10/1/2032 3320.82 3900014212 PUD 1 OO PURCHASE N 9.375 9.375 82800 80431.33 11/1/2002 10/1/2032 688.69 3900014213 SFR 1 OO REFI Y 5.99 5.99 325000 307876.92 11/1/2002 10/1/2032 1946.45 3900014214 2-4FAMILY 4 OO REFI Y 6.5 6.5 472500 450227.1 12/1/2002 11/1/2032 2986.52 3900014215 SFR 1 OO PURCHASE N 8.125 8.125 87400 84323.43 12/1/2002 11/1/2032 648.94 3900014216 PUD 1 OO PURCHASE N 6.375 6.375 180000 148094.86 11/1/2002 10/1/2017 1555.65 3900014217 PUD 1 OO PURCHASE N 7.5 7.5 113000 108435.04 11/1/2002 10/1/2032 790.11 3900014219 2-4FAMILY 2 OO REFI Y 7.25 7.25 150000 143816.59 12/1/2002 11/1/2032 1023.26 3900014220 SFR 1 OO PURCHASE N 7.5 7.5 91700 87915.66 12/1/2002 11/1/2032 641.18 3900014221 SFR 1 NOO PURCHASE N 7.625 7.625 82800 69439.24 12/1/2002 11/1/2017 773.46 3900014222 PUD 1 OO PURCHASE N 8.99 8.99 112800 109424.15 12/1/2002 11/1/2032 906.8 3900014223 PUD 1 OO REFI N 6.75 6.75 98400 93966.31 12/1/2002 11/1/2017 638.22 3900014224 SFR 1 OO REFI N 5.875 5.875 203000 192351.4 12/1/2002 11/1/2032 1200.82 3900014226 SFR 1 OO REFI N 6.875 6.875 162000 154860.44 12/1/2002 11/1/2032 1064.22 3900014227 SFR 1 NOO PURCHASE N 7.75 7.75 71900 67505.95 12/1/2002 11/1/2032 515.1 3900014228 SFR 1 OO PURCHASE N 7.5 7.5 104450 97083.97 12/1/2002 11/1/2032 730.33 3900014229 SFR 1 OO REFI N 7.125 7.125 92000 87826.83 12/1/2002 11/1/2032 619.82 3900014230 SFR 1 OO PURCHASE N 8.125 8.125 114950 109986.25 12/1/2002 11/1/2032 853.5 3900014231 SFR 1 OO REFI Y 7.875 7.875 115000 110766.34 12/1/2002 11/1/2032 833.83 3900014232 SFR 1 OO REFI Y 6.75 6.75 185000 176664.19 12/1/2002 11/1/2032 1199.91 3900014233 CONDO 1 OO PURCHASE N 7.375 7.375 308000 295213.51 12/1/2002 11/1/2032 2127.28 3900014234 PUD 1 OO REFI N 7.875 7.875 118650 114279.36 12/1/2002 11/1/2032 860.29 3900014235 PUD 1 OO PURCHASE N 6.5 6.5 122500 116732.84 12/1/2002 11/1/2032 774.28 3900014236 SFR 1 OO PURCHASE N 8.125 8.125 104450 100661.09 12/1/2002 11/1/2032 775.54 AP_NUM TERM LTV PD_THRU_DATE Balloon APPRAISAL FIRST_SECOND MARGIN MONTHLY_P_I CITY STATE ZIP_CODE CLOSED_DATE DOC_TYPE ------ ---- --- ------------ ------- --------- ------------ ------ 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2730 FONTANA CA 92336 6/22/2006 2 1103580424 360 79.99 9/1/2006 N 395000 1 3.5 2092 HEMET CA 92545 6/26/2006 2 1103580425 360 79.84 9/1/2006 N 486000 1 3.5 2788.75 LAKEWOOD CA 90713 6/22/2006 2 1103580426 360 80 9/1/2006 N 308000 1 3.5 1561.88 MARYSVILLE WA 98270 6/22/2006 17 1103580427 360 80 9/1/2006 N 233000 1 3.5 1265 DUNNELLON FL 34434 6/22/2006 2 1103587578 360 80 9/1/2006 N 152000 1 4 737.5 NORFOLK VA 23505 7/6/2006 12 1103587581 360 80 9/1/2006 N 240000 1 4 1280 RIVERDALE MD 20737 7/6/2006 8 1103587820 180 20 9/1/2006 Y 575000 2 0 1285.63 NEW BRUNSWICK NJ 08901 8/10/2006 2 1103587827 360 70 8/27/2006 N 215000 1 0 1053.13 OCALA FL 34472 7/20/2006 2 1103580428 360 80 9/1/2006 N 360000 1 3.5 1709.41 PALMDALE CA 93550 6/22/2006 2 1103580429 360 67.15 9/1/2006 N 484000 1 2.25 1922.5 LA CENTER WA 98629 6/22/2006 1 1103580431 360 57.15 9/1/2006 N 700000 1 2.25 2334.29 DIAMOND BAR CA 91789 6/22/2006 2 1103580479 360 80 9/1/2006 N 515000 1 3.5 2507.5 MURRIETA CA 92563 6/30/2006 2 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410000 1 4.5 2460 INGLEWOOD CA 90301 8/3/2006 2 1103581043 360 70 9/1/2006 N 300000 1 3.5 1268.75 DENVER CO 80209 6/30/2006 17 1103581060 360 80 9/1/2006 N 216000 1 3.5 1075 CALIFORNIA CITY CA 93505 7/28/2006 2 1103581183 360 58.28 9/1/2006 N 250000 1 0 1058.96 MASTIC BEACH NY 11951 6/29/2006 7 1103581262 360 80 9/1/2006 N 360000 1 5 1755 MANASSAS VA 20110 6/26/2006 8 1103581214 360 80 9/1/2006 N 350000 1 3.5 2187.5 RIVERSIDE CA 92507 7/24/2006 2 1103581243 360 88.95 9/1/2006 N 127500 1 0 1181.25 FRESNO CA 93704 6/28/2006 2 1103581256 360 80 9/1/2006 N 151400 1 5 747.5 BALTIMORE MD 21231 6/26/2006 1 1103581260 360 80 9/1/2006 N 115000 1 5 551.23 DALLAS TX 75241 6/26/2006 1 1103581261 360 63.64 9/1/2006 N 550000 1 5 1859.38 LOS ANGELES CA 90032 6/26/2006 2 1103581263 360 80 9/1/2006 N 310000 1 5 1629.18 LAS VEGAS NV 89120 6/26/2006 2 1103581264 360 63.42 9/1/2006 N 205000 1 5 920.13 ORLANDO FL 32817 6/26/2006 2 1103581265 360 80 9/1/2006 N 218000 1 5 1066.92 CHICAGO IL 60652 6/26/2006 2 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400000 1 0 2560 BRIDGEPORT CT 06604 6/29/2006 2 1103582426 360 80 9/1/2006 Y 340000 1 4.5 2026.24 FRISCO TX 75034 8/16/2006 2 1103582443 360 80 9/1/2006 N 585000 1 0 2827.02 MILWAUKIE OR 97267 6/9/2006 2 1103582454 360 80 9/1/2006 N 292000 1 3.5 1571.93 FRESNO CA 93705 6/29/2006 2 1103582497 360 80 9/1/2006 N 340000 1 3.5 1558.33 STOCKTON CA 95210 6/9/2006 8 1103582560 360 80 9/1/2006 N 377005 1 3.5 1633.67 VICTORVILLE CA 92392 6/28/2006 2 1103582565 360 80 9/1/2006 N 540000 1 3.75 2250 PASADENA CA 91107 6/28/2006 2 1103582594 360 80 9/1/2006 N 175000 1 3.5 887.04 ALBUQUERQUE NM 87120 6/27/2006 1 1103582599 360 80 9/1/2006 N 315000 1 4 1837.5 SAN DIEGO CA 92113 7/10/2006 2 1103582608 360 80 9/1/2006 N 590000 1 0 2802.5 FAIRFIELD CA 94534 6/14/2006 1 1103582613 360 80 10/1/2006 Y 164000 1 4.5 837.31 PHOENIX AZ 85023 8/15/2006 2 1103582662 360 70 9/1/2006 N 870000 1 3.5 3405.94 HUNTINGTON BEACH CA 92649 6/15/2006 2 1103582667 360 74.67 9/1/2006 N 592000 1 3.75 2348.12 TRACY CA 95377 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80 9/1/2006 N 305000 1 2.25 1397.92 LAS VEGAS NV 89149 7/27/2006 2 1103594407 360 80 9/1/2006 N 278000 1 2.25 1297.33 SANDY UT 84094 7/27/2006 2 1103594408 360 80 9/1/2006 N 450000 1 2.25 2241.75 STOCKTON CA 95209 7/27/2006 2 1103594409 360 80 9/1/2006 N 342500 1 2.25 1535.42 LAS VEGAS NV 89120 7/27/2006 2 1103594410 360 80 9/1/2006 N 245000 1 2.25 1165.25 PORTLAND OR 97217 7/27/2006 2 1103594411 360 80 9/1/2006 N 274000 1 2.25 1392.83 WEST JORDAN UT 84088 7/31/2006 2 1103594412 360 75 9/1/2006 N 155000 1 2.25 762.89 TWENTYNINE PALMS CA 92277 7/27/2006 2 1103594413 360 75 9/1/2006 N 195000 1 2.25 959.77 TWENTYNINE PALMS CA 92277 7/27/2006 2 1103594414 360 95 9/1/2006 N 297000 1 2.25 1584.6 MERIDIAN ID 83642 7/27/2006 12 1103594416 360 80 9/1/2006 N 400000 1 2.25 1831.68 SAN JACINTO CA 92582 7/27/2006 2 1103594418 360 75 9/1/2006 N 350000 1 2.25 1531.25 PHOENIX AZ 85053 7/27/2006 2 1103594419 360 80 9/1/2006 N 277000 1 2.25 1292.62 TEMECULA CA 92592 7/27/2006 2 1103594420 360 80 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461000 1 2.75 1659.94 PATERSON NJ 07514 7/28/2006 8 1103594582 360 65 9/1/2006 N 650000 1 2.75 2508.59 GLENDALE NY 11385 7/28/2006 8 1103594583 360 65 9/1/2006 N 390000 1 2.75 1584.37 NEWARK NJ 07107 7/28/2006 8 1103594584 360 80 9/1/2006 N 353000 1 2.75 1667.5 RAHWAY NJ 07065 7/28/2006 2 1103594585 360 65 9/1/2006 N 436000 1 2.75 1619.92 PATERSON NJ 07504 7/28/2006 8 1103594586 360 65 9/1/2006 N 568000 1 2.75 2184.41 MOUNT VERNON NY 10550 7/28/2006 8 1103594587 360 80 9/1/2006 N 280000 1 2.75 1330 MESA AZ 85212 7/28/2006 2 1103594588 360 65 9/1/2006 N 515000 1 2.75 1882.97 FAIRLAWN NJ 07410 7/28/2006 8 1103594589 360 80 9/1/2006 N 400000 1 2.75 2000 HALEDON NJ 07508 7/28/2006 8 1103594590 360 70 9/1/2006 N 475000 1 2.75 2008.85 CAMBRIA HEIGHTS NY 11411 7/28/2006 2 1103594591 360 80 9/1/2006 Y 485000 1 2.75 2328.41 FAIRFAX VA 22033 7/28/2006 8 1103594595 360 65 9/1/2006 N 435000 1 2.75 1847.22 PATERSON NJ 07514 7/28/2006 2 1103594596 360 80 9/1/2006 N 443000 1 2.75 2103.78 QUEENS 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77.65 9/1/2006 N 170000 1 4 911.69 BALTIMORE MD 21214 7/31/2006 2 1103594635 360 80 9/1/2006 N 304000 1 4 862.36 FREELAND MD 21053 7/31/2006 1 1103594636 360 79.99 9/1/2006 N 131000 1 4 836 READING PA 19601 7/31/2006 1 1103594637 360 80 9/1/2006 N 275000 1 4 1443.75 FALLS CHURCH VA 22044 7/31/2006 8 1103594638 360 78.89 9/1/2006 N 204000 1 4 743.28 DINWIDDIE VA 23841 7/31/2006 8 1103594639 360 80 9/1/2006 N 154000 1 4 900 VIRGINIA BEACH VA 23453 7/31/2006 8 1103594640 360 80 9/1/2006 N 463000 1 4 2620.83 GERMANTOWN MD 20874 7/31/2006 8 1103594641 360 71.25 9/1/2006 N 80000 1 4 397.81 BALTIMORE MD 21205 7/31/2006 2 1103594642 360 80 9/1/2006 N 350000 1 4 1925 ANNANDALE VA 22003 7/31/2006 2 1103594643 360 80 9/1/2006 N 330000 1 4 1925 BALTIMORE MD 21212 7/31/2006 8 1103594644 360 80 9/1/2006 N 930000 1 4 5812.5 ORLANDO FL 32836 7/31/2006 8 1103594645 360 80 9/1/2006 N 460000 1 4 2836.67 ARLINGTON VA 22204 7/31/2006 8 1103594646 360 80 9/1/2006 N 158000 1 4 583 CATONSVILLE MD 21228 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107000 1 4 533.33 RICHMOND VA 23224 7/31/2006 8 1103594673 360 80 9/1/2006 N 345000 1 4 1671.67 RIVA MD 21140 7/31/2006 8 1103594674 360 79.98 9/1/2006 N 135600 1 4 756.89 VIRGINIA BEACH VA 23453 7/31/2006 8 1103594675 360 80 9/1/2006 N 620000 1 4 2851.06 FREDERICK MD 21703 7/31/2006 8 1103594676 360 80 9/1/2006 N 167500 1 4 893.33 RICHMOND VA 23228 7/31/2006 8 1103594677 180 63.18 9/1/2006 N 372000 1 0 2128.7 ANNAPOLIS MD 21403 7/31/2006 2 1103594678 360 64.12 9/1/2006 N 418000 1 0 1943.19 SPOTSYLVANIA VA 22553 7/31/2006 8 1103594679 360 80 9/1/2006 N 241000 1 0 1397.93 CAPITOL HEIGHTS MD 20743 7/31/2006 2 1103594680 360 80 9/1/2006 N 300000 1 0 1507.42 ALEXANDRIA VA 22304 7/31/2006 8 1103594681 360 78.47 9/1/2006 Y 325000 1 0 1678.08 COLONIAL BEACH VA 22443 7/31/2006 2 1103594707 360 75 9/1/2006 N 610000 1 3.5 2445.63 NAPA CA 94558 8/7/2006 2 1103594709 180 6.99 9/1/2006 Y 425000 2 0 294.12 SAN JACINTO CA 92582 7/28/2006 2 1103594721 180 10 9/1/2006 Y 255000 2 0 263.28 TAMARAC FL 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95 9/1/2006 N 192000 1 0 1450.89 ALBUQUERQUE NM 87121 8/18/2006 12 1103594932 360 50.35 9/1/2006 N 292000 1 4 1089.93 HUGHESVILLE MD 20637 8/11/2006 12 1103594973 360 70 9/1/2006 N 245000 1 3.5 892.5 ORANGE BEACH AL 36561 8/16/2006 1 1103595007 360 80 9/1/2006 N 395000 1 3 1810.42 RIALTO CA 92376 8/18/2006 2 1103595008 180 20 9/1/2006 Y 395000 2 0 797.43 RIALTO CA 92376 8/18/2006 2 1103595009 180 15 9/1/2006 Y 515000 2 0 873.25 GILBERT AZ 85236 8/11/2006 2 1103595055 360 75 9/1/2006 N 360000 1 3 1719.53 RIVERSIDE CA 92503 9/14/2006 2 1103595072 360 80 9/1/2006 N 455000 1 3.5 2212.5 LOS ANGELES CA 90003 7/31/2006 2 1103595073 180 20 9/1/2006 Y 455000 2 0 823.27 LOS ANGELES CA 90003 7/31/2006 2 1103595074 360 79.99 9/1/2006 N 430500 1 3 2301.8 SAN DIEGO CA 92101 8/30/2006 8 1103595087 360 75 9/1/2006 N 360000 1 3 1771.88 BONITA SPRINGS FL 34134 8/4/2006 2 1103595102 180 20 9/1/2006 Y 187000 2 0 413.7 PEMBROKE PINES FL 33025 8/14/2006 2 1103595174 360 80 9/1/2006 N 250000 1 3.5 1305.03 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91331 8/24/2006 2 1103602982 360 70 9/1/2006 N 226000 1 4.5 838.58 SAN BERNARDINO CA 92410 8/24/2006 2 1103603010 360 80 9/1/2006 N 592000 1 3.25 2906.98 SAN JOSE CA 95127 8/28/2006 8 1103603011 360 80 9/1/2006 N 292000 1 3.25 1387.41 DELAND FL 32720 8/28/2006 2 1103603012 360 80 9/1/2006 N 194500 1 3.25 923.88 TWP OF CHERRY HILL NJ 08034 8/28/2006 2 1103603013 360 80 9/1/2006 N 415000 1 3.25 2005.83 SARASOTA FL 34231 8/28/2006 2 1103603014 360 80 9/1/2006 N 350000 1 3.25 1711 BORO OF ELMWOOD PARK NJ 07407 8/28/2006 8 1103603015 360 80 9/1/2006 N 385000 1 3.25 2113.25 SICKLERVILLE NJ 08081 8/28/2006 2 1103603016 360 67.57 9/1/2006 N 592000 1 3.25 2333.33 MADERA CA 93638 8/28/2006 2 1103603017 360 21.9 9/1/2006 N 685000 1 3.25 906.25 SAN FRANCISCO CA 94132 8/28/2006 12 1103603018 360 80 9/1/2006 N 624000 1 3.25 3066.16 HERCULES CA 94547 8/28/2006 2 1103603019 360 80 9/1/2006 N 370000 1 3.25 2019.11 OSWEGO IL 60543 8/28/2006 12 1103603020 360 80 9/1/2006 N 650000 1 3.25 3358.33 SCOTTSDALE AZ 85255 8/28/2006 1 1103603021 360 80 9/1/2006 N 335900 1 3.25 1623.52 TOWNSHIP OF WAYNE NJ 07470 8/28/2006 2 1103603022 360 64.2 9/1/2006 N 500000 1 3.25 1872.5 EL CAJON CA 92021 8/28/2006 2 1103603023 360 80 9/1/2006 N 390000 1 2.25 1787.5 LOS ANGELES CA 90710 8/28/2006 1 1103603024 360 75 9/1/2006 N 660000 1 3.25 3093.75 SANTA ROSA CA 95403 8/28/2006 2 1103603025 360 80 9/1/2006 N 248000 1 3.25 1153.68 JERICHO VT 05645 8/28/2006 2 1103603026 360 80 9/1/2006 N 303000 1 3.25 1166.08 PHOENIX AZ 85086 8/28/2006 12 1103603027 360 80 9/1/2006 N 470000 1 3.25 2443.35 STATEN ISLAND NY 10301 8/28/2006 8 1103603028 360 80 9/1/2006 N 239000 1 3.25 1228.66 DELAND FL 32720 8/28/2006 8 1103603029 360 80 9/1/2006 N 710000 1 3.25 3792.91 WASHINGTON DC 20002 8/28/2006 8 1103603030 360 80 9/1/2006 N 411000 1 3.25 1981.18 GRISWOLD CT 06351 8/28/2006 8 1103603031 360 79.43 9/1/2006 N 365000 1 3.25 1721.28 OAKLAND CA 94610 8/28/2006 1 1103603032 360 80 9/1/2006 N 366000 1 3.25 1676.35 SAN JACINTO CA 92582 8/28/2006 2 1103603033 360 80 9/1/2006 N 280500 1 3.25 1305 SANDY UT 84093 8/28/2006 2 1103603034 360 79.21 9/1/2006 N 505000 1 3.25 2333.33 OAKLAND CA 94601 8/28/2006 2 1103603035 360 80 9/1/2006 N 171000 1 3.25 897.75 EDGEWOOD MD 21040 8/28/2006 8 1103603036 360 80 9/1/2006 N 250000 1 3.25 1187.5 GLENDALE AZ 85302 8/28/2006 8 1103603037 360 74.47 9/1/2006 N 560000 1 3.25 2880.12 TRACY CA 95376 8/28/2006 8 1103603038 360 80 9/1/2006 N 385000 1 3.25 2053.49 BROOKEVILLE MD 20833 8/28/2006 2 1103603039 360 65 9/1/2006 N 517000 1 3.25 2030 MAPLEWOOD NJ 07040 8/28/2006 12 1103603040 360 80 9/1/2006 N 850000 1 3.25 4250 OAKLAND CA 94605 8/28/2006 8 1103603057 360 58.07 9/1/2006 N 1550000 1 2.25 4875 LAGUNA BEACH CA 92651 8/31/2006 2 1103603058 360 64.22 9/1/2006 N 950000 1 2.25 3621.87 VISTA CA 92084 8/31/2006 2 1103603059 360 80 9/1/2006 N 350000 1 2.25 1608.9 PHOENIX AZ 85008 8/31/2006 2 1103603060 360 34.49 9/1/2006 N 2900000 1 2.25 5312.5 GREENWICH CT 06830 8/31/2006 1 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80 9/1/2006 N 370000 1 2.25 1665 TUSTIN CA 92782 8/31/2006 1 1103603087 360 70 9/1/2006 N 1260000 1 2.25 5145 ESTES PARK CO 80517 8/31/2006 2 1103603088 360 67.5 9/1/2006 N 1000000 1 2.25 4007.81 LAS VEGAS NV 89144 8/31/2006 2 1103603091 360 80 9/1/2006 N 775000 1 2.25 3397.5 BRICK NJ 08723 8/31/2006 2 1103603093 360 78.88 9/1/2006 N 535000 1 2.25 2241.88 PLYMOUTH MI 48170 8/31/2006 2 1103603094 360 73.78 9/1/2006 N 900000 1 2.25 3735 CHANDLER AZ 85249 8/31/2006 2 1103603098 360 75 9/1/2006 N 745000 1 2.25 2968.36 NEW MARKET MD 21774 8/31/2006 2 1103603099 360 80 9/1/2006 N 318000 1 2.25 1031.04 TEMPE AZ 85283 8/31/2006 2 1103603100 360 74.55 9/1/2006 N 872000 1 2.25 4270.04 MIRAMAR FL 33027 8/31/2006 2 1103603101 360 62.5 9/1/2006 N 1600000 1 2.25 5833.33 PALM BEACH GARDENS FL 33410 8/31/2006 2 1103603105 360 80 9/1/2006 N 685000 1 2.25 3458.68 GLENDALE AZ 85306 8/31/2006 1 1103603109 360 80 9/1/2006 N 262000 1 2.25 1170.84 QUEEN CREEK AZ 85242 8/31/2006 1 1103603112 360 79.75 9/1/2006 N 558000 1 2.25 2549.48 SPRINGFIELD VA 22151 8/31/2006 2 1103603113 360 75 9/1/2006 N 270000 1 2.25 1286.72 CHANDLER AZ 85044 8/31/2006 2 1103603114 360 75 9/1/2006 N 290000 1 2.25 1382.03 PHOENIX AZ 85048 8/31/2006 2 1103603122 360 70 9/1/2006 N 340000 1 2.25 1289.17 BAKERSFIELD CA 93308 8/31/2006 1 1103603124 360 80 9/1/2006 N 208700 1 2.25 866.67 DELRAY BEACH FL 33445 8/31/2006 1 1103603125 360 79.78 9/1/2006 N 435000 1 2.25 1807.29 LUNENBURG MA 01462 8/31/2006 1 1103603128 360 76.12 9/1/2006 N 515000 1 2.25 2164.17 CENTER MORICHES NY 11934 8/31/2006 1 1103603129 360 80 9/1/2006 N 355000 1 2.25 1383.33 NARRAGANSETT RI 02874 8/31/2006 1 1103603130 360 36.5 9/1/2006 N 2000000 1 2.25 4106.25 HUNTINGTON BEACH CA 92648 8/31/2006 2 1103603131 360 56.53 9/1/2006 N 1300000 1 2.25 3791.67 POINT LOOKOUT NY 11569 8/31/2006 2 1103603134 360 76.67 9/1/2006 N 270000 1 2.25 1207.5 FALLS CHURCH VA 22046 8/31/2006 2 1103603135 360 45.31 9/1/2006 N 490000 1 2.25 1179.38 FAIRFIELD CT 06824 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57.53 9/1/2006 N 226000 1 0 931.34 GARDNER MA 01440 8/30/2006 16 1103603375 360 80 9/1/2006 N 215000 1 3 1218.33 WESTMORLAND CA 92281 9/21/2006 2 1103603391 360 70 10/1/2006 N 250000 1 5 1276.04 DENVER CO 80222 9/21/2006 2 1103603415 180 80 10/1/2006 N 695000 1 0 5154.19 SANTA ANA CA 92701 9/13/2006 2 1103603424 180 15 9/1/2006 Y 334000 2 0 544.43 PHOENIX AZ 85014 8/30/2006 2 1103603430 360 80 9/1/2006 N 807000 1 3.75 3967.75 LAGUNA BEACH CA 92656 8/31/2006 17 1103603456 360 79.92 9/1/2006 N 498000 1 3 2650.02 ONTARIO CA 91762 8/31/2006 2 1103603465 360 62.32 10/1/2006 N 735000 1 3 2528.54 LONG BEACH CA 90804 9/14/2006 7 1103603468 360 80 9/1/2006 N 415000 1 4.5 2075 SANTA MARIA CA 93458 9/8/2006 2 1103603501 360 75 9/1/2006 N 475000 1 3 1966.8 OAKLEY CA 94561 9/1/2006 17 1103603514 360 80 9/1/2006 N 415000 1 2.25 1867.5 CITY OF HOBOKEN NJ 07030 9/8/2006 1 1103603515 360 75.01 9/1/2006 N 580000 1 2.25 2385.05 WALDORF MD 20603 8/25/2006 1 1103603516 360 90 9/1/2006 N 285000 1 2.25 1442.81 TWP OF VERNON NJ 07462 8/25/2006 1 1103603517 360 80 9/1/2006 N 462500 1 3.25 2461.62 STRATHAM NH 03885 8/25/2006 2 1103603519 360 75 9/1/2006 N 422000 1 3.25 1761.72 QUAKERTOWN PA 18951 8/25/2006 2 1103603520 360 80 9/1/2006 N 520000 1 3.25 2005.83 SOUTH AMBOY NJ 08879 8/25/2006 2 1103603521 360 78.62 9/1/2006 N 463000 1 3.25 2161.25 CITY OF FREDERICKSBURG VA 22406 8/25/2006 2 1103603522 360 80 9/1/2006 N 305500 1 3.25 1575.83 PERRYVILLE MD 21903 8/25/2006 8 1103603523 360 80 9/1/2006 N 265000 1 3.25 1302.92 JACKSONVILLE NC 28546 8/25/2006 8 1103603524 360 75 9/1/2006 N 535000 1 3.25 2296.88 PINOLE CA 94564 9/8/2006 2 1103603525 360 80 9/1/2006 N 710000 1 3.25 3431.67 SAN JOSE CA 95136 8/25/2006 2 1103603526 360 80 9/1/2006 N 810000 1 3.25 4252.5 DALY CITY CA 94015 8/25/2006 8 1103603527 360 75 9/1/2006 N 539000 1 3.25 2189.69 SANTEE CA 92071 8/25/2006 8 1103603528 360 79.98 9/1/2006 N 375000 1 3.25 1749.42 SANTEE CA 92071 8/25/2006 1 1103603529 360 80 9/1/2006 N 333000 1 3.25 1579.37 MESA AZ 85206 8/25/2006 2 1103603531 360 80 9/1/2006 N 963000 1 3.25 4654.5 CERRITOS CA 90703 8/25/2006 2 1103603532 360 75 9/1/2006 N 218000 1 3.25 936.72 PALM SPRINGS CA 92262 8/25/2006 2 1103603533 360 74.16 9/1/2006 N 354000 1 3.25 1613.28 MODESTO CA 95350 8/25/2006 2 1103603534 360 80 9/1/2006 N 780000 1 3.25 3575 SANTA CLARA CA 95050 8/25/2006 1 1103603535 360 80 9/1/2006 N 720000 1 3.25 3208.33 SAN FRANCISCO CA 94134 8/25/2006 2 1103603536 360 26.42 9/1/2006 N 530000 1 3.25 816.67 TEMECULA CA 92591 8/25/2006 12 1103603537 360 80 9/1/2006 N 1150000 1 3.25 5605 LONG BEACH CA 90803 8/25/2006 2 1103603538 360 73 9/1/2006 N 500000 1 3.25 1977.08 LEMON GROVE CA 91945 8/25/2006 2 1103603539 360 80 9/1/2006 N 565000 1 3.25 2375 LOS ANGELES CA 91344 8/25/2006 2 1103603540 360 80 9/1/2006 N 580000 1 3.25 2803.33 APPLE VALLEY CA 92307 8/25/2006 2 1103603541 360 74.77 9/1/2006 N 535000 1 3.25 2291.67 RIVERSIDE CA 92505 8/25/2006 1 1103603542 360 80 9/1/2006 N 700000 1 3.25 3208.33 CORONA CA 92880 8/25/2006 2 1103603543 360 70 9/1/2006 N 750000 1 3.25 3226.56 TUSTIN CA 92780 8/25/2006 2 1103603544 360 70 9/1/2006 N 635000 1 3.25 2731.82 WASHINGTON DC 20011 8/25/2006 2 1103603545 360 80 9/1/2006 N 355000 1 3.25 1745.42 WASHINGTON DC 20011 8/25/2006 2 1103603546 360 75 9/1/2006 N 370000 1 3 1621.87 HALLANDALE BEACH FL 33009 8/31/2006 2 1103603548 360 77.79 9/1/2006 N 455000 1 2.25 2006.42 NORTH LAS VEGAS NV 89115 9/22/2006 8 1103603549 360 80 9/1/2006 N 290000 1 2.25 1117.36 LAS VEGAS NV 89130 8/31/2006 17 1103603550 360 79.97 9/1/2006 N 288000 1 2.25 917.49 SAINT AUGUSTINE FL 32086 8/31/2006 17 1103603551 360 80 9/1/2006 N 290000 1 2.75 1452.54 PARKER CO 80134 9/22/2006 17 1103603552 360 79.99 9/1/2006 N 360000 1 2.25 1393.84 SURPRISE AZ 85379 9/22/2006 17 1103603553 360 57.04 9/1/2006 N 285000 1 2.25 896.15 TUCSON AZ 85757 8/31/2006 12 1103603554 360 80 9/1/2006 N 225000 1 2.25 972.26 QUEEN CREEK AZ 85242 9/22/2006 8 1103603555 360 80 9/1/2006 N 468000 1 2.25 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85000 1 0 587.68 FORT WORTH TX 76140 10/18/2002 7 3900014150 180 95 9/1/2006 Y 127000 1 0 802.48 CREST HILL IL 60435 10/15/2002 7 3900014151 360 80 9/1/2006 N 133000 1 0 762.26 MIAMI FL 33186 10/18/2002 7 3900014152 360 68.23 9/1/2006 N 155000 1 0 634.02 LEESBURG FL 34748 10/8/2002 2 3900014153 360 95 9/1/2006 N 96000 1 0 687.18 DALLAS TX 75217 10/28/2002 8 3900014154 360 32 9/1/2006 N 325000 1 0 640.35 BURBANK CA 91505 10/8/2002 2 3900014155 180 80 9/1/2006 N 240000 1 0 1699.03 MIAMI FL 33173 10/31/2002 2 3900014157 360 80 9/1/2006 N 172000 1 0 893.42 MIAMI FL 33175 10/29/2002 2 3900014158 360 95 9/1/2006 N 372000 1 0 2290.38 RANCHO CUCAMONGA CA 91737 10/30/2002 8 3900014159 360 80 9/1/2006 N 227000 1 0 1245.72 LAS VEGAS NV 89146 10/10/2002 7 3900014160 360 80 9/1/2006 N 410000 1 0 2154.73 MAMMOTH LAKES CA 93546 10/16/2002 2 3900014161 360 70 9/1/2006 N 225000 1 0 1061.11 SANTA ANA CA 92704 10/23/2002 2 3900014162 360 90 9/1/2006 N 140000 1 0 838.28 HALLANDALE FL 33009 10/30/2002 7 3900014163 360 95 9/1/2006 N 180000 1 0 1299.72 FORT LAUDERDALE FL 33323 9/30/2002 8 3900014164 360 95 9/1/2006 N 108000 1 0 816.25 MIAMI FL 33015 9/30/2002 12 3900014165 360 90 9/1/2006 N 190000 1 0 1254.74 MIAMI FL 33186 9/30/2002 7 3900014166 180 79.75 9/1/2006 N 267000 1 0 1987.03 MIRAMAR FL 33027 9/27/2002 12 3900014167 360 70 9/1/2006 N 69000 1 0 350.21 DETROIT MI 48210 10/31/2002 5 3900014168 360 78.74 9/1/2006 N 190000 1 0 1046.02 PORTLAND OR 97213 10/30/2002 7 3900014170 360 54.55 9/1/2006 N 220000 1 0 788.31 AUBURN CA 95603 10/31/2002 5 3900014171 360 11.26 9/1/2006 N 600000 1 0 472.11 LABADIE MO 63055 10/30/2002 5 3900014172 360 74.99 9/1/2006 N 176000 1 0 898.57 VALRICO FL 33594 10/30/2002 2 3900014173 360 79.99 9/1/2006 N 288000 1 0 1629.7 FRESNO CA 93720 10/29/2002 2 3900014174 360 89.98 9/1/2006 N 234000 1 0 1450.42 LAS VEGAS NV 89131 10/21/2002 7 3900014175 360 80 9/1/2006 N 342000 1 0 1690.42 SOUTH HEMPSTEAD NY 11550 9/24/2002 1 3900014176 360 57.7 9/1/2006 N 1300000 1 0 4864.49 MILL VALLEY CA 94941 10/4/2002 2 3900014177 180 80 9/1/2006 N 170000 1 0 1203.48 RIALTO CA 92376 10/4/2002 8 3900014178 180 67.86 9/1/2006 N 144700 1 0 795.26 LAKE HARMONY PA 18624 10/1/2002 2 3900014179 360 89.98 9/1/2006 N 116700 1 0 761.32 COLUMBUS OH 43207 10/8/2002 12 3900014180 360 95 9/1/2006 N 115000 1 0 743.92 HOUSTON PA 15342 9/24/2002 7 3900014181 180 37.44 9/1/2006 N 625000 1 0 2006.37 CASTRO VALLEY AREA CA 94546 10/3/2002 2 3900014182 360 39.1 9/1/2006 N 440000 1 0 1144.32 LOS ANGELES CA 90501 9/25/2002 2 3900014183 360 80 9/1/2006 N 101000 1 0 551.2 JEFFERSONVILLE IN 47130 9/27/2002 1 3900014184 360 90 9/1/2006 N 155600 1 0 954.09 MIDDLEBURG FL 32068 10/9/2002 7 3900014185 360 90 9/1/2006 N 160000 1 0 1145.73 JONESBORO AR 72404 9/30/2002 7 3900014186 360 63.23 9/1/2006 N 155000 1 0 693.64 OKEECHOBEE FL 34972 9/27/2002 2 3900014187 180 73.34 9/1/2006 N 165000 1 0 1138.94 WAUKEGAN IL 60085 10/31/2002 2 3900014188 360 69.59 9/1/2006 N 97000 1 0 388.57 LAS VEGAS NV 89121 9/30/2002 1 3900014189 360 90 9/1/2006 N 194500 1 0 1163.44 NORWALK CT 06854 9/18/2002 1 3900014190 360 68.89 9/1/2006 N 225000 1 0 1005.33 LOS ANGELES CA 90022 9/19/2002 2 3900014191 360 68.91 9/1/2006 N 268500 1 0 1215.32 HOUSTON TX 77006 9/25/2002 2 3900014192 360 79.96 9/1/2006 N 489000 1 0 2439.33 LAGUNA HILLS CA 92653 9/23/2002 1 3900014193 360 51.02 9/1/2006 N 296000 1 0 954.42 SNOHOMISH WA 98296 9/20/2002 2 3900014194 360 34.77 9/1/2006 N 2100000 1 0 4614.1 BEVERLY HILLS CA 90210 9/30/2002 2 3900014195 360 80 9/1/2006 N 175000 1 0 943.21 LAS VEGAS NV 89123 9/30/2002 1 3900014196 360 72.23 9/1/2006 N 189000 1 0 775.03 MEDFORD OR 97501 10/10/2002 1 3900014198 360 95 9/1/2006 N 133000 1 0 992.36 DALLAS TX 75229 9/27/2002 12 3900014199 180 70 9/1/2006 N 633000 1 0 3603.98 LAGUNA HILLS CA 92653 10/2/2002 2 3900014200 360 70 9/1/2006 N 91000 1 0 501.13 BAY HARBOR ISLANDS FL 33154 10/15/2002 7 3900014201 360 68.09 9/1/2006 N 235000 1 0 1051.09 HOUSTON TX 77098 10/3/2002 2 3900014202 360 90 9/1/2006 N 150000 1 0 967.16 MIAMI FL 33126 9/30/2002 7 3900014203 360 94.96 9/1/2006 N 120000 1 0 786.26 HOUSTON TX 77038 9/19/2002 7 3900014204 360 85 9/1/2006 N 83000 1 0 487.27 MEMPHIS TN 38122 10/2/2002 2 3900014205 360 94.99 9/1/2006 N 118000 1 0 776.23 HOUSTON TX 77038 9/19/2002 7 3900014206 360 100 9/1/2006 N 127000 1 0 874.02 SPARTA TN 38583 10/4/2002 8 3900014207 360 70.59 9/1/2006 N 153000 1 0 745.93 PEMBROKE PINES FL 33029 10/22/2002 8 3900014208 360 57.75 9/1/2006 N 355000 1 0 1229.08 OCEANSIDE CA 92056 10/4/2002 2 3900014209 360 75 9/1/2006 N 492000 1 0 2424.07 FOUNTAIN VALLEY CA 92708 10/7/2002 8 3900014210 360 89.94 9/1/2006 N 80000 1 0 503.08 CANAL POINT FL 33436 10/15/2002 7 3900014211 360 89.81 9/1/2006 N 510000 1 0 3320.82 VALENCIA CA 91355 10/8/2002 8 3900014212 360 90 9/1/2006 N 93000 1 0 688.69 HOUSTON TX 77060 9/30/2002 7 3900014213 360 68.43 9/1/2006 N 475000 1 0 1946.45 PALM BEACH GARDENS FL 33418 10/1/2002 2 3900014214 360 70 9/1/2006 N 675000 1 0 2986.52 LOS ALAMITOS CA 90720 10/8/2002 2 3900014215 360 95 9/1/2006 N 92000 1 0 648.94 NORTH LAUDERDALE FL 33068 10/24/2002 7 3900014216 180 69.25 9/1/2006 N 263950 1 0 1555.65 RENTON WA 98059 9/24/2002 8 3900014217 360 71.52 9/1/2006 N 158000 1 0 790.11 PORT SAINT LUCIE FL 34986 9/27/2002 12 3900014219 360 37.04 9/1/2006 N 405000 1 0 1023.26 STAMFORD CT 06902 10/16/2002 2 3900014220 360 90 9/1/2006 N 102000 1 0 641.18 PHILADELPHIA PA 19111 10/8/2002 7 3900014221 180 90 9/1/2006 N 96000 1 0 773.46 HOLLYWOOD FL 33023 10/4/2002 7 3900014222 360 89.94 9/1/2006 N 126000 1 0 906.8 ROYAL PALM BEACH FL 33411 10/2/2002 7 3900014223 180 80 9/1/2006 Y 123000 1 0 638.22 GALLOWAY TOWNSHIP NJ 08201 10/15/2002 7 3900014224 360 78.08 9/1/2006 N 260000 1 0 1200.82 FOREST GROVE OR 97166 10/17/2002 2 3900014226 360 79.81 9/1/2006 N 203000 1 0 1064.22 SYLMAR CA 91342 10/24/2002 8 3900014227 360 89.99 9/1/2006 N 85000 1 0 515.1 DENTON TX 76209 10/25/2002 8 3900014228 360 94.97 9/1/2006 N 111000 1 0 730.33 ALVIN TX 77511 10/4/2002 7 3900014229 360 78.64 9/1/2006 N 117000 1 0 619.82 PUEBLO CO 81008 10/25/2002 8 3900014230 360 95 9/1/2006 N 121000 1 0 853.5 DALLAS TX 75228 10/28/2002 7 3900014231 360 79.87 9/1/2006 N 144000 1 0 833.83 FORT LAUDERDALE FL 33313 10/29/2002 12 3900014232 360 64.92 9/1/2006 N 285000 1 0 1199.91 MIAMI FL 33137 10/25/2002 2 3900014233 360 80 9/1/2006 N 385000 1 0 2127.28 JUPITER FL 33477 10/28/2002 12 3900014234 360 89.89 9/1/2006 N 132000 1 0 860.29 JUPITER FL 33458 10/30/2002 7 3900014235 360 70 9/1/2006 N 178000 1 0 774.28 PHOENIX AZ 85032 10/31/2002 2 3900014236 360 94.97 9/1/2006 N 111000 1 0 775.54 HORN LAKE MS 38637 10/30/2002 7 AP_NUM Doc Type Desc LOAN_PROGRAM MICo MICvg SALES_PRICE OTHER_FIN SUBORD_LIEN CLTV PRI_CREDIT_SCORE DEBT_RATIO PREPAY_OPTION Prepay Soft SimpleInterest ------ ------------- ------------ ---- ----- ----------- --------- ----------- ---- ---------------- ---------- ------------- ----------- -------------- 1103116159 REDUCED PA0605EI_ARM-INTONLY 0 193490 38698 100 786 45.33 1YR FALSE 1103156790 REDUCED PF0630I_FIX-INTONLY 0 0 0 72.74 719 50 3YR FALSE 1103250441 REDUCED PA1605EI_ARM-INTONLY 0 0 0 69.93 664 34.94 3YR TRUE 1103272578 REDUCED PF0630I_FIX-INTONLY 0 0 0 65.91 718 24 1YR FALSE 1103305776 REDUCED PA1605EI_ARM-INTONLY 0 0 72000 90 640 42.83 3YR FALSE 1103306865 REDUCED PA0605EI_ARM-INTONLY 0 186990 37398 95 753 46 1YR FALSE 1103439451 NINA SF2630_FIXEDRATE 0 145074 0 77.54 639 40.73 3YR FALSE 1103463004 REDUCED PF0630I_FIX-INTONLY 0 247780 49550 99.99 791 44.52 1YR FALSE 1103465021 REDUCED TB0630_BALLOON 0 587900 0 89.99 705 45 NO-PREPAY MI 1103487790 REDUCED PA1605EI_ARM-INTONLY 0 249029 49800 99.99 677 49.7 NO-PREPAY MI 1103488936 SISA PF1630_FIXEDRATE 0 214489 0 80 676 26.04 1YR TRUE 1103492026 REDUCED PA0605EI_ARM-INTONLY 0 286865 50050 97.44 762 42 1YR FALSE 1103496504 REDUCED PA0603EI_ARM-INTONLY 0 620000 93000 90 728 40.16 1YR FALSE 1103504681 REDUCED PA0607EI_ARM-INTONLY 25 338319 0 89.99 699 48 1YR FALSE 1103506188 REDUCED PL1605E_ARM-BALLOON 0 0 0 64.39 678 33.84 1YR FALSE 1103566241 REDUCED TF2630_FIXEDRATE 0 203800 0 95 635 0 NO-PREPAY MI 1103563139 REDUCED PF3630_FIXEDRATE 0 171450 0 80 604 0 NO-PREPAY MI 1103563379 REDUCED PB2640_BALLOON 0 415000 83000 100 649 43.22 3YR FALSE 1103563635 REDUCED PF0630I_FIX-INTONLY 0 0 20000 90 718 26 1YR FALSE 1103515201 REDUCED TB1630I_BALLOON-INTONLY 0 550000 0 100 660 48.88 1YR FALSE 1103518237 REDUCED TF1615I_FIX-INTONLY 0 0 0 90 649 36.95 3YR FALSE 1103522856 REDUCED TB0630_BALLOON 0 378158 0 99.99 730 0 2YR FALSE 1103531865 REDUCED TB1630_BALLOON 0 154500 0 100 659 41.3 3YR FALSE 1103537237 FULL/ALT UB3630_BALLOON 0 367500 0 100 611 49.13 NO-PREPAY MI 1103537631 REDUCED PA2430EI_ARM-INTONLY 22 177000 0 90 636 48.69 NO-PREPAY MI 1103538344 REDUCED TB1630I_BALLOON-INTONLY 0 198000 0 100 671 34.11 NO-PREPAY MI 1103539656 FULL/ALT AA1605EI_ARM-INTONLY 0 274252 54850 100 731 28.91 NO-PREPAY MI 1103540252 REDUCED PA0603EI_ARM-INTONLY 0 475407 95000 99.98 797 47 NO-PREPAY MI 1103540331 REDUCED PF1630I_FIX-INTONLY 0 0 0 80 668 44.76 3YR FALSE 1103540564 REDUCED TF0630I_FIX-INTONLY 0 900000 0 100 708 43.15 1YR FALSE 1103541044 REDUCED PF4630_FIXEDRATE 0 0 0 80 599 15.54 3YR FALSE 1103541494 REDUCED PA0602E_ARM 0 160000 25000 95 706 42.47 NO-PREPAY MI 1103542763 REDUCED PA1602EI_ARM-INTONLY 0 183000 27450 95 640 44.72 NO-PREPAY MI 1103544962 REDUCED TB0630I_BALLOON-INTONLY 0 200225 0 94.97 780 42 NO-PREPAY MI 1103545761 REDUCED PF1630I_FIX-INTONLY 0 410000 82000 100 642 48.46 3YR FALSE 1103563836 NO RATIO SF3630_FIXEDRATE 0 0 0 80 604 1 NO-PREPAY MI 1103564118 REDUCED PF1630I_FIX-INTONLY 0 180990 36198 100 649 47.74 3YR FALSE 1103564364 FULL/ALT AF1630_FIXEDRATE 0 0 107250 89.83 801 29.58 5YR TRUE 1103547682 REDUCED PF1630_FIXEDRATE 0 199900 0 74.99 0 1 1YR FALSE 1103548233 NO RATIO SF2615_FIXEDRATE 0 0 0 70 661 1 2YR FALSE 1103548369 SISA PA0605EI_ARM-INTONLY 25 525000 0 90 714 48.56 NO-PREPAY MI 1103548914 REDUCED PA0603EI_ARM-INTONLY 0 451920 90350 99.99 764 35 1YR FALSE 1103550396 REDUCED TF0630I_FIX-INTONLY 0 444887 0 90 702 43.53 5YR FALSE 1103550673 SISA PF0630I_FIX-INTONLY 0 476800 95400 100 698 0 1YR FALSE 1103550853 REDUCED PF1630I_FIX-INTONLY 0 222000 44400 100 656 47.46 2YR FALSE 1103549870 REDUCED PA1605EI_ARM-INTONLY 0 144115 36028 95 661 36.52 NO-PREPAY MI 1103550202 FULL/ALT PF1630_FIXEDRATE 0 0 43750 92.16 657 48.34 3YR FALSE 1103550393 REDUCED PA0603EI_ARM-INTONLY 0 444887 44489 90 702 41.01 5YR FALSE 1103550524 REDUCED PA0405E_ARM 25 85000 0 90 708 40.25 2YR FALSE 1103550882 REDUCED PA0605EI_ARM-INTONLY 0 386911 76150 98.45 715 49 1YR FALSE 1103551255 NO RATIO SF0630_FIXEDRATE 0 265500 0 69.87 703 0 NO-PREPAY MI 1103551835 REDUCED PF1630_FIXEDRATE 0 295000 44250 95 649 30.31 3YR FALSE 1103552096 REDUCED TB1630_BALLOON 0 165000 0 100 657 47 NO-PREPAY MI 1103552128 REDUCED PA1605EI_ARM-INTONLY 0 329780 65950 100 674 44 2YR FALSE 1103564388 REDUCED PF0630I_FIX-INTONLY 0 168500 33700 100 773 39.05 1YR FALSE 1103564817 FULL/ALT PF0630I_FIX-INTONLY 0 208990 52247 95 697 47.37 2YR FALSE 1103564854 REDUCED PF2630_FIXEDRATE 0 197000 39400 100 633 48.59 2YR FALSE 1103552509 NINA SA0605EI_ARM-INTONLY 0 332901 0 75.96 741 0 NO-PREPAY MI 1103552686 REDUCED PA1402EI_ARM-INTONLY 22 0 0 90 644 41.43 2YR FALSE 1103552837 NINA SF1630_FIXEDRATE 0 0 0 41.56 640 0 3YR FALSE 1103552926 FULL/ALT PA0630EI_ARM-INTONLY 0 218000 43600 95 742 37.49 3YR FALSE 1103553279 REDUCED PA1605EI_ARM-INTONLY 0 380833 76100 99.92 659 49.7 NO-PREPAY MI 1103553290 REDUCED PA0605EI_ARM-INTONLY 0 720000 144000 90 713 22.06 2YR FALSE 1103557448 REDUCED AF1615_FIXEDRATE 0 0 0 55.34 775 35 NO-PREPAY MI 1103557675 REDUCED AF1630_FIXEDRATE 0 0 0 59.1 764 31.38 5YR TRUE 1103557966 REDUCED PF1630I_FIX-INTONLY 0 170000 34000 100 678 37.3 NO-PREPAY MI 1103553408 SISA PA0603EI_ARM-INTONLY 0 675000 0 70 694 0 1YR FALSE 1103554176 REDUCED PA0602EI_ARM-INTONLY 0 240000 36000 95 763 37.52 1YR FALSE 1103554256 REDUCED PA0603EI_ARM-INTONLY 0 235000 58750 95 690 32.4 1YR FALSE 1103554556 REDUCED TB0630_BALLOON 0 144000 0 95 764 46.99 NO-PREPAY MI 1103554636 REDUCED PA1602E_ARM 0 170500 25575 95 673 31.23 NO-PREPAY MI 1103554667 REDUCED PF0630I_FIX-INTONLY 0 211990 52997 100 718 43.07 5YR TRUE 1103554696 NO RATIO SA0605EI_ARM-INTONLY 0 251121 0 67 728 0 2YR FALSE 1103565011 REDUCED PF2630I_FIX-INTONLY 0 383000 0 80 624 29.55 3YR TRUE 1103565152 REDUCED TB1630I_BALLOON-INTONLY 0 378000 0 100 658 31.57 3YR FALSE 1103565333 REDUCED PF1630I_FIX-INTONLY 0 168500 25275 95 667 44.89 1YR FALSE 1103554940 FULL/ALT PF2615_FIXEDRATE 0 0 0 65.22 622 22.33 NO-PREPAY MI 1103555389 REDUCED PF0630I_FIX-INTONLY 0 0 0 70 707 41 3YR FALSE 1103555540 REDUCED TB1630I_BALLOON-INTONLY 0 710000 0 100 676 40.77 2YR FALSE 1103555645 REDUCED PA0602EI_ARM-INTONLY 0 0 52500 95 721 40.14 2YR FALSE 1103555776 REDUCED PF1630_FIXEDRATE 0 189900 28500 95 662 0 1YR FALSE 1103555851 NO RATIO SA0605EI_ARM-INTONLY 0 650000 130000 100 710 1 1YR FALSE 1103555980 REDUCED PF0630I_FIX-INTONLY 0 250000 62500 95 739 37.95 3YR FALSE 1103556069 REDUCED PA0605EI_ARM-INTONLY 0 209990 52497 95 725 49 1YR FALSE 1103556185 REDUCED PA1602EI_ARM-INTONLY 0 420000 63000 95 665 45.35 1YR FALSE 1103556186 REDUCED TB1630_BALLOON 0 420000 0 95 665 45.35 1YR FALSE 1103556689 NO RATIO SF2630I_FIX-INTONLY 0 0 0 80 657 1 3YR FALSE 1103556877 NO RATIO EF4630_FIXEDRATE 22 0 0 89.18 598 1 3YR FALSE 1103556428 REDUCED PA3605E_ARM 0 0 0 60.36 619 29.44 1YR FALSE 1103556500 REDUCED PA0605EI_ARM-INTONLY 0 146500 36625 95 696 0 1YR FALSE 1103556567 NO RATIO SA1605EI_ARM-INTONLY 0 295140 0 80 740 1 2YR FALSE 1103556621 NINA SF2630_FIXEDRATE 0 0 0 53.44 631 0 5YR FALSE 1103587516 REDUCED PF1630I_FIX-INTONLY 0 169000 42250 95 676 33.31 NO-PREPAY MI 1103598119 REDUCED TB0630_BALLOON 0 0 0 95 727 31.97 2YR FALSE 1103556988 REDUCED PA0605EI_ARM-INTONLY 0 180000 27000 95 687 35.14 1YR FALSE 1103557069 REDUCED PF1630I_FIX-INTONLY 0 369000 73800 100 657 47.41 1YR FALSE 1103557291 REDUCED PA1602EI_ARM-INTONLY 0 0 44600 100 646 35.96 2YR FALSE 1103557356 REDUCED PA1602EI_ARM-INTONLY 0 0 29250 95 663 43.74 2YR FALSE 1103557417 REDUCED PA0602EI_ARM-INTONLY 0 377000 75400 95 739 24.48 NO-PREPAY MI 1103557967 REDUCED TB1630_BALLOON 0 170000 0 100 678 36.89 NO-PREPAY MI 1103558167 REDUCED PF1630_FIXEDRATE 0 0 0 73.85 778 47.64 5YR TRUE 1103558334 REDUCED TB1630I_BALLOON-INTONLY 0 0 0 81.97 663 35.99 3YR FALSE 1103558537 NO RATIO SF6630_FIXEDRATE 0 420000 0 44 522 1 3YR FALSE 1103558576 REDUCED PA1602EI_ARM-INTONLY 0 260990 26499 91.39 672 48.07 NO-PREPAY MI 1103558664 REDUCED PA0602E_ARM 0 0 60000 94.97 702 45.09 2YR FALSE 1103558704 REDUCED PF0630_FIXEDRATE 0 0 0 80 711 31.82 2YR FALSE 1103566511 REDUCED PF2630I_FIX-INTONLY 0 180000 36000 100 626 28.68 NO-PREPAY MI 1103566617 REDUCED PF0630_FIXEDRATE 25 0 0 88.24 706 49 NO-PREPAY MI 1103566960 REDUCED PF0630I_FIX-INTONLY 0 0 83000 100 698 32.59 NO-PREPAY MI 1103558811 REDUCED PF0630I_FIX-INTONLY 0 195990 29398 95 794 30.13 5YR TRUE 1103558987 FULL/ALT PF1630I_FIX-INTONLY 0 0 65000 100 654 49.8 1YR FALSE 1103559146 REDUCED PF3630_FIXEDRATE 0 160000 24000 95 620 20.84 NO-PREPAY MI 1103559304 REDUCED PF2630_FIXEDRATE 0 0 0 53.95 620 41.7 NO-PREPAY MI 1103559347 REDUCED PF0630I_FIX-INTONLY 0 170000 34000 100 755 39.03 1YR FALSE 1103559628 FULL/ALT PA0605EI_ARM-INTONLY 0 245000 61250 100 791 43.45 1YR FALSE 1103559885 REDUCED PF0630I_FIX-INTONLY 0 825000 0 70 727 27.91 NO-PREPAY MI 1103559933 REDUCED PA0630D_ARM 0 127500 20000 95 714 23.63 1YR FALSE 1103560021 FULL/ALT PF1630_FIXEDRATE 0 182000 36400 100 640 46.34 3YR FALSE 1103560471 REDUCED PF0630I_FIX-INTONLY 0 133000 33250 95 713 32.56 1YR FALSE 1103560652 REDUCED PA0605EI_ARM-INTONLY 0 535000 53500 90 780 35.18 3YR FALSE 1103560747 REDUCED PF2630_FIXEDRATE 0 179990 26850 94.92 622 37.56 5YR TRUE 1103560797 REDUCED PF1630_FIXEDRATE 0 0 0 75 643 47.65 3YR FALSE 1103560835 NINA SF1630_FIXEDRATE 0 0 0 67.46 668 0 3YR FALSE 1103561033 REDUCED PA0602EI_ARM-INTONLY 0 260000 39000 95 698 0 NO-PREPAY MI 1103561160 FULL/ALT AF1630_FIXEDRATE 0 0 0 79.63 691 30 5YR TRUE 1103561658 NO RATIO SF0630_FIXEDRATE 0 498000 0 35.56 690 0 2YR FALSE 1103561669 NINA EF0630_FIXEDRATE 30 235000 0 95 757 0 3YR FALSE 1103561946 REDUCED PF1630I_FIX-INTONLY 0 146900 22035 95 658 29.37 3YR TRUE 1103561302 SISA PA0605EI_ARM-INTONLY 25 247661.12 0 89.68 696 49 NO-PREPAY MI 1103561674 REDUCED PA0602E_ARM 0 265000 66250 95 716 47.71 1YR FALSE 1103562017 REDUCED PF2630I_FIX-INTONLY 0 289275 57855 100 621 36 1YR FALSE 1103562018 FULL/ALT AF1630_FIXEDRATE 0 899000 0 65 810 22.78 3YR TRUE 1103562134 REDUCED PF1630_FIXEDRATE 0 135900 33975 95 656 43.39 NO-PREPAY MI 1103562377 FULL/ALT PA0603EI_ARM-INTONLY 25 399000 0 90 697 38.75 NO-PREPAY MI 1103562457 REDUCED PA1603EI_ARM-INTONLY 0 0 0 70 0 0 3YR FALSE 1103562526 REDUCED PA1605EI_ARM-INTONLY 0 337500 67500 100 655 41.8 NO-PREPAY MI 1103562619 REDUCED PA0602E_ARM 0 186200 0 80 706 40.39 NO-PREPAY MI 1103562625 REDUCED PF0430_FIXEDRATE 25 111900 0 90 708 41.71 1YR FALSE 1103562690 REDUCED PF0630I_FIX-INTONLY 0 195000 29250 95 682 48.23 NO-PREPAY MI 1103562698 REDUCED TB1630_BALLOON 0 315000 0 100 669 35.25 1YR FALSE 1103562744 NO RATIO EA1605EI_ARM-INTONLY 25 278735 0 90 697 0 1YR FALSE 1103562878 REDUCED PF3630_FIXEDRATE 0 287000 0 80 608 45 3YR FALSE 1103562919 REDUCED PA1602E_ARM 0 120000 18000 95 644 33.9 NO-PREPAY MI 1103562944 REDUCED PF0630I_FIX-INTONLY 0 375000 75000 100 721 41.17 3YR FALSE 1103565501 REDUCED PF1630I_FIX-INTONLY 0 512000 128000 95 650 50.18 1YR FALSE 1103565709 REDUCED PF0630I_FIX-INTONLY 0 515000 77250 95 796 40.15 NO-PREPAY MI 1103566235 REDUCED PF2630_FIXEDRATE 0 203800 30570 95 635 43.29 1YR FALSE 1103563010 REDUCED PF0630_FIXEDRATE 0 433624.37 65000 94.98 718 47.32 NO-PREPAY MI 1103563088 NO RATIO SA0605EI_ARM-INTONLY 0 513214 100000 99.61 791 0 2YR FALSE 1103563208 REDUCED PA0602EI_ARM-INTONLY 0 0 0 80 695 38.29 NO-PREPAY MI 1103563766 NINA SF0630_FIXEDRATE 0 0 0 47.02 711 0 3YR FALSE 1103564449 REDUCED PF0615_FIXEDRATE 0 0 0 65.58 745 50.13 NO-PREPAY MI 1103564669 REDUCED PA0603EI_ARM-INTONLY 0 0 0 74.61 771 43.38 1YR FALSE 1103565064 REDUCED PF2630I_FIX-INTONLY 0 0 77000 90 634 46.69 3YR FALSE 1103565197 NINA SF1630_FIXEDRATE 0 338929 0 56.48 690 0 NO-PREPAY MI 1103565272 FULL/ALT PA0605EI_ARM-INTONLY 0 144781 28950 99.98 745 39 NO-PREPAY MI 1103565604 REDUCED PF1615_FIXEDRATE 0 0 0 47.46 682 32.66 2YR FALSE 1103565796 REDUCED AA1605EI_ARM-INTONLY 0 750000 0 80 740 25.67 3YR TRUE 1103565812 REDUCED PA0603EI_ARM-INTONLY 0 0 0 63.22 708 0 3YR FALSE 1103566107 REDUCED PA0605EI_ARM-INTONLY 0 216343 43250 99.99 775 46.85 1YR FALSE 1103566183 SISA PA1605EI_ARM-INTONLY 0 229496 0 79.98 658 48.01 2YR FALSE 1103566461 REDUCED PA0603EI_ARM-INTONLY 0 360000 90000 95 782 46.79 3YR FALSE 1103566676 REDUCED PA1602E_ARM 0 0 0 34.89 670 32.65 NO-PREPAY MI 1103566692 REDUCED PA0602EI_ARM-INTONLY 0 300000 75000 95 741 34.82 NO-PREPAY MI 1103566918 REDUCED PA1605EI_ARM-INTONLY 0 1800000 0 70 658 34.21 3YR TRUE 1103566962 REDUCED TF0615I_FIX-INTONLY 0 0 0 100 698 32.59 NO-PREPAY MI 1103566973 REDUCED PB3640_BALLOON 0 0 0 71.27 631 49.83 5YR FALSE 1103567038 NO RATIO SF0630_FIXEDRATE 0 140000 0 71.79 694 0 2YR FALSE 1103567040 FULL/ALT PF0630_FIXEDRATE 0 672250 134450 100 748 49.82 3YR FALSE 1103567118 REDUCED PA0605E_ARM 0 371533 73400 99.75 694 46.09 2YR FALSE 1103575828 REDUCED PF0630I_FIX-INTONLY 0 525300 78795 95 693 44.32 NO-PREPAY MI 1103575860 REDUCED PF0630I_FIX-INTONLY 0 0 0 60 695 37.24 3YR FALSE 1103575903 REDUCED PF1630I_FIX-INTONLY 0 470000 94000 100 666 0 NO-PREPAY MI 1103567129 REDUCED PF0630I_FIX-INTONLY 0 189990 28498 95 726 39.63 3YR TRUE 1103567143 REDUCED PF1630I_FIX-INTONLY 0 700000 175000 95 664 44.3 5YR FALSE 1103567281 REDUCED PF1630I_FIX-INTONLY 0 330000 66000 100 659 35.36 NO-PREPAY MI 1103567282 REDUCED TB1630I_BALLOON-INTONLY 0 330000 0 100 659 35.36 NO-PREPAY MI 1103567377 REDUCED PA1607EI_ARM-INTONLY 0 433500 130050 100 659 48.44 NO-PREPAY MI 1103567408 REDUCED PF1630I_FIX-INTONLY 0 0 0 31.25 640 27.88 1YR FALSE 1103567421 REDUCED TB1630_BALLOON 0 0 0 100 663 49.64 1YR FALSE 1103567502 REDUCED PF1630_FIXEDRATE 0 0 0 80 651 42.28 NO-PREPAY MI 1103567428 NINA EA0602EI_ARM-INTONLY 25 359900 0 90 737 0 1YR FALSE 1103567474 REDUCED TB0630_BALLOON 0 0 0 95 693 32.69 NO-PREPAY MI 1103567548 NINA SF0630I_FIX-INTONLY 25 420000 0 90 717 0 1YR FALSE 1103567551 NINA SF0630I_FIX-INTONLY 0 0 0 58.75 708 0 3YR FALSE 1103567618 REDUCED TB1630I_BALLOON-INTONLY 0 410000 0 100 651 43.64 3YR FALSE 1103567673 SISA PF2630I_FIX-INTONLY 0 0 0 49.79 632 40.55 3YR FALSE 1103567692 REDUCED PF2630I_FIX-INTONLY 0 460000 92000 100 628 46.79 NO-PREPAY MI 1103567847 REDUCED PA1605EI_ARM-INTONLY 0 245000 61250 100 653 37.4 5YR FALSE 1103568244 REDUCED BF2630I_FIX-INTONLY 0 0 0 62.4 633 32.41 NO-PREPAY MI 1103568275 REDUCED PF0630_FIXEDRATE 0 174990 26248 95 695 35.01 1YR TRUE 1103568492 REDUCED PF2630I_FIX-INTONLY 0 665000 133000 100 633 46.86 1YR FALSE 1103568603 FULL/ALT TB0630_BALLOON 0 300000 0 95 691 47.98 NO-PREPAY MI 1103568357 REDUCED TB1630_BALLOON 0 151850 0 95 659 37.86 NO-PREPAY MI 1103568579 NINA SA1605E_ARM 0 0 0 75 741 1 1YR FALSE 1103568602 FULL/ALT PF0630I_FIX-INTONLY 0 300000 75000 95 691 47.98 3YR FALSE 1103568666 SISA PA0603EI_ARM-INTONLY 0 0 31500 95 741 43.98 3YR FALSE 1103568747 REDUCED PA1602E_ARM 0 0 31200 90 664 41.42 NO-PREPAY MI 1103568774 NINA SF1630I_FIX-INTONLY 0 0 0 44.25 661 0 3YR FALSE 1103568862 REDUCED PF2630_FIXEDRATE 0 619900 123980 100 621 28.55 NO-PREPAY MI 1103568899 SISA PF2615_FIXEDRATE 0 0 0 79.07 623 33.24 1YR FALSE 1103568958 REDUCED PF0630I_FIX-INTONLY 0 0 50000 90 692 46.77 2YR FALSE 1103569150 REDUCED PF2630I_FIX-INTONLY 0 300000 60000 100 636 49.29 1YR FALSE 1103569284 REDUCED PF2630I_FIX-INTONLY 0 0 93400 100 635 43.59 2YR FALSE 1103569316 NO RATIO SF1615_FIXEDRATE 0 0 0 35.94 714 0 NO-PREPAY MI 1103569323 REDUCED PA0605EI_ARM-INTONLY 0 275840 41300 94.97 812 33 1YR FALSE 1103569325 REDUCED PF0630_FIXEDRATE 0 0 0 80 726 48 3YR FALSE 1103569363 REDUCED PA1603EI_ARM-INTONLY 0 0 0 80 677 0 1YR FALSE 1103569449 REDUCED PF0630I_FIX-INTONLY 0 599212.25 0 78.02 726 41.09 1YR FALSE 1103569593 FULL/ALT AF1615_FIXEDRATE 0 0 0 35.11 732 27.1 3YR TRUE 1103570956 REDUCED PF2630I_FIX-INTONLY 0 345000 69000 100 635 45.5 3YR TRUE 1103571188 REDUCED PF1630_FIXEDRATE 0 134600 26920 90 674 49.65 NO-PREPAY MI 1103571200 REDUCED PF1630I_FIX-INTONLY 0 490000 73500 90 655 45.55 1YR FALSE 1103569635 REDUCED PA0605EI_ARM-INTONLY 0 650000 130000 100 698 42.38 3YR TRUE 1103569637 FULL/ALT AA1605EI_ARM-INTONLY 0 0 67500 90 680 42.07 3YR TRUE 1103569639 REDUCED PF0630I_FIX-INTONLY 0 231490 57850 94.98 773 31.46 3YR FALSE 1103569734 REDUCED PF1630_FIXEDRATE 0 0 0 80 642 48.14 3YR FALSE 1103569761 NO RATIO SF1630I_FIX-INTONLY 30 154100 0 95 759 1 2YR TRUE 1103569894 REDUCED PF0630I_FIX-INTONLY 0 0 100000 90 724 34.34 3YR FALSE 1103570250 REDUCED PF1630_FIXEDRATE 0 0 0 70.82 0 33.75 1YR FALSE 1103570069 NINA SF2630I_FIX-INTONLY 0 396803 0 79.99 665 0 1YR FALSE 1103570077 REDUCED PA0603EI_ARM-INTONLY 0 0 104500 95 683 39.03 3YR FALSE 1103570107 REDUCED PA2605EI_ARM-INTONLY 0 211465 42250 99.97 626 48 NO-PREPAY MI 1103570252 REDUCED PA0605EI_ARM-INTONLY 0 535312 107050 99.99 715 44 2YR FALSE 1103570424 REDUCED PF2630I_FIX-INTONLY 0 158000 31600 100 628 49.73 1YR FALSE 1103570429 FULL/ALT PA0603EI_ARM-INTONLY 0 0 0 69.64 772 23.33 1YR FALSE 1103570505 REDUCED PA0602EI_ARM-INTONLY 0 306000 76500 95 703 37.29 2YR FALSE 1103570521 REDUCED PF0630_FIXEDRATE 0 400000 60000 95 740 41.14 1YR FALSE 1103570540 REDUCED PF1630I_FIX-INTONLY 0 222500 55625 95 679 56.48 NO-PREPAY MI 1103570541 REDUCED TB1630_BALLOON 0 222500 0 95 679 46.7 NO-PREPAY MI 1103570645 REDUCED PF1630I_FIX-INTONLY 25 555000 0 90 662 44.71 NO-PREPAY MI 1103570897 REDUCED PF1630_FIXEDRATE 0 0 54500 90 664 43.367 3YR FALSE 1103570559 REDUCED PF0630I_FIX-INTONLY 0 260000 52000 100 694 48.58 5YR FALSE 1103570568 REDUCED PF0630_FIXEDRATE 0 0 0 71.43 748 33 1YR FALSE 1103570577 REDUCED PF0630I_FIX-INTONLY 0 0 0 63.31 716 34.36 3YR FALSE 1103570728 REDUCED PA0605E_ARM 0 575777 143950 100 764 41 1YR FALSE 1103571818 FULL/ALT PF2630I_FIX-INTONLY 0 148500 29700 100 631 47.01 3YR FALSE 1103571849 REDUCED PB3640_BALLOON 0 0 0 75 615 44.99 2YR FALSE 1103572047 REDUCED PF0630_FIXEDRATE 0 180000 27000 95 710 38.1 3YR FALSE 1103570734 REDUCED PF0630I_FIX-INTONLY 0 140000 20000 94.29 706 32.36 1YR FALSE 1103570736 SISA PA0605EI_ARM-INTONLY 0 0 0 75 709 41.76 3YR FALSE 1103570808 REDUCED PA0602EI_ARM-INTONLY 0 634900 102600 94.92 691 37.09 NO-PREPAY MI 1103570831 REDUCED PA0605EI_ARM-INTONLY 0 322000 0 80 690 41.06 2YR FALSE 1103570852 REDUCED PA0603EI_ARM-INTONLY 0 0 121000 79.03 768 0 1YR FALSE 1103570859 REDUCED PF1630I_FIX-INTONLY 0 0 0 54.1 665 35.34 3YR FALSE 1103570895 SISA PA2630EI_ARM-INTONLY 0 950000 105000 90 634 48 NO-PREPAY MI 1103570951 REDUCED PA2602EI_ARM-INTONLY 0 163000 32600 100 638 30.14 2YR FALSE 1103571020 REDUCED PA1603EI_ARM-INTONLY 0 165000 33000 95 679 31.04 NO-PREPAY MI 1103571241 REDUCED PF2430I_FIX-INTONLY 22 350000 0 90 638 26.67 NO-PREPAY MI 1103571380 REDUCED PA0602EI_ARM-INTONLY 0 460000 112500 95 703 49.74 2YR FALSE 1103571441 REDUCED PF0630I_FIX-INTONLY 0 190000 47500 95 746 49.93 2YR FALSE 1103575567 REDUCED PF1630I_FIX-INTONLY 0 0 68750 95 652 24.2 1YR FALSE 1103575693 NINA SB2630_BALLOON 0 0 0 80 627 1 3YR FALSE 1103575814 REDUCED PF0630I_FIX-INTONLY 0 0 0 79.82 797 0 5YR TRUE 1103571463 NINA SF0630_FIXEDRATE 0 0 0 52.57 685 0 3YR FALSE 1103571667 REDUCED PF1630I_FIX-INTONLY 0 0 42600 90 650 41.31 NO-PREPAY MI 1103571682 REDUCED PF1630I_FIX-INTONLY 0 186000 46500 95 660 44.82 3YR FALSE 1103571798 REDUCED PF1630I_FIX-INTONLY 0 285000 57000 100 656 42.85 2YR FALSE 1103571485 REDUCED PA0607EI_ARM-INTONLY 0 203900 40900 100 684 0 3YR FALSE 1103571524 REDUCED PF1630_FIXEDRATE 0 281100 56200 99.97 649 43.91 2YR FALSE 1103571730 REDUCED PF2630I_FIX-INTONLY 0 0 110250 90 635 45.24 3YR FALSE 1103571885 REDUCED PF0630I_FIX-INTONLY 0 370900 92725 95 682 39.25 NO-PREPAY MI 1103571950 FULL/ALT PA0605EI_ARM-INTONLY 0 433000 64950 90 754 38.59 NO-PREPAY MI 1103572059 FULL/ALT PA0605EI_ARM-INTONLY 0 158000 23700 95 691 45 NO-PREPAY MI 1103572060 FULL/ALT TB0630_BALLOON 0 158000 0 95 691 32.17 NO-PREPAY MI 1103572071 REDUCED PF2630_FIXEDRATE 0 0 0 60.35 626 48.87 NO-PREPAY MI 1103572137 REDUCED PF0630_FIXEDRATE 0 245000 36750 95 774 27.05 1YR FALSE 1103572198 REDUCED PF0630I_FIX-INTONLY 0 530000 79500 80 703 0 NO-PREPAY MI 1103572301 SISA PF1630I_FIX-INTONLY 0 370000 92500 100 759 40.32 NO-PREPAY MI 1103572306 REDUCED PF2630_FIXEDRATE 0 213000 42600 100 633 45.54 3YR FALSE 1103572395 SISA PF0630_FIXEDRATE 0 0 0 80 752 34.84 NO-PREPAY MI 1103572412 REDUCED PA1602EI_ARM-INTONLY 0 175000 35000 95 664 39.48 NO-PREPAY MI 1103572479 REDUCED PF1630I_FIX-INTONLY 0 639900 95950 95 662 29.86 NO-PREPAY MI 1103572543 REDUCED PF0630I_FIX-INTONLY 0 0 0 63.41 755 43.32 NO-PREPAY MI 1103578591 REDUCED PF0630I_FIX-INTONLY 0 0 0 80 744 28.39 1YR TRUE 1103578610 REDUCED PF2630I_FIX-INTONLY 0 187750 37550 100 638 46.69 3YR FALSE 1103578614 REDUCED PF1630_FIXEDRATE 0 188900 37780 95 648 45 1YR FALSE 1103572557 REDUCED PF1630I_FIX-INTONLY 0 164450 25000 90 653 0 NO-PREPAY MI 1103572615 REDUCED PF2630_FIXEDRATE 0 0 0 80 634 49.25 3YR FALSE 1103572650 FULL/ALT PF0630_FIXEDRATE 0 246000 0 70.29 780 22.1 NO-PREPAY MI 1103572651 REDUCED PF2630I_FIX-INTONLY 0 270690 54138 100 634 49.38 3YR FALSE 1103572660 REDUCED PA0605E_ARM 0 0 63000 87.36 712 0 3YR FALSE 1103572750 REDUCED PF0630I_FIX-INTONLY 0 270000 67500 95 701 43.39 1YR FALSE 1103572776 REDUCED PF0630I_FIX-INTONLY 0 411000 102750 95 752 40.11 3YR FALSE 1103572794 REDUCED PF1630_FIXEDRATE 0 210000 31500 90 653 43 3YR FALSE 1103572888 SISA PF0630I_FIX-INTONLY 0 0 0 79.83 733 44 3YR FALSE 1103572915 REDUCED PA0602EI_ARM-INTONLY 0 297900 74475 95 718 28.94 2YR FALSE 1103572968 NINA EF2630I_FIX-INTONLY 30 285000 0 95 680 0 3YR FALSE 1103572969 REDUCED PF0630I_FIX-INTONLY 0 190000 28500 95 694 30.42 1YR FALSE 1103572975 REDUCED PF0630I_FIX-INTONLY 0 0 102000 95 741 43.21 3YR FALSE 1103573055 REDUCED PF0630I_FIX-INTONLY 0 2462500 246250 80 682 33 1YR FALSE 1103573067 REDUCED PF0630I_FIX-INTONLY 0 0 48000 90 747 39.57 NO-PREPAY MI 1103573089 NINA SF0630_FIXEDRATE 30 177980 0 94.96 763 1 2YR FALSE 1103573304 REDUCED PF2630I_FIX-INTONLY 0 335000 83750 100 630 36.83 3YR TRUE 1103573358 REDUCED PF0630_FIXEDRATE 0 235000 123250 95 742 26.77 3YR FALSE 1103573414 NINA SF2630I_FIX-INTONLY 0 0 0 67.48 634 1 5YR FALSE 1103573524 REDUCED PF1630I_FIX-INTONLY 0 0 79000 100 657 45 3YR FALSE 1103573313 FULL/ALT PA0603EI_ARM-INTONLY 0 0 0 75 682 48.8 1YR FALSE 1103573378 REDUCED PF1630I_FIX-INTONLY 0 0 43275 94.93 649 37.27 NO-PREPAY MI 1103573379 REDUCED TB1630_BALLOON 0 0 0 94.93 649 37.27 NO-PREPAY MI 1103573498 REDUCED PA0607EI_ARM-INTONLY 0 0 35250 95 690 36.95 3YR TRUE 1103573550 REDUCED PF2630I_FIX-INTONLY 0 1168126 173719 89.23 625 39.1 NO-PREPAY MI 1103573576 NINA SF2630_FIXEDRATE 0 0 0 43.8 625 0 1YR FALSE 1103573578 REDUCED PA1602EI_ARM-INTONLY 0 900000 270000 100 671 38.89 1YR FALSE 1103573579 NINA SF0630_FIXEDRATE 0 0 0 41.67 739 1 NO-PREPAY MI 1103573580 REDUCED TB1630_BALLOON 0 900000 0 100 671 38.89 1YR FALSE 1103573595 NO RATIO SF0630_FIXEDRATE 0 0 0 60.77 680 1 3YR FALSE 1103573598 NO RATIO SF1630_FIXEDRATE 0 0 0 80 666 0 1YR FALSE 1103573653 NO RATIO SF1630_FIXEDRATE 0 0 0 45.46 696 0 NO-PREPAY MI 1103573700 NINA SF1615_FIXEDRATE 0 0 0 67.52 713 1 1YR FALSE 1103573715 REDUCED PF1430_FIXEDRATE 25 140500 7025 95 679 35 NO-PREPAY MI 1103573728 REDUCED PF0630I_FIX-INTONLY 0 0 35000 82.73 681 39.3 2YR FALSE 1103573729 REDUCED TB0630_BALLOON 0 0 0 82.73 681 39.3 2YR FALSE 1103576868 REDUCED PF1630_FIXEDRATE 0 500000 75000 95 674 37.37 NO-PREPAY MI 1103578585 REDUCED PF1630I_FIX-INTONLY 0 0 119400 100 649 44.58 3YR FALSE 1103578586 REDUCED TB1630_BALLOON 0 0 0 100 649 44.58 3YR FALSE 1103573740 REDUCED PF0630I_FIX-INTONLY 0 629445 31500 80 776 29.25 NO-PREPAY MI 1103573746 FULL/ALT PF0630I_FIX-INTONLY 0 0 31500 95 693 48.61 NO-PREPAY MI 1103573783 REDUCED PF1630I_FIX-INTONLY 0 730000 109500 95 660 35.86 5YR FALSE 1103573787 REDUCED PF0630I_FIX-INTONLY 0 0 29000 95 684 48.08 1YR FALSE 1103573804 NINA EF0630I_FIX-INTONLY 25 477000 0 90 718 0 1YR FALSE 1103573831 REDUCED PF1630I_FIX-INTONLY 0 430746 86100 94.98 674 44.62 6MO FALSE 1103573850 REDUCED PF1630_FIXEDRATE 0 228000 22800 90 647 21.44 NO-PREPAY MI 1103573865 SISA PA1607E_ARM 0 0 0 68.67 679 0 3YR FALSE 1103573962 REDUCED PF1630I_FIX-INTONLY 0 0 0 80 662 35 3YR FALSE 1103574024 REDUCED TB0630_BALLOON 0 146500 0 95 696 0 1YR FALSE 1103574036 REDUCED PF1630_FIXEDRATE 0 173000 0 70 671 31.07 NO-PREPAY MI 1103574101 REDUCED PF1630I_FIX-INTONLY 0 225000 56250 95 676 34.46 3YR FALSE 1103574238 NO RATIO SF0630I_FIX-INTONLY 0 300000 0 80 763 1 NO-PREPAY MI 1103574272 FULL/ALT PF1630_FIXEDRATE 0 262990 0 80 0 45 1YR FALSE 1103574275 REDUCED PF1630I_FIX-INTONLY 0 209900 41950 99.98 659 44.73 NO-PREPAY MI 1103574276 REDUCED TB1630_BALLOON 0 209900 0 99.98 659 44.7 NO-PREPAY MI 1103574302 REDUCED PA0607EI_ARM-INTONLY 0 1550000 232500 90 719 0 3YR FALSE 1103574314 REDUCED PF1630I_FIX-INTONLY 0 510000 76500 95 670 43.24 NO-PREPAY MI 1103574337 REDUCED PF1630I_FIX-INTONLY 0 230000 34500 95 654 37.67 NO-PREPAY MI 1103574405 NINA SF0630I_FIX-INTONLY 0 160000 24000 90 751 0 6MO FALSE 1103574304 REDUCED PF1630I_FIX-INTONLY 0 0 0 77.56 664 28.53 5YR FALSE 1103574333 REDUCED PA0605EI_ARM-INTONLY 0 158000 39500 95 754 40.42 1YR FALSE 1103574386 REDUCED PA1603EI_ARM-INTONLY 0 770000 154000 100 663 36.64 1YR FALSE 1103574452 NINA SA2602E_ARM 0 0 0 80 653 0 NO-PREPAY MI 1103574476 REDUCED PF1630I_FIX-INTONLY 0 650000 97500 95 640 44.29 NO-PREPAY MI 1103574602 REDUCED PA1605EI_ARM-INTONLY 0 560000 112000 100 643 46.17 5YR FALSE 1103574630 REDUCED PA0605EI_ARM-INTONLY 0 273000 54600 100 715 39.18 5YR TRUE 1103574632 REDUCED PF0630_FIXEDRATE 0 184000 46000 95 745 39.02 3YR FALSE 1103574641 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 676 38.72 3YR FALSE 1103574650 FULL/ALT PF0630I_FIX-INTONLY 0 378798 75759 100 747 45.02 NO-PREPAY MI 1103574685 REDUCED PA1605EI_ARM-INTONLY 0 665000 133000 90 652 46.42 1YR FALSE 1103574716 REDUCED PF1630I_FIX-INTONLY 0 168990 42247 95 641 50 1YR FALSE 1103574737 NINA SF0630I_FIX-INTONLY 0 0 0 75 724 0 3YR FALSE 1103574749 REDUCED PF2630_FIXEDRATE 0 0 0 68.65 628 54.85 3YR FALSE 1103574758 REDUCED PF1630I_FIX-INTONLY 0 150000 37500 100 641 46.24 3YR FALSE 1103574763 REDUCED PF0630I_FIX-INTONLY 0 0 0 75 761 0 2YR FALSE 1103574817 REDUCED PB3640_BALLOON 0 0 0 13.12 609 32.06 1YR FALSE 1103575415 REDUCED PB2640_BALLOON 0 0 87000 95 625 41.81 1YR FALSE 1103575486 REDUCED PF0630I_FIX-INTONLY 0 344933 51739 95 691 45 NO-PREPAY MI 1103574839 REDUCED PA2603EI_ARM-INTONLY 0 503500 75525 95 635 43 2YR FALSE 1103574902 NINA SF0630I_FIX-INTONLY 0 216432 0 78.51 687 0 3YR TRUE 1103574926 NINA EF0630I_FIX-INTONLY 25 245500 0 90 691 0 2YR FALSE 1103574965 REDUCED PF0630I_FIX-INTONLY 0 145000 36250 95 724 39.7 NO-PREPAY MI 1103574973 FULL/ALT PA0603E_ARM 0 0 0 80 771 19.38 3YR FALSE 1103574987 REDUCED PA0603EI_ARM-INTONLY 0 325000 65000 95 716 0 1YR FALSE 1103574989 REDUCED PA0605EI_ARM-INTONLY 0 524900 78750 95 705 40.84 NO-PREPAY MI 1103575043 REDUCED PA0603EI_ARM-INTONLY 0 579000 115800 100 683 0 2YR FALSE 1103575064 REDUCED PF0630I_FIX-INTONLY 0 815000 300000 100 797 42.15 6MO FALSE 1103575078 REDUCED PF1630_FIXEDRATE 0 176908 35382 100 659 35.99 3YR FALSE 1103575081 REDUCED PF0630_FIXEDRATE 0 0 0 50 733 38.05 5YR FALSE 1103575091 NINA SF6630_FIXEDRATE 0 0 0 75 531 1 1YR FALSE 1103575099 REDUCED PF0630I_FIX-INTONLY 0 595000 59500 90 780 49.98 NO-PREPAY MI 1103575109 REDUCED PF0630I_FIX-INTONLY 0 168990 25348 95 741 47.03 5YR FALSE 1103575151 SISA PF0630I_FIX-INTONLY 0 0 0 80 690 42.41 3YR TRUE 1103575162 REDUCED PA0605EI_ARM-INTONLY 0 320000 64000 90 737 44.42 NO-PREPAY MI 1103575227 NINA SF0630_FIXEDRATE 0 0 0 70 687 0 1YR FALSE 1103575291 REDUCED PF0630I_FIX-INTONLY 0 275000 55000 95 685 37.65 NO-PREPAY MI 1103575403 REDUCED PF0630_FIXEDRATE 0 171000 25650 95 770 24.59 NO-PREPAY MI 1103575182 REDUCED AA1602EI_ARM-INTONLY 0 140000 28000 100 725 37.63 2YR TRUE 1103575345 REDUCED PA0605EI_ARM-INTONLY 0 575000 143750 100 727 47.91 3YR FALSE 1103575356 REDUCED PA0603EI_ARM-INTONLY 0 543000 135750 100 717 0 3YR FALSE 1103575380 REDUCED PF0630_FIXEDRATE 0 0 0 75 681 49.78 3YR FALSE 1103575448 FULL/ALT PF1630I_FIX-INTONLY 0 309491 61850 99.98 644 48.41 NO-PREPAY MI 1103575459 NINA EA2607EI_ARM-INTONLY 25 155000 0 90 661 0 NO-PREPAY MI 1103575780 FULL/ALT PF1630_FIXEDRATE 0 0 0 63.92 665 50.23 3YR FALSE 1103575889 SISA PF1630I_FIX-INTONLY 0 0 0 60 645 39.34 1YR FALSE 1103575915 REDUCED PA0603EI_ARM-INTONLY 0 1090000 310650 95 696 0 NO-PREPAY MI 1103575947 REDUCED PA1605EI_ARM-INTONLY 0 269900 0 79.74 0 0 5YR TRUE 1103576056 REDUCED PF0630I_FIX-INTONLY 0 0 55500 95 682 23.64 NO-PREPAY MI 1103576057 REDUCED TB0630_BALLOON 0 0 0 95 682 23.64 NO-PREPAY MI 1103576068 REDUCED PA0605EI_ARM-INTONLY 0 195990 39190 95 784 45 1YR FALSE 1103576069 REDUCED TB0630_BALLOON 0 195990 0 95 784 45 1YR FALSE 1103576122 REDUCED PF1630_FIXEDRATE 0 137000 27400 95 671 44.02 NO-PREPAY MI 1103576152 REDUCED PF0630I_FIX-INTONLY 0 417000 62550 90 709 29.84 3YR FALSE 1103576221 NINA SF2630_FIXEDRATE 0 0 0 78.34 677 0 3YR FALSE 1103587212 REDUCED PF0630_FIXEDRATE 0 0 0 50.5 698 45.57 5YR FALSE 1103587213 FULL/ALT PF0630_FIXEDRATE 0 222900 0 80 775 21.95 5YR FALSE 1103576227 REDUCED PF0630I_FIX-INTONLY 0 127900 25580 95 729 32.88 1YR FALSE 1103576242 REDUCED PF0630I_FIX-INTONLY 0 215000 32250 95 735 33.83 3YR FALSE 1103576252 REDUCED PF0630I_FIX-INTONLY 0 190000 47500 95 693 30.78 2YR FALSE 1103576253 REDUCED PF0630I_FIX-INTONLY 0 0 0 80 787 0 NO-PREPAY MI 1103576452 REDUCED PA0602EI_ARM-INTONLY 0 0 47600 95 734 40.57 2YR FALSE 1103576470 REDUCED PF1630_FIXEDRATE 0 0 0 62.38 640 39.24 1YR FALSE 1103576497 FULL/ALT PF0630I_FIX-INTONLY 0 0 0 75 725 44.29 1YR FALSE 1103576538 REDUCED PA0607EI_ARM-INTONLY 0 0 97500 95 683 43.61 1YR FALSE 1103576580 REDUCED PF0630_FIXEDRATE 0 170000 25500 95 705 39.91 NO-PREPAY MI 1103576610 REDUCED PF1630I_FIX-INTONLY 0 0 25800 90 644 39.82 NO-PREPAY MI 1103576615 REDUCED PF0630I_FIX-INTONLY 0 0 0 34.49 799 22.2 NO-PREPAY MI 1103576619 REDUCED PF1630I_FIX-INTONLY 0 269900 53950 99.99 649 35.85 2YR FALSE 1103576627 REDUCED PF0630_FIXEDRATE 0 475000 118750 95 703 47.83 3YR FALSE 1103576642 REDUCED PA1605EI_ARM-INTONLY 0 519500 103900 100 644 49.8 NO-PREPAY MI 1103576690 NO RATIO SF3630_FIXEDRATE 25 149900 0 90 619 50 2YR FALSE 1103576715 REDUCED PA2603EI_ARM-INTONLY 0 585000 117000 90 625 34.78 NO-PREPAY MI 1103576838 REDUCED PB3640_BALLOON 0 0 0 80 610 49.78 3YR FALSE 1103576848 NINA EF1630I_FIX-INTONLY 25 425000 0 90 703 0 5YR FALSE 1103576866 REDUCED PF1630I_FIX-INTONLY 0 295000 44250 95 654 40.6 1YR FALSE 1103576750 REDUCED PA0602EI_ARM-INTONLY 0 212000 31800 94.96 685 47.67 1YR FALSE 1103576850 REDUCED PA2603EI_ARM-INTONLY 0 0 0 79.72 635 0 NO-PREPAY MI 1103576901 REDUCED PF1630I_FIX-INTONLY 0 0 0 75 648 28.9 2YR FALSE 1103576904 REDUCED PA0605EI_ARM-INTONLY 0 400000 80000 100 730 0 2YR FALSE 1103576918 REDUCED PA0607E_ARM 0 455148 0 65.92 795 42.82 NO-PREPAY MI 1103576963 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65.72 740 0 3YR FALSE 1103576995 NINA SF1630_FIXEDRATE 0 0 0 59.65 691 0 3YR FALSE 1103577017 FULL/ALT PF0630_FIXEDRATE 0 0 0 33.62 778 48.87 NO-PREPAY MI 1103577034 REDUCED PF0630I_FIX-INTONLY 0 173990 34798 90 681 39.16 NO-PREPAY MI 1103577096 NINA SF2630_FIXEDRATE 0 0 0 80 660 1 3YR FALSE 1103577100 REDUCED PA2607EI_ARM-INTONLY 0 465000 93000 100 625 42.18 1YR FALSE 1103577158 REDUCED PF1630I_FIX-INTONLY 0 0 0 36.21 660 22.07 3YR FALSE 1103577209 REDUCED PA0605EI_ARM-INTONLY 0 115000 23000 100 718 37.67 2YR FALSE 1103577248 FULL/ALT PF1630_FIXEDRATE 0 179950 35990 100 646 42.07 3YR FALSE 1103577271 REDUCED PF0630I_FIX-INTONLY 0 251990 25199 90 719 32.75 2YR FALSE 1103577279 REDUCED PF1630I_FIX-INTONLY 0 0 71500 100 643 43.44 3YR FALSE 1103578008 REDUCED PF1630I_FIX-INTONLY 0 265000 39750 95 649 43.79 2YR TRUE 1103578032 REDUCED PA2605E_ARM 0 0 0 80 636 43 1YR FALSE 1103578169 REDUCED TB1730_BALLOON 0 530000 0 100 697 42 NO-PREPAY MI 1103577310 REDUCED PA0605EI_ARM-INTONLY 0 0 160750 95 680 42.45 3YR FALSE 1103577311 REDUCED TB0630_BALLOON 0 0 0 95 680 42.45 3YR FALSE 1103577353 REDUCED PA0605EI_ARM-INTONLY 0 422870 63450 95 688 0 1YR FALSE 1103577371 REDUCED PF0630I_FIX-INTONLY 0 0 0 62.98 704 41.88 3YR FALSE 1103577521 REDUCED PF0630_FIXEDRATE 0 291000 0 70 692 42.72 5YR TRUE 1103577530 REDUCED PF0630_FIXEDRATE 0 0 0 60.72 740 35 1YR FALSE 1103577610 REDUCED PF0630I_FIX-INTONLY 0 0 0 62.84 723 42 5YR FALSE 1103577666 NINA SF0630_FIXEDRATE 0 0 0 71.28 750 1 3YR FALSE 1103577693 REDUCED PF0430I_FIX-INTONLY 22 0 0 85 713 45.98 NO-PREPAY MI 1103577699 SISA PF0630I_FIX-INTONLY 0 0 0 67.33 726 47 5YR FALSE 1103577700 SISA PB0640_BALLOON 0 0 0 69.84 684 0 2YR FALSE 1103577706 NINA SF2630_FIXEDRATE 0 0 0 70 635 1 NO-PREPAY MI 1103577707 REDUCED PF2630_FIXEDRATE 0 0 0 48.86 634 46.78 NO-PREPAY MI 1103577748 FULL/ALT PF1630_FIXEDRATE 0 0 31500 95 641 46.81 NO-PREPAY MI 1103577790 NINA SF1630_FIXEDRATE 0 0 0 53.66 772 1 NO-PREPAY MI 1103577805 REDUCED PF1630I_FIX-INTONLY 0 357000 53550 95 659 35.57 2YR FALSE 1103577824 NINA SF0630I_FIX-INTONLY 0 0 0 70 693 0 NO-PREPAY MI 1103577987 NINA SF1630_FIXEDRATE 30 220000 0 95 781 1 NO-PREPAY MI 1103578000 REDUCED PF0630I_FIX-INTONLY 0 148000 37000 95 697 45.56 3YR FALSE 1103577810 FULL/ALT PA0603EI_ARM-INTONLY 0 655000 0 80 748 49.93 NO-PREPAY MI 1103577863 REDUCED PA1605EI_ARM-INTONLY 0 799000 159800 100 661 40.57 3YR FALSE 1103577898 REDUCED PA0605EI_ARM-INTONLY 0 264000 39600 90 710 27.51 3YR FALSE 1103577992 REDUCED PF0630I_FIX-INTONLY 0 930000 139500 95 732 36.33 NO-PREPAY MI 1103578036 REDUCED PA1605EI_ARM-INTONLY 0 355000 71000 100 640 43.65 3YR FALSE 1103578037 REDUCED PA0605EI_ARM-INTONLY 0 198800 39760 100 798 34.98 2YR FALSE 1103578069 FULL/ALT PA1605E_ARM 0 0 0 77.04 655 39.39 3YR FALSE 1103578096 REDUCED PA1605EI_ARM-INTONLY 0 157500 31500 90 657 45.01 2YR FALSE 1103578165 REDUCED AA1603EI_ARM-INTONLY 0 530000 106000 100 697 38.17 1YR TRUE 1103578210 REDUCED PA0607EI_ARM-INTONLY 0 98800 14820 90 685 42.24 2YR TRUE 1103578220 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 48.96 701 41.15 3YR FALSE 1103578237 REDUCED PF3630_FIXEDRATE 0 150000 0 80 669 38.96 NO-PREPAY MI 1103578283 FULL/ALT PF1430_FIXEDRATE 25 0 0 90 647 22.71 NO-PREPAY MI 1103578308 REDUCED PF0630_FIXEDRATE 0 351000 0 80 748 39.31 NO-PREPAY MI 1103578309 REDUCED PF0630I_FIX-INTONLY 0 325000 48750 95 717 44.18 NO-PREPAY MI 1103578345 REDUCED PF2630_FIXEDRATE 0 0 20000 84.94 635 43.82 3YR FALSE 1103578375 REDUCED PF0630I_FIX-INTONLY 0 685000 137000 100 783 41.21 3YR FALSE 1103578489 NO RATIO SF0630I_FIX-INTONLY 0 375000 0 80 730 1 1YR FALSE 1103578534 REDUCED PF0630I_FIX-INTONLY 0 650000 130000 100 693 46.62 1YR FALSE 1103578316 REDUCED PA0603EI_ARM-INTONLY 0 254000 63500 95 694 45 3YR TRUE 1103578493 NO RATIO SA1603EI_ARM-INTONLY 0 262600 39350 94.98 732 1 3YR FALSE 1103578514 NO RATIO SF1630_FIXEDRATE 0 0 0 55.73 692 0 NO-PREPAY MI 1103578515 REDUCED PA2605E_ARM 0 222000 0 80 638 0 1YR FALSE 1103578518 REDUCED TB0630_BALLOON 0 236900 0 90 747 33.85 NO-PREPAY MI 1103578525 REDUCED PA2602EI_ARM-INTONLY 0 190000 47500 95 629 27.63 NO-PREPAY MI 1103578624 REDUCED PF1630I_FIX-INTONLY 0 530000 106000 100 668 43.14 NO-PREPAY MI 1103578625 REDUCED TF1630_FIXEDRATE 0 530000 0 100 668 43.14 NO-PREPAY MI 1103578633 REDUCED PA0605E_ARM 0 0 0 68.2 769 41.61 1YR FALSE 1103578645 NINA EF1630_FIXEDRATE 25 0 0 90 665 1 1YR FALSE 1103578646 REDUCED TB1630_BALLOON 0 188900 0 95 648 45 NO-PREPAY MI 1103578664 REDUCED PF1630I_FIX-INTONLY 0 119900 23980 100 671 47.54 NO-PREPAY MI 1103578899 REDUCED PF0630_FIXEDRATE 0 0 0 80 732 36.85 NO-PREPAY MI 1103578926 NO RATIO SF2630I_FIX-INTONLY 0 0 62250 95 647 1 NO-PREPAY MI 1103578960 NO RATIO SF1630_FIXEDRATE 0 619000 61900 90 642 0 NO-PREPAY MI 1103578683 SISA PA0605EI_ARM-INTONLY 0 0 124000 100 738 44.51 1YR FALSE 1103581267 NO RATIO SA1605EI_ARM-INTONLY 0 0 60000 95 676 0 3YR TRUE 1103585523 REDUCED PA1607EI_ARM-INTONLY 0 0 0 70 648 0 3YR FALSE 1103578688 REDUCED PA0607EI_ARM-INTONLY 0 475000 0 74.99 754 45.21 3YR TRUE 1103578737 REDUCED PA0605EI_ARM-INTONLY 0 227000 45400 100 684 0 NO-PREPAY MI 1103578756 REDUCED PA1605EI_ARM-INTONLY 0 1500000 275000 85 658 0 3YR FALSE 1103578813 REDUCED PA0603EI_ARM-INTONLY 0 279000 83700 100 726 25.96 5YR TRUE 1103578894 NINA SF2630_FIXEDRATE 0 0 0 69.11 637 1 1YR FALSE 1103578908 REDUCED PA1605EI_ARM-INTONLY 0 0 0 44.45 646 0 3YR FALSE 1103578932 REDUCED PA0605EI_ARM-INTONLY 0 459990 45950 89.99 765 12.51 1YR FALSE 1103578991 FULL/ALT PF3630_FIXEDRATE 0 0 0 78.27 608 41.72 2YR FALSE 1103579001 REDUCED PF0630I_FIX-INTONLY 0 140000 21000 95 712 30.59 1YR FALSE 1103579015 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 680 0 3YR FALSE 1103579033 REDUCED PA0605E_ARM 0 0 0 65 708 44 1YR FALSE 1103579070 NO RATIO SF1630_FIXEDRATE 0 248000 0 75 701 52.61 NO-PREPAY MI 1103579072 REDUCED PF2630I_FIX-INTONLY 0 246000 49200 100 626 41.39 3YR FALSE 1103579091 REDUCED PF0630I_FIX-INTONLY 0 173275 34655 99.99 729 49.26 NO-PREPAY MI 1103579272 REDUCED PF2630_FIXEDRATE 0 0 0 76.48 620 24.43 NO-PREPAY MI 1103579273 SISA PF2630_FIXEDRATE 0 355000 53250 95 658 37.11 NO-PREPAY MI 1103579137 REDUCED PF2630_FIXEDRATE 0 0 0 80 630 35 3YR TRUE 1103579147 REDUCED PF2630_FIXEDRATE 0 0 0 80 630 35 3YR TRUE 1103579210 REDUCED PF0630I_FIX-INTONLY 0 165000 41250 95 764 45.73 3YR FALSE 1103579306 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 639 0 3YR FALSE 1103579097 REDUCED PF1630I_FIX-INTONLY 0 0 0 61.54 678 44.96 2YR FALSE 1103579103 REDUCED PA1605EI_ARM-INTONLY 0 250000 50000 100 678 41.99 NO-PREPAY MI 1103579114 SISA PA1607EI_ARM-INTONLY 0 0 220000 89.82 657 0 1YR FALSE 1103579115 NO RATIO SF1630_FIXEDRATE 0 210000 0 69.05 759 0 2YR FALSE 1103579198 SISA PF1630_FIXEDRATE 0 0 0 44.12 650 43.84 5YR FALSE 1103579214 NINA SA1603EI_ARM-INTONLY 0 605000 121000 100 679 0 3YR FALSE 1103579231 REDUCED PA0605EI_ARM-INTONLY 0 382000 0 70 704 27.99 1YR FALSE 1103579238 REDUCED PA0605EI_ARM-INTONLY 0 155000 23250 95 759 47.25 3YR FALSE 1103579243 REDUCED PA1402E_ARM 22 140000 0 90 641 43.72 NO-PREPAY MI 1103579262 REDUCED PF1630_FIXEDRATE 0 105900 21180 100 651 24.3 2YR FALSE 1103579263 REDUCED PF0615_FIXEDRATE 0 0 0 46.16 693 44.83 NO-PREPAY MI 1103579264 REDUCED PF0630_FIXEDRATE 0 0 0 78.82 694 28.42 1YR FALSE 1103579265 REDUCED PF1630I_FIX-INTONLY 0 687750 135080 98.21 671 44.65 1YR FALSE 1103579267 NINA SF2630I_FIX-INTONLY 0 1325000 72500 75.48 627 0 NO-PREPAY MI 1103579269 REDUCED PF1630I_FIX-INTONLY 0 395000 79000 100 670 47.28 1YR FALSE 1103579271 REDUCED PF0630I_FIX-INTONLY 0 0 51000 90 693 45.73 NO-PREPAY MI 1103579900 REDUCED PF0630I_FIX-INTONLY 0 125000 20000 95 699 36.38 NO-PREPAY MI 1103579903 REDUCED PF1630I_FIX-INTONLY 0 435000 87000 100 655 49.92 3YR TRUE 1103579270 REDUCED PF2630_FIXEDRATE 0 0 125000 99.85 628 32.84 NO-PREPAY MI 1103579275 REDUCED PF0630I_FIX-INTONLY 0 0 46260 76.1 778 36.33 1YR FALSE 1103579276 REDUCED PF0630_FIXEDRATE 0 199900 29900 94.95 686 36.35 NO-PREPAY MI 1103579331 SISA PF0630I_FIX-INTONLY 0 0 0 40.41 688 38.94 3YR FALSE 1103579366 REDUCED PF0630_FIXEDRATE 0 0 69000 100 707 48.67 3YR FALSE 1103579367 NINA SF1630I_FIX-INTONLY 0 0 0 66.8 765 1 NO-PREPAY MI 1103579395 REDUCED PF0630I_FIX-INTONLY 0 187990 37598 95 795 38.03 NO-PREPAY MI 1103579460 NINA SF0630_FIXEDRATE 0 0 0 64 777 0 NO-PREPAY MI 1103579468 SISA PF0630_FIXEDRATE 0 0 50000 95 716 0 5YR FALSE 1103579489 FULL/ALT PF0630_FIXEDRATE 0 118000 0 80 687 44.58 NO-PREPAY MI 1103579500 REDUCED PA0607EI_ARM-INTONLY 0 311900 62350 99.99 726 0 NO-PREPAY MI 1103579507 FULL/ALT PA1605EI_ARM-INTONLY 0 234000 35100 95 655 37.43 2YR FALSE 1103579509 REDUCED PF0630I_FIX-INTONLY 0 0 0 51.87 800 35.73 3YR FALSE 1103579523 FULL/ALT TB1630_BALLOON 0 234000 0 95 655 37.43 NO-PREPAY MI 1103579524 REDUCED PF0630I_FIX-INTONLY 0 0 0 72.59 687 0 1YR FALSE 1103579559 REDUCED PF0630_FIXEDRATE 0 230000 34500 95 766 46.75 NO-PREPAY MI 1103579560 REDUCED TB0630_BALLOON 0 230000 0 95 766 46.75 NO-PREPAY MI 1103580806 NINA SF0630_FIXEDRATE 0 0 0 80 719 1 3YR FALSE 1103581772 REDUCED TB1630I_BALLOON-INTONLY 0 309000 0 100 675 36 NO-PREPAY MI 1103581782 FULL/ALT PF1630I_FIX-INTONLY 0 0 0 65 663 38.48 3YR FALSE 1103579569 NO RATIO SA0603EI_ARM-INTONLY 0 164900 33000 90 758 0 3YR FALSE 1103579572 NINA SF5630_FIXEDRATE 0 0 0 27.19 563 42.24 NO-PREPAY MI 1103579576 SISA PF0630_FIXEDRATE 0 0 0 14.47 680 18.71 1YR FALSE 1103579609 REDUCED PA0605EI_ARM-INTONLY 0 315000 63000 100 724 41.1 2YR FALSE 1103579613 REDUCED PA0607EI_ARM-INTONLY 0 383000 76600 100 690 0 3YR FALSE 1103579665 SISA PA0605EI_ARM-INTONLY 25 192555 0 89.98 712 33.46 NO-PREPAY MI 1103579676 REDUCED PA2605EI_ARM-INTONLY 0 295000 73750 100 622 48.83 3YR FALSE 1103579677 REDUCED TB2630_BALLOON 0 295000 0 100 622 48.83 3YR FALSE 1103579719 REDUCED PF2630I_FIX-INTONLY 0 370000 111000 100 625 43.97 3YR FALSE 1103579723 REDUCED PA1605EI_ARM-INTONLY 0 0 155000 100 659 38.06 NO-PREPAY MI 1103579726 REDUCED TB1630_BALLOON 0 0 0 100 659 38.06 NO-PREPAY MI 1103579727 NO RATIO SF2630_FIXEDRATE 0 0 0 48.62 624 0 NO-PREPAY MI 1103579731 REDUCED PA0605EI_ARM-INTONLY 0 181827 36365 90 745 0 NO-PREPAY MI 1103579737 REDUCED PA0605EI_ARM-INTONLY 0 365000 73000 100 688 48.06 1YR FALSE 1103579755 REDUCED PA0605EI_ARM-INTONLY 0 202490 40498 95 682 48 NO-PREPAY MI 1103579879 NINA EF1630_FIXEDRATE 0 0 0 95 654 0 1YR FALSE 1103579881 REDUCED PF2630I_FIX-INTONLY 0 548000 109600 100 634 0 3YR TRUE 1103579891 NINA EF1630_FIXEDRATE 0 245000 0 90 654 1 1YR FALSE 1103579899 REDUCED PF0630I_FIX-INTONLY 0 0 0 30.26 701 33 5YR FALSE 1103579786 REDUCED PF1630I_FIX-INTONLY 0 274000 54800 100 667 42.7 2YR FALSE 1103579811 SISA PA0605EI_ARM-INTONLY 0 230500 46100 100 774 36.68 NO-PREPAY MI 1103579828 NINA SF0630I_FIX-INTONLY 0 0 0 46.65 720 1 5YR FALSE 1103579856 NINA SA2607EI_ARM-INTONLY 0 0 0 80 679 0 5YR FALSE 1103579888 REDUCED PA0405E_ARM 25 325900 0 89.91 758 27.2 NO-PREPAY MI 1103579897 NINA SF2630I_FIX-INTONLY 0 0 0 74.22 635 1 1YR FALSE 1103579938 REDUCED PA0605EI_ARM-INTONLY 0 383990 0 78.65 697 49.08 1YR FALSE 1103579963 REDUCED PF1630I_FIX-INTONLY 0 490000 98000 95 659 42.51 3YR TRUE 1103580023 REDUCED AF1630_FIXEDRATE 0 318000 47700 95 699 0 3YR FALSE 1103580024 NO RATIO SA1605E_ARM 0 0 0 80 696 1 2YR FALSE 1103580078 REDUCED PF1630I_FIX-INTONLY 0 490000 73500 95 670 48.24 NO-PREPAY MI 1103580148 SISA PA0605EI_ARM-INTONLY 0 349900 69980 100 721 48.9 3YR FALSE 1103580151 NINA SF1630_FIXEDRATE 0 0 0 75 707 0 1YR FALSE 1103580161 REDUCED PF0630_FIXEDRATE 0 0 0 65 760 42.52 3YR FALSE 1103580692 REDUCED PF1630I_FIX-INTONLY 0 0 0 65 656 38.59 2YR FALSE 1103580737 FULL/ALT TB1630_BALLOON 0 0 0 90 670 39.31 NO-PREPAY MI 1103580800 NO RATIO SF0630_FIXEDRATE 0 0 0 71.88 705 0 NO-PREPAY MI 1103581125 NINA SF0630I_FIX-INTONLY 25 262540 0 90 772 0 1YR FALSE 1103581258 REDUCED BA1202EI_ARM-INTONLY 0 99500 0 80 678 19.43 2YR FALSE 1103580166 REDUCED PF3630_FIXEDRATE 0 0 0 79.72 639 46.81 3YR FALSE 1103580173 FULL/ALT PA0605EI_ARM-INTONLY 0 213446 42650 99.98 739 41 1YR FALSE 1103580181 REDUCED PA1605EI_ARM-INTONLY 0 0 73000 95 653 0 3YR FALSE 1103580192 NO RATIO SF0615_FIXEDRATE 0 0 0 30 777 1 3YR FALSE 1103580197 REDUCED PA1605EI_ARM-INTONLY 0 800000 60000 87.5 675 36.76 NO-PREPAY MI 1103580199 REDUCED PF1630_FIXEDRATE 0 187990 0 80 640 33.16 1YR FALSE 1103580208 REDUCED TB1630_BALLOON 0 800000 0 87.5 675 36.76 NO-PREPAY MI 1103580220 REDUCED PF0630I_FIX-INTONLY 0 252000 37800 95 707 0 1YR FALSE 1103580251 SISA PA1605EI_ARM-INTONLY 0 423000 0 80 640 0 2YR FALSE 1103580254 REDUCED PF1630I_FIX-INTONLY 0 169400 42350 95 677 24.03 1YR FALSE 1103580262 REDUCED PA1605EI_ARM-INTONLY 0 264000 52800 90 662 34.47 3YR FALSE 1103580267 REDUCED PA2605EI_ARM-INTONLY 0 118000 25001 100 630 30.66 NO-PREPAY MI 1103580271 REDUCED PL3605E_ARM-BALLOON 0 0 285000 90 666 44.84 1YR FALSE 1103580311 REDUCED PA0605EI_ARM-INTONLY 0 210000 42000 95 787 0 1YR FALSE 1103580318 FULL/ALT PF0630I_FIX-INTONLY 0 0 21000 95 767 39.15 NO-PREPAY MI 1103580337 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 623 47 3YR FALSE 1103580475 REDUCED PF1630_FIXEDRATE 0 357000 53550 95 641 39.63 2YR FALSE 1103580582 REDUCED PF0630_FIXEDRATE 0 264900 26490 90 697 49.69 5YR TRUE 1103580605 REDUCED PF1630I_FIX-INTONLY 0 0 20000 90 656 41 3YR FALSE 1103580354 REDUCED PA0605EI_ARM-INTONLY 0 248000 37200 90 746 0 NO-PREPAY MI 1103580388 REDUCED PA0603EI_ARM-INTONLY 0 0 0 41.67 683 49.93 2YR FALSE 1103580397 REDUCED XA2605D_ARM 0 242439 48400 99.95 630 37.69 3YR FALSE 1103580398 REDUCED XA1605D_ARM 0 0 0 48.89 670 15.75 1YR FALSE 1103580400 REDUCED XA0605D_ARM 0 0 0 54.98 798 42.5 3YR FALSE 1103580402 REDUCED XA0605DI_ARM-INTONLY 0 183475 36600 99.94 684 44.92 3YR FALSE 1103580405 REDUCED XA0605DI_ARM-INTONLY 0 390315 77000 98.64 725 40.2 3YR FALSE 1103580406 SISA XA0605DI_ARM-INTONLY 0 319975 63899 99.95 742 42.13 1YR FALSE 1103580407 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 75.91 774 46.28 NO-PREPAY MI 1103580408 REDUCED XA0605DI_ARM-INTONLY 0 575000 57500 90 686 31.63 1YR FALSE 1103580409 REDUCED XA2605DI_ARM-INTONLY 0 0 7913 52.78 631 38.29 2YR FALSE 1103580410 REDUCED XA2605DI_ARM-INTONLY 0 440000 88000 100 636 43.59 3YR FALSE 1103580411 SISA XA1605DI_ARM-INTONLY 0 0 0 64.85 671 25.04 3YR FALSE 1103580412 SISA XA0605DI_ARM-INTONLY 0 199526.75 39900 99.99 735 31.27 5YR FALSE 1103587568 NO RATIO SA0605EI_ARM-INTONLY 0 461500 92300 100 706 0 2YR FALSE 1103587573 NO RATIO SA2605EI_ARM-INTONLY 0 330000 66000 100 677 0 NO-PREPAY MI 1103587576 NO RATIO SA2605EI_ARM-INTONLY 0 462000 92400 100 642 0 2YR FALSE 1103580413 REDUCED XA0605DI_ARM-INTONLY 0 0 0 62.87 694 39.78 1YR FALSE 1103580414 REDUCED XA2605DI_ARM-INTONLY 0 490000 98000 100 634 41.84 3YR FALSE 1103580415 REDUCED XA1605DI_ARM-INTONLY 0 0 0 75 662 20.47 3YR FALSE 1103580416 REDUCED XA1605DI_ARM-INTONLY 0 430000 0 65 640 44.55 3YR FALSE 1103580417 REDUCED XA1605DI_ARM-INTONLY 0 0 195000 90 660 37.13 3YR FALSE 1103580419 FULL/ALT XA0605DI_ARM-INTONLY 0 246000 36900 95 732 43.37 NO-PREPAY MI 1103580420 REDUCED XA0605DI_ARM-INTONLY 0 99900 0 79.98 764 32.37 NO-PREPAY MI 1103580421 SISA XA1605DI_ARM-INTONLY 0 245000 49000 100 671 41.49 3YR FALSE 1103580422 REDUCED XA2605DI_ARM-INTONLY 0 241646 0 79.87 631 34.19 3YR FALSE 1103580423 REDUCED XA0605DI_ARM-INTONLY 0 520000 104000 100 687 44.83 1YR FALSE 1103580424 REDUCED XA0605DI_ARM-INTONLY 0 392308 0 79.99 696 44.65 2YR FALSE 1103580425 REDUCED PA0605EI_ARM-INTONLY 0 0 0 79.84 696 44.65 2YR FALSE 1103580426 SISA XA1605DI_ARM-INTONLY 0 297500 59500 100 642 38.41 1YR FALSE 1103580427 REDUCED XA1605DI_ARM-INTONLY 0 230000 46000 100 659 41.88 1YR FALSE 1103587578 NINA SA0605EI_ARM-INTONLY 0 150000 22500 95 810 0 2YR FALSE 1103587581 NO RATIO SA0605EI_ARM-INTONLY 0 240000 36000 95 732 0 NO-PREPAY MI 1103587820 REDUCED TB0630_BALLOON 0 0 0 90 699 27.38 NO-PREPAY MI 1103587827 REDUCED PF0630_FIXEDRATE 0 210000 52500 95 707 45.43 3YR FALSE 1103580428 REDUCED XA1605DI_ARM-INTONLY 0 359900 36000 90 651 44.81 5YR FALSE 1103580429 FULL/ALT XA0607D_ARM 0 505000 0 67.15 717 42.82 NO-PREPAY MI 1103580431 REDUCED XA0605D_ARM 0 0 8680 58.39 699 39.63 NO-PREPAY MI 1103580479 REDUCED PA1605EI_ARM-INTONLY 0 510000 102000 100 676 0 3YR FALSE 1103580486 SISA PA0605EI_ARM-INTONLY 0 0 0 65 691 0 3YR FALSE 1103580512 REDUCED PA0605EI_ARM-INTONLY 0 269900 67475 95 729 49 2YR FALSE 1103580542 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 70 703 0 1YR FALSE 1103580608 FULL/ALT XA1610EI_ARM-INTONLY 0 0 0 63.87 669 32.55 NO-PREPAY MI 1103580671 REDUCED TB1630_BALLOON 0 0 0 88.77 660 35.74 3YR FALSE 1103580683 REDUCED PL0605E_ARM-BALLOON 0 325000 0 69.24 793 16.71 3YR FALSE 1103580700 NO RATIO SA0605EI_ARM-INTONLY 0 0 81000 95 726 0 2YR FALSE 1103580710 REDUCED PA2607EI_ARM-INTONLY 0 625000 125000 100 623 32.51 1YR FALSE 1103580719 NO RATIO SA1605EI_ARM-INTONLY 0 504490 0 80 694 1 1YR FALSE 1103580723 REDUCED PA0605EI_ARM-INTONLY 0 541000 108200 100 710 44.29 3YR FALSE 1103580769 REDUCED PA1607EI_ARM-INTONLY 0 206375 41250 99.99 670 38.93 NO-PREPAY MI 1103587834 NINA SF0630_FIXEDRATE 30 137450 0 90 672 1 3YR FALSE 1103580902 REDUCED PF0630_FIXEDRATE 0 150000 0 80 758 43.6 NO-PREPAY MI 1103581062 FULL/ALT AA1607EI_ARM-INTONLY 0 0 0 80 677 42 3YR TRUE 1103580822 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 686 1 2YR FALSE 1103580824 SISA PA2607EI_ARM-INTONLY 0 0 0 71.98 633 39.62 5YR FALSE 1103580847 REDUCED PF1630I_FIX-INTONLY 0 0 167000 100 655 44.99 3YR FALSE 1103580876 REDUCED PA2605EI_ARM-INTONLY 0 370376 74050 100 628 44.23 3YR FALSE 1103580945 REDUCED PA0603EI_ARM-INTONLY 0 305000 61000 95 706 47.54 3YR FALSE 1103580957 REDUCED PF0630I_FIX-INTONLY 0 168900 33780 90 746 34 1YR FALSE 1103580968 REDUCED PF1620_FIXEDRATE 0 0 50000 88.34 665 45.45 NO-PREPAY MI 1103580973 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 628 0 3YR FALSE 1103580976 SISA PF1630_FIXEDRATE 0 385000 0 74.03 647 40 3YR FALSE 1103581005 NINA SF0630_FIXEDRATE 0 0 0 58.17 717 1 NO-PREPAY MI 1103581021 REDUCED PA0602EI_ARM-INTONLY 0 410000 61500 95 721 49.59 NO-PREPAY MI 1103581043 SISA PA2605EI_ARM-INTONLY 0 300000 0 70 629 0 NO-PREPAY MI 1103581060 REDUCED PA0605EI_ARM-INTONLY 0 215000 21500 90 792 46.05 2YR FALSE 1103581183 NINA SF2630_FIXEDRATE 0 0 0 58.28 659 1 1YR FALSE 1103581262 NO RATIO SA1602EI_ARM-INTONLY 0 351000 70200 100 648 0 2YR FALSE 1103581214 REDUCED PA0605EI_ARM-INTONLY 0 350000 52500 95 684 48.97 1YR FALSE 1103581243 REDUCED PF0430I_FIX-INTONLY 25 0 0 88.95 698 37.54 NO-PREPAY MI 1103581256 FULL/ALT BA0202EI_ARM-INTONLY 0 149500 29900 100 729 41.57 2YR FALSE 1103581260 FULL/ALT BA0202EI_ARM-INTONLY 0 104996 20999 100 749 34.86 NO-PREPAY MI 1103581261 REDUCED PA0602EI_ARM-INTONLY 0 0 0 63.64 702 42.3 2YR FALSE 1103581263 REDUCED PA2603E_ARM 0 0 0 80 622 31.59 3YR TRUE 1103581264 REDUCED PA1605E_ARM 0 0 0 63.42 661 41.05 3YR FALSE 1103581265 REDUCED PA0602EI_ARM-INTONLY 0 217000 32550 95 741 40.03 NO-PREPAY MI 1103581270 REDUCED PA0602EI_ARM-INTONLY 0 317820 47250 94.16 744 42.46 2YR TRUE 1103581272 REDUCED PA0602EI_ARM-INTONLY 0 300000 0 80 778 36.81 2YR TRUE 1103581273 FULL/ALT PA0605EI_ARM-INTONLY 0 0 24700 94.97 690 41.21 3YR FALSE 1103581274 REDUCED PA1602EI_ARM-INTONLY 0 0 0 60 675 44.44 2YR FALSE 1103581275 REDUCED PA1602EI_ARM-INTONLY 0 100000 0 80 678 8.91 2YR FALSE 1103581276 REDUCED PA1602EI_ARM-INTONLY 0 125000 0 80 678 19.93 2YR FALSE 1103581278 NO RATIO SA1602EI_ARM-INTONLY 0 415000 83000 100 641 0 1YR FALSE 1103581279 SISA PA0602EI_ARM-INTONLY 0 0 0 79.3 727 33.52 2YR FALSE 1103581642 REDUCED PF1630_FIXEDRATE 0 105423 21084 90 673 29.16 NO-PREPAY MI 1103581762 REDUCED TB1630_BALLOON 0 0 0 90 666 38.39 2YR FALSE 1103581283 NINA XA0602E_ARM 25 179000 0 90 728 0 1YR FALSE 1103581764 REDUCED PF0630_FIXEDRATE 0 130000 32500 95 746 47.63 NO-PREPAY MI 1103581282 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 80 682 57.7 1YR FALSE 1103581285 REDUCED PA1602EI_ARM-INTONLY 0 0 32250 95 648 48.85 2YR FALSE 1103581289 NO RATIO SA1602E_ARM 0 450000 112500 95 670 0 NO-PREPAY MI 1103581292 REDUCED PA0605EI_ARM-INTONLY 0 159000 0 80 718 39.06 3YR FALSE 1103581296 NO RATIO BA0202EI_ARM-INTONLY 0 92000 20000 95 704 0 2YR FALSE 1103581297 NINA SA0602EI_ARM-INTONLY 0 0 0 70 727 0 2YR FALSE 1103581298 REDUCED PA0602EI_ARM-INTONLY 0 259770 25977 90 694 37.31 2YR FALSE 1103581299 REDUCED PA1602EI_ARM-INTONLY 0 224500 44900 100 678 35.9 2YR FALSE 1103581306 NINA SF2615_FIXEDRATE 0 0 0 80 644 1 1YR FALSE 1103581343 REDUCED PF0630I_FIX-INTONLY 0 225000 45000 95 751 42.67 1YR FALSE 1103581344 REDUCED TF0615_FIXEDRATE 0 225000 0 95 751 42.67 NO-PREPAY MI 1103581361 REDUCED PA0605EI_ARM-INTONLY 0 331801 66350 99.99 726 35 NO-PREPAY MI 1103581374 REDUCED PF1630I_FIX-INTONLY 0 0 76000 96.57 658 23.6 1YR FALSE 1103581463 REDUCED PF0630I_FIX-INTONLY 0 154900 38725 95 703 45.24 NO-PREPAY MI 1103581471 REDUCED TB0630_BALLOON 0 154900 0 95 703 44.97 NO-PREPAY MI 1103581491 REDUCED TB0630_BALLOON 0 350000 0 95 684 48.97 1YR FALSE 1103581531 REDUCED PF1630I_FIX-INTONLY 0 579000 0 80 0 45 2YR FALSE 1103581550 REDUCED PB0640_BALLOON 0 470000 94000 100 690 29.51 3YR FALSE 1103581476 REDUCED PA1605EI_ARM-INTONLY 0 0 106500 85 674 0 1YR FALSE 1103581478 REDUCED PA0607EI_ARM-INTONLY 0 750000 0 75 766 29.73 3YR TRUE 1103581509 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 691 41.35 3YR FALSE 1103581510 FULL/ALT PA1607EI_ARM-INTONLY 0 226270 45250 100 663 41.26 NO-PREPAY MI 1103581538 REDUCED PA0607EI_ARM-INTONLY 0 115900 17385 90 732 38.05 2YR TRUE 1103581540 REDUCED PA1602E_ARM 0 0 106500 100 678 40.28 1YR FALSE 1103581548 REDUCED PA0602EI_ARM-INTONLY 0 509000 127250 95 687 38.66 2YR FALSE 1103581581 SISA PA0603EI_ARM-INTONLY 0 277900 83400 100 704 42.77 1YR FALSE 1103581741 REDUCED PA1602EI_ARM-INTONLY 0 0 156900 100 679 38.4 2YR FALSE 1103581742 REDUCED TB1630_BALLOON 0 0 0 100 679 38.4 2YR FALSE 1103581771 REDUCED PA1605EI_ARM-INTONLY 0 309000 92700 100 675 36 2YR FALSE 1103581794 REDUCED PF0630I_FIX-INTONLY 0 420000 95000 97.62 792 43.05 NO-PREPAY MI 1103581795 REDUCED TB0630_BALLOON 0 420000 0 97.62 792 43.05 NO-PREPAY MI 1103581827 REDUCED PA2605EI_ARM-INTONLY 0 200000 40000 100 633 43.73 2YR FALSE 1103581848 FULL/ALT PA0603EI_ARM-INTONLY 0 0 0 80 694 36.71 3YR FALSE 1103588184 REDUCED TB0630_BALLOON 0 155000 0 100 752 47.39 NO-PREPAY MI 1103588274 FULL/ALT TB0630_BALLOON 0 118000 0 95 691 32.17 NO-PREPAY MI 1103588362 NO RATIO SA2605EI_ARM-INTONLY 0 290000 43500 95 650 0 NO-PREPAY MI 1103588346 REDUCED TB2630_BALLOON 0 139789 0 94.97 635 34.01 NO-PREPAY MI 1103581893 REDUCED PF0630I_FIX-INTONLY 0 0 0 72.96 708 32.19 3YR FALSE 1103581901 REDUCED PB0640_BALLOON 0 190000 47500 100 691 28.58 1YR FALSE 1103581912 REDUCED TF0630_FIXEDRATE 0 190000 0 100 691 28.58 1YR FALSE 1103581926 REDUCED PF1630I_FIX-INTONLY 0 334750 83687 95 640 40.47 NO-PREPAY MI 1103581927 REDUCED TB1630_BALLOON 0 334750 0 95 640 40.47 NO-PREPAY MI 1103581970 NO RATIO SF0630_FIXEDRATE 30 192490 0 94.29 719 1 NO-PREPAY MI 1103581993 REDUCED PA0605EI_ARM-INTONLY 0 485000 97000 95 745 24.65 NO-PREPAY MI 1103582021 REDUCED PA0605EI_ARM-INTONLY 0 0 0 57.15 766 44.03 1YR TRUE 1103582022 REDUCED PF1630I_FIX-INTONLY 0 359000 0 80 679 48.85 3YR FALSE 1103582033 REDUCED PA1605EI_ARM-INTONLY 0 260000 52000 100 654 43.3 1YR FALSE 1103582042 REDUCED PF0630_FIXEDRATE 0 280000 42000 95 735 40.95 NO-PREPAY MI 1103582043 REDUCED TB0630_BALLOON 0 280000 0 95 735 40.95 NO-PREPAY MI 1103582050 REDUCED PA0605EI_ARM-INTONLY 0 0 66750 90 707 0 NO-PREPAY MI 1103582073 SISA PF0630_FIXEDRATE 0 0 0 23.24 686 52.98 NO-PREPAY MI 1103582075 REDUCED PA0605E_ARM 0 0 0 80 736 36.5 NO-PREPAY MI 1103582501 NINA SF2630I_FIX-INTONLY 0 0 0 80 627 0 1YR FALSE 1103582642 REDUCED TB0630_BALLOON 0 163620 0 100 691 43.49 NO-PREPAY MI 1103582643 REDUCED PF1630I_FIX-INTONLY 0 190000 28500 95 668 50 1YR FALSE 1103582098 NINA SF1630I_FIX-INTONLY 0 0 0 58.83 730 0 1YR FALSE 1103582125 REDUCED PF1630I_FIX-INTONLY 0 140000 35000 100 667 36.93 3YR FALSE 1103582169 REDUCED PF0630I_FIX-INTONLY 0 402800 80560 100 713 38.4 NO-PREPAY MI 1103582170 REDUCED TB0630_BALLOON 0 402800 0 100 713 38.4 NO-PREPAY MI 1103582118 REDUCED PF0630I_FIX-INTONLY 0 0 0 47.78 747 40.83 3YR FALSE 1103582165 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 736 43.41 1YR FALSE 1103582175 REDUCED PF0630I_FIX-INTONLY 0 520000 52000 90 693 44.02 NO-PREPAY MI 1103582213 REDUCED PF1630_FIXEDRATE 0 0 0 58.34 667 35.14 2YR FALSE 1103582221 REDUCED PA0603EI_ARM-INTONLY 0 485000 97000 100 712 41.44 3YR FALSE 1103582245 NINA SA2605E_ARM 0 0 0 31.53 651 1 3YR FALSE 1103582267 NINA SF0630I_FIX-INTONLY 0 0 0 50.48 740 0 NO-PREPAY MI 1103582270 NO RATIO SF0630I_FIX-INTONLY 0 0 0 70 720 1 2YR FALSE 1103582299 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 48.34 712 1 1YR FALSE 1103582300 FULL/ALT PA0603EI_ARM-INTONLY 0 440000 110000 100 723 48.94 3YR FALSE 1103582302 REDUCED PA0607EI_ARM-INTONLY 0 1050000 105000 80 735 0 5YR FALSE 1103582312 NINA SA1602EI_ARM-INTONLY 0 163232 0 42.89 749 1 NO-PREPAY MI 1103583016 REDUCED PF0630I_FIX-INTONLY 0 0 0 59.2 785 43.59 3YR FALSE 1103583132 FULL/ALT PF0630_FIXEDRATE 0 0 0 75 729 33.48 3YR FALSE 1103583147 REDUCED PF3630_FIXEDRATE 0 246332 0 80 619 33.54 NO-PREPAY MI 1103582400 NINA SA1605EI_ARM-INTONLY 0 405220 0 80 650 1 1YR FALSE 1103582404 REDUCED PF1630I_FIX-INTONLY 0 400000 80000 100 644 0 NO-PREPAY MI 1103582426 REDUCED PL1603E_ARM-BALLOON 0 330000 66000 100 644 40.73 3YR FALSE 1103582443 REDUCED PF0630I_FIX-INTONLY 0 584900 87735 95 736 44.26 NO-PREPAY MI 1103582454 REDUCED PA1605EI_ARM-INTONLY 0 292000 58400 100 665 44.55 3YR FALSE 1103582497 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 80 684 1 3YR FALSE 1103582560 REDUCED PA1605EI_ARM-INTONLY 0 377005 75400 100 647 43.1 2YR FALSE 1103582565 REDUCED PA0607EI_ARM-INTONLY 0 0 48000 88.89 681 0 2YR FALSE 1103582594 FULL/ALT PA2605EI_ARM-INTONLY 0 174500 34900 100 632 37.26 NO-PREPAY MI 1103582599 REDUCED PA0605EI_ARM-INTONLY 0 315000 31500 90 758 48.83 NO-PREPAY MI 1103582608 FULL/ALT PF0630I_FIX-INTONLY 0 0 0 80 752 30.6 1YR TRUE 1103582613 REDUCED PL0602E_ARM-BALLOON 0 163620 32724 100 691 43.49 NO-PREPAY MI 1103582662 REDUCED PA0605EI_ARM-INTONLY 0 865000 173000 90 689 49.34 NO-PREPAY MI 1103582667 REDUCED PA0607EI_ARM-INTONLY 0 0 0 74.67 766 0 2YR FALSE 1103582700 SISA PF0630I_FIX-INTONLY 0 0 36000 90 742 30.96 3YR FALSE 1103585194 REDUCED PF1630I_FIX-INTONLY 0 1000000 200000 95 674 0 NO-PREPAY MI 1103585470 REDUCED PF1630I_FIX-INTONLY 0 210000 42000 90 670 29.91 3YR FALSE 1103585479 REDUCED TB1630_BALLOON 0 576000 0 99.92 644 45 NO-PREPAY MI 1103582728 REDUCED PA1605EI_ARM-INTONLY 0 494000 98800 100 665 46.21 3YR FALSE 1103582746 REDUCED PF1630I_FIX-INTONLY 0 185000 46250 95 663 35.95 NO-PREPAY MI 1103582857 REDUCED PF0630I_FIX-INTONLY 0 259000 51800 95 775 35.19 1YR FALSE 1103583010 REDUCED PF0630I_FIX-INTONLY 0 350000 87500 95 711 45.4 NO-PREPAY MI 1103583014 REDUCED PF2630I_FIX-INTONLY 0 210000 42000 100 639 45 5YR TRUE 1103582747 REDUCED TB1630_BALLOON 0 185000 0 95 663 35.95 NO-PREPAY MI 1103582752 REDUCED PF1630_FIXEDRATE 0 0 0 20.87 649 27.01 1YR FALSE 1103582794 REDUCED PA1605EI_ARM-INTONLY 0 449000 89800 100 670 44.08 1YR FALSE 1103582796 NO RATIO SF0630_FIXEDRATE 0 880000 0 70 782 0 3YR FALSE 1103582849 NINA EF0630_FIXEDRATE 25 324950 0 90 707 0 NO-PREPAY MI 1103582894 REDUCED PA1605EI_ARM-INTONLY 0 363283 0 80 0 10.69 5YR FALSE 1103582895 REDUCED PA1605EI_ARM-INTONLY 0 0 109500 100 676 46.46 3YR FALSE 1103582940 FULL/ALT PA0605EI_ARM-INTONLY 22 0 0 85 687 48.73 NO-PREPAY MI 1103582957 FULL/ALT PA0605EI_ARM-INTONLY 0 490000 94962 99.38 783 41.24 NO-PREPAY MI 1103582959 REDUCED PA0605EI_ARM-INTONLY 0 370000 74000 100 754 40.95 NO-PREPAY MI 1103582982 REDUCED PA1605EI_ARM-INTONLY 0 489245 97800 99.99 666 44.08 1YR FALSE 1103583194 REDUCED PB1640_BALLOON 0 102000 0 75 672 21.08 NO-PREPAY MI 1103583454 REDUCED PF2630_FIXEDRATE 0 0 0 57.27 630 33.23 3YR FALSE 1103583224 REDUCED PB1640_BALLOON 0 206000 0 75 672 19.16 NO-PREPAY MI 1103583033 REDUCED PA0605E_ARM 0 517500 0 80 699 49.92 NO-PREPAY MI 1103583088 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 650 0 NO-PREPAY MI 1103583110 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 650 0 2YR FALSE 1103583153 REDUCED PF0630_FIXEDRATE 0 480925 0 66.54 728 47.23 1YR FALSE 1103583440 REDUCED TB1630_BALLOON 0 0 0 90 672 39.2 NO-PREPAY MI 1103583215 REDUCED PA2605EI_ARM-INTONLY 0 0 0 62.5 637 32.1 2YR FALSE 1103583231 REDUCED PF0630_FIXEDRATE 0 145000 36250 95 800 37.56 2YR FALSE 1103583236 REDUCED PA2605EI_ARM-INTONLY 0 0 0 59.48 630 27.87 1YR FALSE 1103583260 REDUCED PF1630_FIXEDRATE 0 0 0 49.28 665 0 5YR FALSE 1103583262 NINA SF2630_FIXEDRATE 0 237500 0 80 660 0 3YR FALSE 1103583306 NO RATIO SF0630_FIXEDRATE 0 0 0 80 681 1 1YR FALSE 1103583307 REDUCED PA0605EI_ARM-INTONLY 0 419000 83800 100 712 41.14 NO-PREPAY MI 1103583308 NO RATIO EA1605EI_ARM-INTONLY 0 487000 97400 100 725 0 3YR FALSE 1103583309 REDUCED PA0605EI_ARM-INTONLY 0 290000 58000 100 753 40.6 3YR FALSE 1103583310 REDUCED PA0603EI_ARM-INTONLY 0 275000 55000 100 711 38.58 NO-PREPAY MI 1103583312 NO RATIO EA1605EI_ARM-INTONLY 0 0 42500 89.89 711 0 NO-PREPAY MI 1103583965 REDUCED PF0630_FIXEDRATE 0 520000 104000 100 725 45.9 NO-PREPAY MI 1103584807 REDUCED PF1630I_FIX-INTONLY 0 255000 63750 95 655 41.79 NO-PREPAY MI 1103585136 REDUCED PB0630_BALLOON 0 228000 34200 95 684 42.57 3YR FALSE 1103583313 REDUCED PA0605EI_ARM-INTONLY 0 380000 76000 100 735 34.1 NO-PREPAY MI 1103583314 NO RATIO EA1605EI_ARM-INTONLY 0 675000 135000 100 709 0 NO-PREPAY MI 1103583315 FULL/ALT PA0605EI_ARM-INTONLY 0 360000 72000 100 681 40.02 NO-PREPAY MI 1103583316 REDUCED PA1605EI_ARM-INTONLY 0 325000 65000 100 671 44.2 NO-PREPAY MI 1103583361 FULL/ALT PF0615_FIXEDRATE 0 0 0 70 690 46.51 NO-PREPAY MI 1103583367 FULL/ALT PF0615_FIXEDRATE 0 0 0 70 690 43.16 NO-PREPAY MI 1103583394 NO RATIO EA1605E_ARM 0 485000 97000 100 721 0 3YR FALSE 1103583317 FULL/ALT PA0605EI_ARM-INTONLY 0 389900 77980 100 704 45.24 NO-PREPAY MI 1103583318 REDUCED PA0605EI_ARM-INTONLY 0 650000 130000 100 737 44.45 3YR FALSE 1103583336 REDUCED PA2605EI_ARM-INTONLY 0 334000 116900 100 631 40.096 NO-PREPAY MI 1103583338 NO RATIO SA1605EI_ARM-INTONLY 0 0 55000 90 689 0 NO-PREPAY MI 1103583339 NO RATIO SA1603EI_ARM-INTONLY 0 0 58000 77.04 781 0 NO-PREPAY MI 1103583340 REDUCED PA1605EI_ARM-INTONLY 0 0 0 56.25 660 36.31 NO-PREPAY MI 1103583342 NO RATIO SA3630EI_ARM-INTONLY 0 185000 64750 100 631 0 NO-PREPAY MI 1103583343 SISA PA1602EI_ARM-INTONLY 0 238500 35775 95 661 36.43 3YR FALSE 1103583344 REDUCED PL1603E_ARM-BALLOON 0 223000 78050 100 640 51.11 NO-PREPAY MI 1103583395 NO RATIO XA1605D_ARM 0 360000 72000 100 697 0 NO-PREPAY MI 1103583403 NO RATIO EF0630I_FIX-INTONLY 0 0 0 75.23 710 0 1YR FALSE 1103583405 NO RATIO EF2630_FIXEDRATE 0 330000 33000 90 658 0 NO-PREPAY MI 1103583347 NINA SA2603EI_ARM-INTONLY 0 0 94800 94.88 621 44.5 NO-PREPAY MI 1103583349 NO RATIO SA3605EI_ARM-INTONLY 0 359900 71980 100 626 0 2YR FALSE 1103583351 REDUCED PA0605EI_ARM-INTONLY 0 293000 58600 100 692 50.4 NO-PREPAY MI 1103583352 REDUCED PA1630EI_ARM-INTONLY 0 0 285600 84.89 675 37.58 NO-PREPAY MI 1103583377 REDUCED PA0607EI_ARM-INTONLY 0 365000 73000 100 718 43.704 1YR FALSE 1103583380 REDUCED PA0605EI_ARM-INTONLY 0 489850 98000 100 685 38.15 3YR FALSE 1103583381 NO RATIO EA2605EI_ARM-INTONLY 0 148500 29700 100 676 0 NO-PREPAY MI 1103583384 REDUCED PA2605EI_ARM-INTONLY 0 315000 0 80 636 34.79 NO-PREPAY MI 1103583385 NO RATIO EA1605EI_ARM-INTONLY 0 520000 104000 100 689 0 3YR FALSE 1103583386 NO RATIO EA1605EI_ARM-INTONLY 0 435000 87000 100 721 0 1YR FALSE 1103583387 REDUCED XA0605DI_ARM-INTONLY 0 247000 24700 90 744 37.402 1YR FALSE 1103583388 REDUCED PA0605EI_ARM-INTONLY 0 170256 34051 100 705 41.74 NO-PREPAY MI 1103583389 NO RATIO EA2605EI_ARM-INTONLY 0 338000 67600 100 676 0 NO-PREPAY MI 1103583391 NO RATIO EA1605EI_ARM-INTONLY 0 380000 76000 100 699 0 1YR FALSE 1103583393 NO RATIO EA1605EI_ARM-INTONLY 0 389900 77980 100 752 0 1YR FALSE 1103583399 REDUCED PA1603E_ARM 0 445000 66750 95 658 42.22 1YR FALSE 1103583401 REDUCED PF0630_FIXEDRATE 0 267825 40200 94.99 712 37.64 3YR FALSE 1103583402 REDUCED PF0630I_FIX-INTONLY 0 0 58000 90 757 40.33 3YR FALSE 1103583406 REDUCED PF1630_FIXEDRATE 0 232000 0 80 658 38.92 NO-PREPAY MI 1103583425 REDUCED PF0630I_FIX-INTONLY 0 189900 47400 94.95 704 30.45 NO-PREPAY MI 1103583443 REDUCED PA0605EI_ARM-INTONLY 0 155000 38750 95 777 44.67 6MO FALSE 1103590838 REDUCED TB0630_BALLOON 0 0 0 90 730 36.39 3YR FALSE 1103593687 REDUCED PF0630I_FIX-INTONLY 0 0 0 80 702 48.04 3YR FALSE 1103602244 NINA SF2615_FIXEDRATE 0 0 0 50 651 0 3YR FALSE 2503181031 REDUCED TB0630_BALLOON 0 0 0 90 706 37.36 NO-PREPAY MI 1103583496 REDUCED PA1605EI_ARM-INTONLY 0 500000 50000 90 657 37.8 NO-PREPAY MI 1103583506 REDUCED PA0605EI_ARM-INTONLY 0 420000 84000 100 707 40.71 2YR FALSE 1103583514 REDUCED TB0630I_BALLOON-INTONLY 0 420000 0 100 707 40.71 2YR FALSE 1103583526 FULL/ALT PF0615_FIXEDRATE 0 0 0 70 690 41.58 NO-PREPAY MI 1103583527 FULL/ALT PF0615_FIXEDRATE 0 0 0 70 690 42.29 NO-PREPAY MI 1103583564 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 659 36.48 1YR FALSE 1103583622 REDUCED TB1630_BALLOON 0 489500 0 100 664 39.36 3YR FALSE 1103583699 REDUCED PB1640_BALLOON 0 165000 33000 100 671 45.08 3YR FALSE 1103583831 REDUCED PF0630I_FIX-INTONLY 0 200000 40000 95 790 40.9 3YR FALSE 1103583587 NINA SA2605EI_ARM-INTONLY 0 0 0 70 676 0 2YR FALSE 1103583603 SISA PA2605EI_ARM-INTONLY 0 499950 0 72.81 627 0 NO-PREPAY MI 1103583604 REDUCED PA0605EI_ARM-INTONLY 0 0 0 27.78 725 35.48 1YR FALSE 1103583618 REDUCED PA1605EI_ARM-INTONLY 0 489500 97900 100 664 39.36 3YR FALSE 1103583623 SISA PA0603EI_ARM-INTONLY 0 380000 114000 100 725 44.74 1YR FALSE 1103583642 FULL/ALT PA1602EI_ARM-INTONLY 0 0 78000 90 669 40.36 2YR FALSE 1103583650 REDUCED PA0602EI_ARM-INTONLY 0 205000 41000 100 689 42.61 2YR FALSE 1103583652 SISA PA0605EI_ARM-INTONLY 0 207000 60600 97.59 729 41.65 1YR FALSE 1103583704 REDUCED PA1605EI_ARM-INTONLY 0 180000 36000 100 668 0 5YR FALSE 1103583735 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 71.98 706 43.49 3YR FALSE 1103583777 REDUCED PA0605EI_ARM-INTONLY 0 730000 146000 100 701 49.42 NO-PREPAY MI 1103583794 SISA PF2630I_FIX-INTONLY 0 0 0 63.58 631 36.42 1YR FALSE 1103583844 REDUCED PA2605EI_ARM-INTONLY 0 775000 193750 100 635 49.88 1YR FALSE 1103583906 REDUCED PF1630_FIXEDRATE 0 0 0 53 655 40.7 3YR FALSE 1103583941 REDUCED PA0602EI_ARM-INTONLY 0 329000 98700 100 700 48 2YR FALSE 1103583956 REDUCED PA0605EI_ARM-INTONLY 0 495000 49500 90 711 44.46 1YR FALSE 1103584033 REDUCED PA0605EI_ARM-INTONLY 0 390000 78000 100 686 35.4 5YR FALSE 1103584057 REDUCED PA1605EI_ARM-INTONLY 0 0 0 78.54 641 44.96 2YR FALSE 1103584078 REDUCED PF0630I_FIX-INTONLY 0 0 0 57.73 796 20 1YR FALSE 1103584097 REDUCED PA0605EI_ARM-INTONLY 0 698750 139750 100 743 41.83 3YR TRUE 1103584100 REDUCED PA1605EI_ARM-INTONLY 0 0 0 69.68 661 44.18 3YR FALSE 1103584105 REDUCED PA1605EI_ARM-INTONLY 0 399844 79950 99.99 667 35.98 1YR FALSE 1103584127 REDUCED PF0630_FIXEDRATE 0 0 0 49.02 704 36.94 NO-PREPAY MI 1103584433 REDUCED TB1630_BALLOON 0 785051 0 90 644 39.14 1YR FALSE 1103584467 REDUCED TB0630I_BALLOON-INTONLY 0 1070000 0 100 694 42.13 NO-PREPAY MI 1103584475 REDUCED TB0630_BALLOON 0 275000 0 100 710 48.92 1YR FALSE 1103584132 REDUCED PA0603EI_ARM-INTONLY 0 246000 73800 100 733 40.46 NO-PREPAY MI 1103584157 REDUCED PA0603EI_ARM-INTONLY 0 453700 45300 79.97 756 34.92 3YR TRUE 1103584183 REDUCED PF0630I_FIX-INTONLY 0 133500 26700 95 723 29.02 NO-PREPAY MI 1103584193 REDUCED PA0602EI_ARM-INTONLY 0 211900 42380 100 709 43.08 NO-PREPAY MI 1103584237 REDUCED XA0605D_ARM 0 0 0 70 754 24.251 NO-PREPAY MI 1103584265 REDUCED PF1630I_FIX-INTONLY 0 0 91250 100 648 38.68 3YR FALSE 1103584332 REDUCED PF2630_FIXEDRATE 0 255000 51000 100 634 46.34 3YR FALSE 1103584203 REDUCED PA1603EI_ARM-INTONLY 0 530000 106000 95 662 47.63 3YR FALSE 1103584214 REDUCED PA0602EI_ARM-INTONLY 0 895000 179000 90 741 49.15 2YR TRUE 1103584218 REDUCED XA0610DI_ARM-INTONLY 0 462000 0 80 700 32.661 NO-PREPAY MI 1103584219 REDUCED XA0605DI_ARM-INTONLY 0 499900 0 80 710 48.14 NO-PREPAY MI 1103584220 REDUCED XA0605DI_ARM-INTONLY 0 304058 0 79.99 723 35.357 NO-PREPAY MI 1103584221 REDUCED XA0605DI_ARM-INTONLY 0 255000 0 80 738 29.27 NO-PREPAY MI 1103584222 REDUCED XA0607DI_ARM-INTONLY 0 530000 52000 88.31 787 40.47 NO-PREPAY MI 1103584223 SISA XA0605D_ARM 0 339500 33950 90 705 47.473 NO-PREPAY MI 1103584224 REDUCED XA0605D_ARM 0 342900 0 29.17 757 34.44 NO-PREPAY MI 1103584226 FULL/ALT XA0605D_ARM 0 1025000 0 40.69 763 44.228 5YR TRUE 1103584227 SISA XA0610DI_ARM-INTONLY 0 1416639 0 70.17 737 40.35 NO-PREPAY MI 1103584228 REDUCED XA0610DI_ARM-INTONLY 0 0 0 71.28 807 41.11 NO-PREPAY MI 1103584229 FULL/ALT XA2607DI_ARM-INTONLY 0 680000 0 80 625 19.472 NO-PREPAY MI 1103584230 FULL/ALT XA1607DI_ARM-INTONLY 0 0 0 78.79 648 48.869 NO-PREPAY MI 1103584231 REDUCED XA0607DI_ARM-INTONLY 0 639767 0 76.54 706 47.49 NO-PREPAY MI 1103584232 REDUCED XA0607DI_ARM-INTONLY 0 470000 0 80 714 56.19 NO-PREPAY MI 1103584233 FULL/ALT XA2607DI_ARM-INTONLY 0 760000 0 80 638 39.081 NO-PREPAY MI 1103584234 FULL/ALT XA0607DI_ARM-INTONLY 0 0 0 80 782 47.58 NO-PREPAY MI 1103584235 FULL/ALT XA1607DI_ARM-INTONLY 0 624850 62485 90 645 43.71 NO-PREPAY MI 1103584236 REDUCED XA0607DI_ARM-INTONLY 0 980000 0 75 766 29.51 NO-PREPAY MI 1103584238 FULL/ALT XA1610DI_ARM-INTONLY 0 0 0 45.64 676 36.745 NO-PREPAY MI 1103584239 REDUCED XA0610DI_ARM-INTONLY 0 0 0 80 754 39.87 NO-PREPAY MI 1103584240 REDUCED XA2605DI_ARM-INTONLY 0 0 0 52.69 630 39.2 NO-PREPAY MI 1103584241 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 58.48 790 45.67 NO-PREPAY MI 1103584242 REDUCED XA1605DI_ARM-INTONLY 0 0 0 73 658 35.702 NO-PREPAY MI 1103584243 REDUCED XA0605DI_ARM-INTONLY 0 0 0 75 682 34.815 NO-PREPAY MI 1103584494 REDUCED TB0630_BALLOON 0 0 0 87.62 757 33.76 1YR FALSE 1103585221 REDUCED PF0630_FIXEDRATE 0 0 0 80 707 32.68 5YR FALSE 1103586421 REDUCED PF0630_FIXEDRATE 0 356000 71200 100 739 45 3YR FALSE 1103586422 REDUCED TB0630_BALLOON 0 356000 0 100 739 45 2YR FALSE 1103584244 REDUCED XA0607DI_ARM-INTONLY 0 0 0 77 724 37.057 NO-PREPAY MI 3900014066 NINA SF2630_FIXEDRATE 30 109900 0 95 668 1 NO-PREPAY MI 3900014070 NINA EF2630_FIXEDRATE 0 0 0 80 635 1 NO-PREPAY MI 3900014096 NO RATIO SF2630_FIXEDRATE 22 0 0 81.17 674 0 NO-PREPAY MI 1103584245 REDUCED XA1607DI_ARM-INTONLY 0 0 0 64.71 679 36.28 NO-PREPAY MI 1103584246 REDUCED XA0607DI_ARM-INTONLY 0 590000 0 80 692 35.821 NO-PREPAY MI 1103584247 FULL/ALT XA1603D_ARM 0 0 0 73.73 669 38.32 NO-PREPAY MI 1103584303 REDUCED PA0605E_ARM 0 175890 26380 95 734 31.4 5YR TRUE 1103584310 REDUCED PA1605EI_ARM-INTONLY 0 515000 75750 94.71 652 49.88 3YR FALSE 1103584373 REDUCED PA0605EI_ARM-INTONLY 0 344962 51700 89.99 704 39.15 1YR FALSE 1103584464 REDUCED PA0605EI_ARM-INTONLY 0 1070000 321000 100 694 42.13 2YR TRUE 1103584468 REDUCED PA0603EI_ARM-INTONLY 0 275000 55000 100 710 44.01 1YR FALSE 1103584486 SISA PF2630_FIXEDRATE 0 0 38600 100 630 37.53 NO-PREPAY MI 1103584546 REDUCED PA0605EI_ARM-INTONLY 0 0 112500 95 687 59.26 3YR FALSE 1103584554 REDUCED PA2605EI_ARM-INTONLY 0 985000 246250 100 628 49.91 2YR FALSE 1103584558 REDUCED PF1630I_FIX-INTONLY 0 512000 128000 95 652 41.74 3YR FALSE 1103584559 REDUCED TB1630_BALLOON 0 512000 0 95 652 41.74 3YR FALSE 1103584560 REDUCED PA0605EI_ARM-INTONLY 0 180900 36180 90 711 22.74 3YR FALSE 1103584561 FULL/ALT PA0605EI_ARM-INTONLY 0 179900 35980 100 709 37.54 2YR FALSE 1103584562 NINA SA0605EI_ARM-INTONLY 0 477500 71625 95 786 0 3YR FALSE 1103584564 REDUCED PA1605EI_ARM-INTONLY 0 0 42000 90 652 44 NO-PREPAY MI 1103584565 REDUCED PA0607EI_ARM-INTONLY 0 0 0 57.25 769 35.06 NO-PREPAY MI 1103584567 SISA PA1605EI_ARM-INTONLY 0 0 32000 90 653 43.7 3YR FALSE 1103584568 REDUCED PA0605EI_ARM-INTONLY 0 238000 47600 100 693 46.51 NO-PREPAY MI 1103584571 FULL/ALT PA1605EI_ARM-INTONLY 0 153700 30740 100 664 42.99 NO-PREPAY MI 1103584572 NO RATIO SA0605EI_ARM-INTONLY 0 671050 100658 95 683 0 6MO FALSE 1103584573 REDUCED PA1605EI_ARM-INTONLY 0 437000 65550 95 640 44.85 NO-PREPAY MI 1103584574 REDUCED PA0605E_ARM 0 625000 125000 90 717 31.22 3YR FALSE 1103584575 NO RATIO SA0605EI_ARM-INTONLY 0 540000 108000 95 758 0 3YR FALSE 1103584576 NINA XA1605DI_ARM-INTONLY 0 312900 31290 90 669 0 NO-PREPAY MI 1103584578 SISA XA1605E_ARM 0 84900 12735 95 672 26.9 NO-PREPAY MI 1103584579 REDUCED PA0605EI_ARM-INTONLY 0 229590 22959 90 779 40.07 3YR FALSE 1103584582 REDUCED PA1605EI_ARM-INTONLY 0 299000 59800 100 679 37.39 3YR FALSE 1103584599 NINA SA1605EI_ARM-INTONLY 30 395900 0 95 678 45 3YR TRUE 1103584730 REDUCED TB0630_BALLOON 0 253000 0 100 718 48.7 3YR FALSE 1103584768 NINA SF1630_FIXEDRATE 0 0 0 80 750 1 NO-PREPAY MI 1103584781 REDUCED TB0630_BALLOON 0 200000 0 95 703 27.08 NO-PREPAY MI 1103584785 REDUCED TB1630_BALLOON 0 650000 0 100 664 45 NO-PREPAY MI 1103584665 NINA SA1605EI_ARM-INTONLY 0 0 0 53.66 720 0 1YR FALSE 1103584682 REDUCED PA1605EI_ARM-INTONLY 0 0 55000 90 646 47 2YR FALSE 1103584683 REDUCED PA0607EI_ARM-INTONLY 0 943715 141500 89.99 742 38.14 NO-PREPAY MI 1103584685 SISA PA0605EI_ARM-INTONLY 0 0 0 80 706 27.75 3YR FALSE 1103584711 REDUCED PA2602EI_ARM-INTONLY 0 0 0 75 622 49.51 2YR FALSE 1103584713 SISA PA2605EI_ARM-INTONLY 0 0 102153 89.34 626 0 2YR FALSE 1103584724 REDUCED PA0602EI_ARM-INTONLY 0 253000 50600 100 718 48.7 2YR FALSE 1103584733 NINA SA0605EI_ARM-INTONLY 0 400000 0 80 720 0 1YR FALSE 1103584780 REDUCED PA0602EI_ARM-INTONLY 0 200000 50000 95 703 27.08 NO-PREPAY MI 1103584783 REDUCED PA1605EI_ARM-INTONLY 0 650000 195000 100 664 45 1YR FALSE 1103584801 REDUCED PA0603EI_ARM-INTONLY 0 534200 95000 87.39 785 17.74 3YR TRUE 1103584844 REDUCED PA0605EI_ARM-INTONLY 0 269000 53800 100 702 42.42 2YR FALSE 1103584867 FULL/ALT PA0605EI_ARM-INTONLY 0 440000 0 70 790 40.8 5YR FALSE 1103585124 REDUCED PA0602E_ARM 0 525000 157500 100 763 43.11 3YR TRUE 1103584873 SISA PA0605EI_ARM-INTONLY 0 255000 140250 95 707 35 NO-PREPAY MI 1103584882 SISA PA0605EI_ARM-INTONLY 0 332500 168875 95 707 38.1 NO-PREPAY MI 1103584883 SISA PA0605EI_ARM-INTONLY 0 332500 169575 95 707 32.97 NO-PREPAY MI 1103584884 NINA SA0605EI_ARM-INTONLY 0 0 0 70 726 0 1YR FALSE 1103584892 REDUCED PF0630I_FIX-INTONLY 0 0 33000 90 701 35.53 1YR TRUE 1103584893 REDUCED PF0630I_FIX-INTONLY 0 0 0 69.16 752 25.47 NO-PREPAY MI 1103584895 REDUCED PA0603EI_ARM-INTONLY 0 170000 34000 100 738 0 3YR FALSE 1103584899 REDUCED PA1605EI_ARM-INTONLY 0 185000 27600 95 665 15.74 3YR FALSE 1103584911 REDUCED PA0607EI_ARM-INTONLY 0 517500 0 57.98 740 0 2YR FALSE 1103584924 SISA PF0630I_FIX-INTONLY 0 0 0 57.12 755 24.63 3YR FALSE 1103584938 REDUCED TB1630_BALLOON 0 0 0 99.72 648 34.43 1YR FALSE 1103584965 REDUCED PA0605EI_ARM-INTONLY 0 275000 68750 100 686 44.42 2YR FALSE 1103584977 REDUCED PF0630I_FIX-INTONLY 0 152200 38000 95 690 34.28 1YR FALSE 1103584978 REDUCED TB0630_BALLOON 0 152200 0 95 690 34.28 NO-PREPAY MI 1103584997 REDUCED PF0630I_FIX-INTONLY 0 150400 30080 100 734 25.53 1YR FALSE 1103584999 NINA SF1630I_FIX-INTONLY 0 0 0 51.29 690 1 NO-PREPAY MI 1103585018 NO RATIO SF1630_FIXEDRATE 0 290000 0 70 692 1 NO-PREPAY MI 1103585069 NINA SF2630_FIXEDRATE 0 0 0 52.46 678 0 3YR FALSE 1103585092 NO RATIO EA1603EI_ARM-INTONLY 0 0 0 65 779 0 1YR FALSE 3900014103 NO RATIO SF1630_FIXEDRATE 30 231500 0 95 694 1 5YR FALSE 1103585021 NO RATIO SA2605EI_ARM-INTONLY 0 360000 72000 100 666 0 3YR FALSE 1103585037 NO RATIO SA0602EI_ARM-INTONLY 0 500000 100000 90 706 1 NO-PREPAY MI 1103585041 REDUCED PA0605EI_ARM-INTONLY 0 0 150000 80 727 0 NO-PREPAY MI 1103585074 REDUCED PA0603EI_ARM-INTONLY 0 672500 134500 100 682 39.177 1YR FALSE 1103585075 SISA PA0603EI_ARM-INTONLY 0 0 52000 83 686 44.78 1YR FALSE 1103585076 NO RATIO EA1603EI_ARM-INTONLY 0 439000 131700 100 748 0 1YR FALSE 1103585077 REDUCED PA0603EI_ARM-INTONLY 0 0 39000 75 716 38.313 3YR FALSE 1103585078 REDUCED PA0603EI_ARM-INTONLY 0 0 137500 94.15 733 48.4 NO-PREPAY MI 1103585079 REDUCED PA0603EI_ARM-INTONLY 0 0 0 69.99 703 21.49 3YR FALSE 1103585080 REDUCED PA0603EI_ARM-INTONLY 0 0 0 69.99 703 21.49 3YR FALSE 1103585081 REDUCED PA0603EI_ARM-INTONLY 0 0 0 69.9 703 20.468 3YR FALSE 1103585082 REDUCED PA0603EI_ARM-INTONLY 0 0 0 69.99 703 21.49 3YR FALSE 1103585083 REDUCED PA0603EI_ARM-INTONLY 0 0 181500 100 685 45.15 1YR FALSE 1103585084 REDUCED PA0603EI_ARM-INTONLY 0 0 200000 89.05 695 43.66 1YR FALSE 1103585085 REDUCED PA0603EI_ARM-INTONLY 0 274900 54980 100 788 43.43 1YR FALSE 1103585305 NINA SF0630_FIXEDRATE 0 90000 13500 95 697 1 NO-PREPAY MI 1103585331 REDUCED TB1730_BALLOON 0 650000 0 100 690 38.27 NO-PREPAY MI 1103585335 REDUCED TB1630_BALLOON 0 329780 0 100 674 44 2YR FALSE 1103585086 REDUCED PA0603EI_ARM-INTONLY 0 0 144000 100 728 35.53 3YR FALSE 1103585087 REDUCED PA0605EI_ARM-INTONLY 0 0 0 47.42 753 51.42 1YR FALSE 1103585088 REDUCED PA0603EI_ARM-INTONLY 0 447500 134250 100 694 48.29 3YR FALSE 1103585089 REDUCED PA0603EI_ARM-INTONLY 0 0 0 66.98 792 39.54 3YR FALSE 1103585090 REDUCED PA0603EI_ARM-INTONLY 0 0 57442 79.99 784 53.2 1YR FALSE 1103585091 REDUCED PA0603EI_ARM-INTONLY 0 825000 165000 100 684 40.77 1YR FALSE 1103585093 NO RATIO EA1603EI_ARM-INTONLY 0 0 0 63.39 779 0 1YR FALSE 1103585094 NO RATIO EA1603EI_ARM-INTONLY 0 0 0 58.98 779 0 1YR FALSE 1103585095 REDUCED PA1603EI_ARM-INTONLY 0 397500 79500 100 680 46.795 3YR TRUE 1103585096 SISA PA0603E_ARM 0 0 0 56.11 712 34.616 1YR FALSE 1103585097 REDUCED PA0603EI_ARM-INTONLY 0 0 200000 99.42 718 40 1YR FALSE 1103585098 REDUCED PA0603EI_ARM-INTONLY 0 360000 72000 100 693 42.871 2YR FALSE 1103585099 REDUCED PA0603EI_ARM-INTONLY 0 0 67995 89.74 713 35.78 1YR FALSE 1103585153 REDUCED PA0605EI_ARM-INTONLY 0 368900 73750 99.99 720 33.7 2YR FALSE 1103585178 SISA PA0605EI_ARM-INTONLY 0 375000 0 80 705 44 3YR FALSE 1103585245 REDUCED TB1630_BALLOON 0 0 0 90 651 39.75 3YR FALSE 1103585268 SISA PF0630_FIXEDRATE 0 0 0 75 781 34.82 3YR TRUE 1103585289 REDUCED TB2630_BALLOON 0 520000 0 100 638 41.27 3YR FALSE 1103585238 REDUCED PA2605EI_ARM-INTONLY 0 279900 55980 100 624 47.86 3YR TRUE 1103585276 NINA EF0630I_FIX-INTONLY 25 525000 0 89.99 701 0 NO-PREPAY MI 1103585288 REDUCED PA2605EI_ARM-INTONLY 0 520000 104000 100 638 39.98 1YR FALSE 1103585290 REDUCED PA1605EI_ARM-INTONLY 0 493000 98600 99.92 641 44.45 NO-PREPAY MI 1103585312 REDUCED PA0605EI_ARM-INTONLY 0 260000 53750 95 698 29.02 3YR FALSE 1103585327 REDUCED PA0602E_ARM 0 650000 130000 100 690 38.27 NO-PREPAY MI 1103585377 NINA SA2605E_ARM 30 0 0 95 660 1 3YR FALSE 1103585385 SISA PA0605EI_ARM-INTONLY 0 829900 0 70 705 43.4 5YR TRUE 1103585444 REDUCED PA0603EI_ARM-INTONLY 0 616200 0 32.46 772 32.56 3YR TRUE 1103585463 REDUCED PF1630I_FIX-INTONLY 0 265000 53000 100 670 24.95 1YR FALSE 1103585472 REDUCED PF1630I_FIX-INTONLY 0 576000 115200 99.92 644 47 1YR FALSE 1103585530 REDUCED PA0607EI_ARM-INTONLY 0 550000 137500 100 708 46 1YR FALSE 1103585539 NINA SA2605EI_ARM-INTONLY 0 0 0 70 645 1 3YR FALSE 1103585553 REDUCED PA0605EI_ARM-INTONLY 0 575000 86250 95 717 0 6MO FALSE 1103585561 REDUCED PF1630_FIXEDRATE 0 0 0 69.05 676 38.45 2YR FALSE 1103585569 REDUCED PA2605EI_ARM-INTONLY 0 570000 114000 100 635 40.01 NO-PREPAY MI 1103585578 REDUCED PF0630_FIXEDRATE 0 0 0 65.52 751 32.53 2YR FALSE 1103585592 REDUCED PA1605EI_ARM-INTONLY 0 0 45150 90 645 0 6MO FALSE 1103585655 REDUCED PF0630I_FIX-INTONLY 0 0 0 42.47 711 37.65 3YR FALSE 1103585674 REDUCED TB1630_BALLOON 0 260000 0 100 654 43.3 1YR FALSE 1103585702 NO RATIO SA0605EI_ARM-INTONLY 0 250000 50000 100 687 0 3YR FALSE 1103585747 SISA PA0605E_ARM 0 0 0 70 704 43.74 NO-PREPAY MI 1103585760 REDUCED PA2605E_ARM 0 0 0 73.47 624 39.48 1YR FALSE 1103585767 REDUCED PA0605EI_ARM-INTONLY 0 0 20000 80 682 0 3YR FALSE 1103585772 REDUCED PA2605EI_ARM-INTONLY 0 555000 138750 100 637 44.46 1YR FALSE 1103585773 REDUCED TB2630_BALLOON 0 555000 0 100 637 43.03 1YR FALSE 1103586300 SISA BA1202E_ARM 0 640000 128000 100 678 48.06 1YR FALSE 1103586301 NO RATIO SA1605E_ARM 0 310000 62000 100 703 0 NO-PREPAY MI 1103586375 REDUCED PA0603EI_ARM-INTONLY 0 705000 141000 100 757 0 2YR FALSE 1103585784 REDUCED PA0605EI_ARM-INTONLY 0 142800 28560 100 692 33.45 3YR FALSE 1103585789 REDUCED PF0630_FIXEDRATE 0 168500 33700 100 704 29.69 NO-PREPAY MI 1103585790 REDUCED TB0630_BALLOON 0 168500 0 100 704 29.69 NO-PREPAY MI 1103586051 REDUCED PF0630I_FIX-INTONLY 0 214990 53747 100 699 49.58 2YR FALSE 1103586133 REDUCED TF0630I_FIX-INTONLY 0 279670 0 100 689 44.46 1YR FALSE 1103585796 REDUCED PA2605EI_ARM-INTONLY 0 2000000 300000 85 655 42.73 3YR FALSE 1103585925 REDUCED PF0630I_FIX-INTONLY 0 316000 63200 100 680 46.81 1YR FALSE 1103585972 REDUCED PA0605E_ARM 0 0 0 24.47 792 0 1YR FALSE 1103585979 REDUCED PA0602EI_ARM-INTONLY 0 565000 141250 100 780 32.91 5YR FALSE 1103585980 REDUCED PA1603EI_ARM-INTONLY 0 385000 77000 100 670 41.09 3YR FALSE 1103586010 REDUCED PA0605EI_ARM-INTONLY 0 387500 77500 100 683 43.62 NO-PREPAY MI 1103586012 REDUCED PA1605EI_ARM-INTONLY 0 776000 194000 95 659 44.17 6MO FALSE 1103586015 REDUCED PA0605EI_ARM-INTONLY 0 175000 26250 95 756 44.89 5YR TRUE 1103586020 REDUCED PA0605EI_ARM-INTONLY 0 686200 171500 94.71 791 14.27 NO-PREPAY MI 1103586039 REDUCED PF1630_FIXEDRATE 0 430000 0 36.28 668 34.72 3YR FALSE 1103586073 REDUCED PA0605EI_ARM-INTONLY 0 440000 88000 100 717 49.7 5YR FALSE 1103586239 REDUCED PF0630_FIXEDRATE 0 253500 38025 95 715 40.37 NO-PREPAY MI 1103586246 REDUCED TB0630_BALLOON 0 253500 0 95 715 40.37 NO-PREPAY MI 1103586104 NINA SF0630_FIXEDRATE 0 0 0 58.63 696 0 2YR FALSE 1103586126 REDUCED PF2630_FIXEDRATE 0 0 0 55.81 630 46.42 2YR FALSE 1103586601 NO RATIO SA2605E_ARM 0 0 0 70 638 0 NO-PREPAY MI 1103586611 FULL/ALT XA2605E_ARM 0 0 0 80 622 54.901 NO-PREPAY MI 1103586656 REDUCED PF0630I_FIX-INTONLY 0 292550 58510 100 729 46.28 NO-PREPAY MI 1103586144 SISA PF1630I_FIX-INTONLY 0 0 0 58.14 652 32.14 5YR FALSE 1103586199 REDUCED PA1605EI_ARM-INTONLY 0 0 0 74.93 669 48.11 2YR FALSE 1103586213 FULL/ALT PA0605EI_ARM-INTONLY 0 0 40000 90 714 42.02 5YR FALSE 1103586225 SISA PA2605EI_ARM-INTONLY 0 0 0 80 635 41 3YR FALSE 1103586230 REDUCED PF0630I_FIX-INTONLY 0 165945 41486 95 777 41.57 NO-PREPAY MI 1103586235 REDUCED PA1605EI_ARM-INTONLY 0 0 0 59.43 641 34.54 2YR FALSE 1103586291 REDUCED PA1605EI_ARM-INTONLY 0 0 92250 95 655 0 3YR FALSE 1103586296 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 677 0 2YR FALSE 1103586302 REDUCED PA0605E_ARM 0 0 0 47.62 682 34.47 NO-PREPAY MI 1103586303 SISA XA0607D_ARM 0 159900 0 79.99 754 29.467 NO-PREPAY MI 1103586304 REDUCED PA0602EI_ARM-INTONLY 0 260000 52000 100 693 38.01 NO-PREPAY MI 1103586320 REDUCED PA1605EI_ARM-INTONLY 0 210000 31500 95 668 36 3YR FALSE 1103586366 REDUCED PA0605EI_ARM-INTONLY 0 0 120500 99.97 709 48.08 NO-PREPAY MI 1103586432 REDUCED PA0602EI_ARM-INTONLY 0 1900000 190000 85 726 37.99 2YR FALSE 1103586441 FULL/ALT PA1603EI_ARM-INTONLY 0 229000 34350 95 652 48.07 NO-PREPAY MI 1103586442 FULL/ALT TB1630_BALLOON 0 229000 0 95 652 48.07 NO-PREPAY MI 1103586571 REDUCED PA1607E_ARM 0 0 0 70 645 40 3YR FALSE 1103586594 NINA SA1605E_ARM 0 335000 0 80 792 0 NO-PREPAY MI 1103586455 REDUCED PF1630_FIXEDRATE 0 449000 0 75 657 41.51 2YR FALSE 1103586516 REDUCED PA0607E_ARM 0 298250 0 70 691 44.43 1YR FALSE 1103586542 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 677 0 2YR FALSE 1103586561 REDUCED PA0605EI_ARM-INTONLY 0 290000 58000 100 742 0 3YR FALSE 1103586581 NINA SB2640_BALLOON 0 0 0 69.33 679 0 5YR FALSE 1103586588 SISA XA0605EI_ARM-INTONLY 25 305867 0 89.98 708 47.828 NO-PREPAY MI 1103586589 REDUCED XA0410EI_ARM-INTONLY 30 415000 0 95 787 31.239 NO-PREPAY MI 1103586590 SISA PA0605E_ARM 25 170000 0 90 686 42.88 NO-PREPAY MI 1103586591 NINA BA1205EI_ARM-INTONLY 25 246000 0 90 776 0 NO-PREPAY MI 1103586592 REDUCED PA0605E_ARM 0 270000 26800 89.34 701 42.07 NO-PREPAY MI 1103586593 SISA PA1602E_ARM 0 365000 73000 100 676 41.257 1YR FALSE 1103586595 SISA PA0605EI_ARM-INTONLY 0 1750000 300000 74.29 753 40.44 NO-PREPAY MI 1103586596 REDUCED XA0605EI_ARM-INTONLY 0 335864 0 76.43 741 20.905 NO-PREPAY MI 1103586598 REDUCED PA0605E_ARM 0 300000 0 80 781 13.62 NO-PREPAY MI 1103586599 FULL/ALT PA0605EI_ARM-INTONLY 0 252000 63000 100 706 50.172 NO-PREPAY MI 1103586600 REDUCED XA0610EI_ARM-INTONLY 0 570000 85500 95 700 39.969 NO-PREPAY MI 1103586602 NO RATIO SA2605E_ARM 0 0 0 68.84 638 0 NO-PREPAY MI 1103586603 REDUCED PA0605E_ARM 0 114240 15000 88.14 749 35.253 NO-PREPAY MI 1103586604 REDUCED PA0605E_ARM 0 0 0 75 749 34.016 NO-PREPAY MI 1103586605 REDUCED XA0610EI_ARM-INTONLY 0 470000 94000 100 735 42.54 NO-PREPAY MI 1103586607 FULL/ALT PA0605EI_ARM-INTONLY 0 0 35000 86.37 681 52.469 NO-PREPAY MI 1103586608 REDUCED PA0605E_ARM 0 157000 31400 100 713 41.142 NO-PREPAY MI 1103586610 REDUCED PA0605EI_ARM-INTONLY 0 0 0 77.47 728 39.975 NO-PREPAY MI 1103586612 FULL/ALT PA0605EI_ARM-INTONLY 0 179520 17950 90 765 45.456 NO-PREPAY MI 1103586614 FULL/ALT PA1605EI_ARM-INTONLY 0 312500 46875 95 664 44.46 NO-PREPAY MI 1103586615 SISA PA2605E_ARM 0 299900 0 80 634 39.577 NO-PREPAY MI 1103586711 REDUCED TB1630_BALLOON 0 0 0 85 663 38.12 3YR FALSE 1103587214 FULL/ALT PF1630I_FIX-INTONLY 0 0 0 65 680 39.77 5YR FALSE 1103587586 FULL/ALT PA0605EI_ARM-INTONLY 0 275000 55000 100 720 42.256 NO-PREPAY MI 1103586616 SISA BA1203EI_ARM-INTONLY 0 0 0 80 671 39.522 NO-PREPAY MI 1103586617 REDUCED PA0605EI_ARM-INTONLY 0 359800 71960 100 773 45.336 NO-PREPAY MI 1103587587 FULL/ALT PA0605EI_ARM-INTONLY 0 290000 58000 100 709 49.5 NO-PREPAY MI 1103587595 NO RATIO SA0605EI_ARM-INTONLY 0 349000 69800 100 749 0 2YR FALSE 1103586618 FULL/ALT PA2605E_ARM 0 0 0 77.46 624 38.072 NO-PREPAY MI 1103586620 NINA BA2205EI_ARM-INTONLY 0 0 0 47.89 629 0 NO-PREPAY MI 1103586621 REDUCED PA1605EI_ARM-INTONLY 0 129780 25956 100 680 40.992 NO-PREPAY MI 1103586659 REDUCED PA0605EI_ARM-INTONLY 0 190000 38000 100 751 42.75 1YR FALSE 1103586672 REDUCED PA2605E_ARM 0 331000 99300 100 627 47.28 1YR FALSE 1103586684 NINA SA2605EI_ARM-INTONLY 0 540000 81000 90 645 0 1YR FALSE 1103586699 NINA SA2605EI_ARM-INTONLY 0 0 0 64.93 642 0 2YR FALSE 1103586716 SISA PF2615_FIXEDRATE 0 0 0 54.05 621 39.94 3YR FALSE 1103586731 REDUCED PA2605EI_ARM-INTONLY 0 250000 50000 100 634 38.93 5YR FALSE 1103586740 REDUCED PA1603EI_ARM-INTONLY 0 0 119000 100 646 44.51 3YR FALSE 1103586797 REDUCED PA0603EI_ARM-INTONLY 0 630000 126000 100 700 36.44 2YR FALSE 1103586799 REDUCED PA0605EI_ARM-INTONLY 0 570000 114000 100 713 47.66 1YR FALSE 1103586834 REDUCED PA0605EI_ARM-INTONLY 0 639900 0 80 767 42.9 2YR FALSE 1103586840 REDUCED PA0605EI_ARM-INTONLY 0 460000 92000 100 781 48.75 1YR FALSE 1103586881 REDUCED PF1630I_FIX-INTONLY 0 310000 62000 100 653 41.51 NO-PREPAY MI 1103586883 REDUCED PA1605EI_ARM-INTONLY 0 240000 48000 100 673 41.27 3YR FALSE 1103586889 SISA PA0605EI_ARM-INTONLY 0 0 0 70 745 0 1YR FALSE 1103586894 REDUCED TB1630_BALLOON 0 0 0 88.83 655 39.43 1YR FALSE 1103586899 REDUCED PA1605EI_ARM-INTONLY 0 0 86000 85 672 39.22 3YR FALSE 1103586900 REDUCED TB1630_BALLOON 0 0 0 85 672 39.22 3YR FALSE 1103586915 FULL/ALT PA1605EI_ARM-INTONLY 0 0 160000 100 670 42.81 1YR FALSE 1103586916 FULL/ALT TB1630_BALLOON 0 0 0 100 670 42.81 1YR FALSE 1103586946 REDUCED PA0605E_ARM 0 460581 112500 95 763 28.23 NO-PREPAY MI 1103586972 REDUCED PA1603EI_ARM-INTONLY 0 600000 150000 100 657 45.23 3YR FALSE 1103586985 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 68.5 756 0 1YR FALSE 1103586997 REDUCED PF2630I_FIX-INTONLY 0 168990 25348 95 632 43.16 5YR FALSE 1103587010 REDUCED PA0605E_ARM 0 258000 38700 95 735 24.65 NO-PREPAY MI 1103587011 REDUCED TB0630_BALLOON 0 258000 0 95 735 24.65 NO-PREPAY MI 1103587034 REDUCED PF0630_FIXEDRATE 0 0 0 80 687 47.38 3YR FALSE 1103587077 NO RATIO XA1605DI_ARM-INTONLY 0 485000 97000 100 646 0 3YR TRUE 1103587206 SISA PF0630I_FIX-INTONLY 0 580000 58000 90 770 45.88 NO-PREPAY MI 1103587210 SISA PF0630_FIXEDRATE 0 111500 0 74.98 700 33.5 NO-PREPAY MI 1103587054 REDUCED PA2605EI_ARM-INTONLY 0 316000 63200 100 637 49.12 3YR FALSE 1103587058 REDUCED PA1605EI_ARM-INTONLY 0 0 50000 90 648 43.88 3YR TRUE 1103587078 NO RATIO XA1605DI_ARM-INTONLY 0 765000 153000 100 650 0 NO-PREPAY MI 1103587079 REDUCED XA0603DI_ARM-INTONLY 0 1050000 200000 99.05 768 34.67 NO-PREPAY MI 1103587080 REDUCED XA0605DI_ARM-INTONLY 0 193500 38700 100 689 38.33 NO-PREPAY MI 1103587081 FULL/ALT XA0605DI_ARM-INTONLY 0 485000 75100 95 698 44.32 NO-PREPAY MI 1103587082 FULL/ALT XA1605DI_ARM-INTONLY 0 124500 25100 100 680 31.48 NO-PREPAY MI 1103587083 NO RATIO XA0605DI_ARM-INTONLY 0 0 64700 100 682 0 NO-PREPAY MI 1103587084 NO RATIO XA1605DI_ARM-INTONLY 0 293000 58600 100 666 0 NO-PREPAY MI 1103587086 NO RATIO XA1605DI_ARM-INTONLY 0 425000 85000 100 663 0 NO-PREPAY MI 1103587087 REDUCED XA2605DI_ARM-INTONLY 0 324500 64900 100 622 44.696 3YR TRUE 1103587088 FULL/ALT XA0607DI_ARM-INTONLY 0 215055 43000 99.98 794 39.82 NO-PREPAY MI 1103587089 NO RATIO XA1605DI_ARM-INTONLY 0 500000 100000 100 680 0 3YR TRUE 1103587090 FULL/ALT XA0607DI_ARM-INTONLY 0 177000 35400 100 747 43.35 NO-PREPAY MI 1103587091 REDUCED XA1605DI_ARM-INTONLY 0 0 91000 97.85 658 48.68 3YR TRUE 1103587092 NO RATIO SA1630EI_ARM-INTONLY 0 141900 31250 100 666 0 NO-PREPAY MI 1103587093 NO RATIO XA1605DI_ARM-INTONLY 0 0 62250 95 661 0 3YR TRUE 1103587094 NO RATIO XA2605D_ARM 0 0 65500 87.4 639 0 NO-PREPAY MI 1103587095 FULL/ALT XA1603DI_ARM-INTONLY 0 152745 30595 100 644 43.8 NO-PREPAY MI 1103587096 REDUCED XA1605DI_ARM-INTONLY 0 640000 128000 100 651 49.4 3YR TRUE 1103587097 REDUCED XA1605DI_ARM-INTONLY 0 0 41500 89.57 640 44.71 NO-PREPAY MI 1103587098 REDUCED XA1605D_ARM 0 225000 45000 100 654 39.42 NO-PREPAY MI 1103587134 REDUCED PA1605E_ARM 0 418776 83750 100 673 47.82 NO-PREPAY MI 1103587148 REDUCED PA1605EI_ARM-INTONLY 0 262500 52000 100 668 0 NO-PREPAY MI 1103587176 REDUCED PA0605EI_ARM-INTONLY 0 0 62000 86.33 758 18.67 NO-PREPAY MI 1103587177 REDUCED XA1605DI_ARM-INTONLY 0 252000 0 79.77 662 34.48 NO-PREPAY MI 1103587178 SISA XA0607DI_ARM-INTONLY 0 325000 0 80 732 36.04 NO-PREPAY MI 1103587179 REDUCED XA0605D_ARM 0 610000 122000 100 690 39.51 3YR FALSE 1103587180 FULL/ALT PA0605EI_ARM-INTONLY 0 349900 70000 100 682 48.24 3YR FALSE 1103587181 REDUCED XA0605DI_ARM-INTONLY 0 257500 64300 99.97 704 40.5 3YR FALSE 1103587182 REDUCED XA1605DI_ARM-INTONLY 0 515000 103000 100 642 38.82 2YR FALSE 1103587183 REDUCED XA1605DI_ARM-INTONLY 0 305000 61000 100 641 44.72 6MO FALSE 1103587184 REDUCED PA0605DI_ARM-INTONLY 0 0 28800 90 740 40.16 5YR FALSE 1103587185 REDUCED PA0605E_ARM 0 212000 42400 100 730 41.03 3YR FALSE 1103587186 REDUCED PA1605EI_ARM-INTONLY 0 419000 83800 100 644 44.45 3YR FALSE 1103587187 FULL/ALT PA0605DI_ARM-INTONLY 30 220000 0 95 700 34.48 NO-PREPAY MI 1103587188 REDUCED PA0605DI_ARM-INTONLY 0 420000 84000 100 806 39.42 3YR FALSE 1103587189 REDUCED XA1605DI_ARM-INTONLY 0 385000 77000 100 641 44.48 3YR FALSE 1103587190 NO RATIO SA0605EI_ARM-INTONLY 0 244000 24400 90 693 0 6MO FALSE 1103587191 REDUCED XA0605DI_ARM-INTONLY 0 254500 38100 94.98 688 43.58 5YR FALSE 1103587192 SISA XA0605DI_ARM-INTONLY 0 214900 43000 100 787 37.63 2YR FALSE 1103587193 REDUCED XA1605DI_ARM-INTONLY 0 1005000 0 74.63 645 44.16 6MO FALSE 1103587194 SISA XA0605D_ARM 0 0 0 41.72 718 39.94 NO-PREPAY MI 1103587195 REDUCED PA2605EI_ARM-INTONLY 0 378500 75700 100 625 44.3 3YR FALSE 1103587196 REDUCED XA2605DI_ARM-INTONLY 0 0 13388 53.6 624 44.02 5YR FALSE 1103587197 SISA XA0605DI_ARM-INTONLY 0 409000 81800 100 717 41.35 1YR FALSE 1103587198 REDUCED XA0605DI_ARM-INTONLY 0 117500 0 80 687 21.4 NO-PREPAY MI 1103587199 REDUCED XA0605DI_ARM-INTONLY 0 188000 0 75 687 21.4 NO-PREPAY MI 1103587200 REDUCED XA1605DI_ARM-INTONLY 0 240000 0 80 670 38.67 2YR FALSE 1103587202 REDUCED XA2605DI_ARM-INTONLY 0 0 0 52.43 629 29.78 2YR FALSE 1103587203 REDUCED PA0605DI_ARM-INTONLY 0 360000 54000 90 687 40.57 3YR FALSE 1103587204 REDUCED XA0605DI_ARM-INTONLY 0 580000 116000 100 725 44.97 3YR FALSE 1103587205 FULL/ALT PF0630I_FIX-INTONLY 0 157975 15700 89.89 705 37.79 NO-PREPAY MI 1103587207 SISA PF0630I_FIX-INTONLY 0 0 0 70 735 30.16 NO-PREPAY MI 1103587209 REDUCED PF2630_FIXEDRATE 0 0 0 53.1 630 39.09 3YR FALSE 1103587211 SISA PF0630_FIXEDRATE 0 121500 0 74.98 755 22.55 NO-PREPAY MI 1103587215 SISA PF0630_FIXEDRATE 0 658125 65800 90 775 44.88 3YR FALSE 1103587220 SISA PA2605EI_ARM-INTONLY 0 0 0 75 620 0 3YR FALSE 1103587245 NO RATIO SA0605EI_ARM-INTONLY 30 236887 0 89.98 721 0 1YR FALSE 1103587248 NO RATIO EA1605EI_ARM-INTONLY 0 0 0 78.4 797 0 1YR FALSE 1103587260 FULL/ALT PA0605EI_ARM-INTONLY 0 153000 38250 95 704 50 NO-PREPAY MI 1103587270 REDUCED PA2603EI_ARM-INTONLY 0 0 0 63.99 636 44.15 3YR FALSE 1103587301 REDUCED PF2630I_FIX-INTONLY 0 400000 120000 100 632 46.08 2YR FALSE 1103587315 REDUCED TB2630_BALLOON 0 400000 0 100 632 46.08 2YR FALSE 1103587322 SISA PA0605EI_ARM-INTONLY 0 344500 68900 100 711 49.99 2YR FALSE 1103587329 NO RATIO SA2605EI_ARM-INTONLY 0 0 109000 95 667 0 3YR FALSE 1103587333 REDUCED PF0630_FIXEDRATE 0 613000 122600 90 690 44 NO-PREPAY MI 1103587336 REDUCED PA1605EI_ARM-INTONLY 0 295000 71000 94.07 649 44.91 2YR FALSE 1103587352 REDUCED PF0630I_FIX-INTONLY 0 255000 25500 90 687 18.73 NO-PREPAY MI 1103587353 REDUCED TB0630_BALLOON 0 255000 0 90 687 18.73 NO-PREPAY MI 1103587356 REDUCED PA2602E_ARM 0 139789 20950 94.97 635 42.35 NO-PREPAY MI 1103587404 SISA PA1605E_ARM 0 137001 0 80 649 24.11 NO-PREPAY MI 1103587431 SISA PA1605E_ARM 0 137001 0 80 649 26.02 NO-PREPAY MI 1103587437 REDUCED PA2605EI_ARM-INTONLY 0 0 0 70 636 25.34 3YR TRUE 1103587464 REDUCED PA1603EI_ARM-INTONLY 0 0 0 64.3 641 0 3YR FALSE 1103587468 REDUCED PF0630I_FIX-INTONLY 0 199500 49875 95 722 32.67 NO-PREPAY MI 1103587469 REDUCED TF0630_FIXEDRATE 0 199500 0 95 722 33 NO-PREPAY MI 1103587487 NINA SF1630I_FIX-INTONLY 0 0 0 62.5 694 1 3YR FALSE 1103587476 REDUCED PA0605EI_ARM-INTONLY 0 0 0 44.9 773 19.47 1YR FALSE 1103587489 REDUCED PF0630I_FIX-INTONLY 0 0 0 51.05 766 23.88 3YR FALSE 1103587507 REDUCED PA2605EI_ARM-INTONLY 0 381000 76200 100 620 42.03 1YR FALSE 1103587510 NINA SF1630_FIXEDRATE 0 0 0 51.69 688 1 NO-PREPAY MI 1103587517 REDUCED TB1630_BALLOON 0 169000 0 95 676 33.31 NO-PREPAY MI 1103587538 REDUCED PF1630I_FIX-INTONLY 0 0 0 69.85 676 35.15 5YR FALSE 1103587555 NO RATIO SA2605EI_ARM-INTONLY 0 284900 57000 100 667 0 2YR FALSE 1103587559 FULL/ALT PA2605EI_ARM-INTONLY 0 143500 28700 100 631 34.53 2YR FALSE 1103587560 NO RATIO SA2605EI_ARM-INTONLY 0 224180 44800 99.97 677 0 2YR FALSE 1103587563 NO RATIO SA2605EI_ARM-INTONLY 0 731002 109650 95 660 0 NO-PREPAY MI 1103587564 NO RATIO SA0605EI_ARM-INTONLY 0 355000 70400 100 708 0 NO-PREPAY MI 1103587566 REDUCED PA2605EI_ARM-INTONLY 0 0 60000 100 637 42.39 2YR FALSE 1103587569 NO RATIO SA2605EI_ARM-INTONLY 0 380000 76000 100 656 0 2YR FALSE 1103587570 FULL/ALT PA0605EI_ARM-INTONLY 0 0 49000 90 740 34.45 NO-PREPAY MI 1103587571 NO RATIO BA0205EI_ARM-INTONLY 0 376195 75200 99.99 725 0 2YR FALSE 1103587572 NO RATIO SA0605E_ARM 0 117500 17600 94.98 694 0 2YR FALSE 1103587574 REDUCED PA1605E_ARM 0 280000 27450 90 661 19.01 2YR FALSE 1103587579 NO RATIO SA2605EI_ARM-INTONLY 0 409900 81950 99.99 656 0 2YR FALSE 1103587580 NO RATIO SA2605EI_ARM-INTONLY 0 307000 61400 100 666 0 NO-PREPAY MI 1103587582 NO RATIO SA0605EI_ARM-INTONLY 0 272900 54550 99.99 767 0 NO-PREPAY MI 1103587583 NINA SA2605EI_ARM-INTONLY 0 299000 44850 95 678 0 2YR FALSE 1103587584 REDUCED PA0605EI_ARM-INTONLY 0 285000 57000 100 731 44.84 2YR FALSE 1103587585 REDUCED PA2605EI_ARM-INTONLY 0 248000 49600 100 627 48.25 NO-PREPAY MI 1103587588 FULL/ALT PA2605EI_ARM-INTONLY 0 362000 72400 100 636 42.31 2YR FALSE 1103587590 FULL/ALT PA0605EI_ARM-INTONLY 0 259000 51800 100 702 35.52 NO-PREPAY MI 1103587591 REDUCED PA2605E_ARM 0 0 0 69.77 631 48.42 NO-PREPAY MI 1103587592 REDUCED PA0605EI_ARM-INTONLY 0 220000 44000 100 726 45.22 NO-PREPAY MI 1103587593 REDUCED PA0605E_ARM 0 218000 43600 100 733 42.93 NO-PREPAY MI 1103587594 NINA BA1205E_ARM 0 625000 62500 89.99 647 0 NO-PREPAY MI 1103587597 NO RATIO SA0605EI_ARM-INTONLY 0 525000 105000 100 775 0 2YR FALSE 1103587599 REDUCED PA2605EI_ARM-INTONLY 0 125000 25000 100 637 34.1 2YR FALSE 1103587601 REDUCED PF0630I_FIX-INTONLY 0 350000 0 80 687 42.815 NO-PREPAY MI 1103587602 REDUCED PF0630_FIXEDRATE 0 0 25000 100 688 47.122 2YR FALSE 1103587603 REDUCED PF1630_FIXEDRATE 0 0 25000 83.59 650 49.39 3YR FALSE 1103587606 FULL/ALT PB1640_BALLOON 0 0 0 56.49 654 46.8 2YR FALSE 1103587607 NO RATIO SF0630_FIXEDRATE 0 96000 15350 94.95 741 0 2YR FALSE 1103587608 NO RATIO SF3630_FIXEDRATE 0 0 0 75.3 612 0 NO-PREPAY MI 1103587609 NO RATIO SF2615_FIXEDRATE 0 0 0 80 675 0 NO-PREPAY MI 1103587612 REDUCED PA0603EI_ARM-INTONLY 0 255000 51000 100 725 38.635 3YR FALSE 1103587613 SISA PA0603EI_ARM-INTONLY 0 615000 123000 100 689 45.04 3YR FALSE 1103587614 NO RATIO SA1603EI_ARM-INTONLY 0 605063 121013 100 754 0 1YR FALSE 1103587615 REDUCED PA1602EI_ARM-INTONLY 0 1081712 162256 90 641 47.17 2YR FALSE 1103587616 REDUCED PA1603E_ARM 0 212000 42400 100 667 43.214 NO-PREPAY MI 1103587617 REDUCED PA1603E_ARM 0 0 0 22.13 661 18.6 2YR FALSE 1103587618 REDUCED PA0602E_ARM 0 495000 99000 100 701 43.681 1YR FALSE 1103587619 REDUCED PA0603EI_ARM-INTONLY 0 217000 32550 95 779 32.733 1YR FALSE 1103587620 NO RATIO SA1603E_ARM 0 619999 124000 100 731 0 NO-PREPAY MI 1103587621 NO RATIO SA2603EI_ARM-INTONLY 0 666640 66640 90 669 0 3YR FALSE 1103587639 REDUCED TB1630_BALLOON 0 405000 0 100 670 49.57 3YR FALSE 1103587795 REDUCED TB0630_BALLOON 0 281000 0 95 744 42 NO-PREPAY MI 1103587798 REDUCED PF0630_FIXEDRATE 0 0 115000 90 699 27.38 NO-PREPAY MI 1103587622 REDUCED PA1603EI_ARM-INTONLY 0 225000 45000 100 663 38.29 3YR FALSE 1103587623 REDUCED PA1603EI_ARM-INTONLY 0 565000 113000 100 646 39.41 3YR FALSE 1103587624 REDUCED PA0603EI_ARM-INTONLY 0 357500 71500 100 737 44.926 3YR FALSE 1103587625 REDUCED PA1603EI_ARM-INTONLY 0 269100 53850 100 654 36.63 3YR FALSE 1103587626 SISA PA1603E_ARM 0 190000 38000 100 668 37 NO-PREPAY MI 1103587627 REDUCED PA0603EI_ARM-INTONLY 0 225000 45000 100 747 44.88 3YR FALSE 1103587628 REDUCED PA0603EI_ARM-INTONLY 0 810000 162000 100 713 31.94 1YR FALSE 1103587629 REDUCED PA0603EI_ARM-INTONLY 0 299950 59990 100 707 44.64 3YR FALSE 1103587630 REDUCED PA1603E_ARM 0 0 34000 90 678 36.78 NO-PREPAY MI 1103587631 REDUCED PA1603EI_ARM-INTONLY 0 0 52500 90 678 37.488 3YR FALSE 1103587632 NO RATIO SA1603EI_ARM-INTONLY 0 0 49050 95 702 0 NO-PREPAY MI 1103587633 REDUCED PA0603EI_ARM-INTONLY 0 0 43500 95 730 47.353 NO-PREPAY MI 1103587634 NO RATIO SA1603EI_ARM-INTONLY 0 675000 135000 100 718 0 3YR FALSE 1103587635 REDUCED PA0603EI_ARM-INTONLY 0 417000 83400 100 747 26.58 3YR FALSE 1103587637 REDUCED PA1605EI_ARM-INTONLY 0 405000 81000 100 670 49.57 3YR FALSE 1103587863 REDUCED PF2630I_FIX-INTONLY 0 0 0 33.58 620 0 1YR FALSE 1103587890 REDUCED TB1630_BALLOON 0 210000 0 95 659 48.98 NO-PREPAY MI 1103587650 SISA PA0605EI_ARM-INTONLY 0 0 175000 100 695 44.98 3YR FALSE 1103587661 REDUCED PA1605EI_ARM-INTONLY 0 220495 33050 94.97 657 44.6 1YR TRUE 1103587726 NINA SA2605EI_ARM-INTONLY 0 560000 0 80 631 0 3YR FALSE 1103587781 REDUCED PA0605EI_ARM-INTONLY 0 0 0 50.04 721 41.03 NO-PREPAY MI 1103587792 REDUCED PA1605EI_ARM-INTONLY 0 0 74750 88 640 0 1YR FALSE 1103587794 REDUCED PA0605EI_ARM-INTONLY 0 281000 70250 95 744 42 1YR FALSE 1103587797 REDUCED PA0605EI_ARM-INTONLY 0 465000 93000 100 700 0 3YR TRUE 1103587829 REDUCED PA0605EI_ARM-INTONLY 0 179900 44975 95 793 46.03 3YR FALSE 1103587853 REDUCED PA0605EI_ARM-INTONLY 0 259000 25900 90 685 39.36 2YR FALSE 1103587870 REDUCED PA1405EI_ARM-INTONLY 25 204990 0 90 649 44.07 NO-PREPAY MI 1103587884 REDUCED PA1605EI_ARM-INTONLY 0 246241 0 79.99 660 0 3YR FALSE 1103587886 REDUCED PA1605EI_ARM-INTONLY 0 210000 31500 95 659 48.98 NO-PREPAY MI 1103587887 NINA SF1630_FIXEDRATE 0 0 0 71.34 791 1 NO-PREPAY MI 1103587899 FULL/ALT PA0605EI_ARM-INTONLY 0 0 110000 96.74 709 49.44 2YR FALSE 1103587907 REDUCED PA0605EI_ARM-INTONLY 0 203400 40680 100 702 41.83 1YR FALSE 1103587911 REDUCED PA2605EI_ARM-INTONLY 0 535000 133750 95 620 48.14 NO-PREPAY MI 1103587917 REDUCED TB1630_BALLOON 0 0 0 89.96 646 33.58 NO-PREPAY MI 1103587926 REDUCED PF1630I_FIX-INTONLY 0 137900 27580 95 645 47 2YR FALSE 1103587999 SISA PA0605EI_ARM-INTONLY 0 0 0 65 686 0 3YR FALSE 1103588004 REDUCED PA2605EI_ARM-INTONLY 0 346000 69200 100 632 0 3YR FALSE 1103588015 REDUCED PA0605EI_ARM-INTONLY 0 0 29500 90 686 0 2YR FALSE 1103588019 REDUCED PA0605EI_ARM-INTONLY 0 370000 0 80 705 44 1YR FALSE 1103588046 NINA EA1602E_ARM 25 0 0 88.24 683 1 2YR FALSE 1103588051 SISA PA0605EI_ARM-INTONLY 0 490000 0 80 715 33.86 NO-PREPAY MI 1103588090 REDUCED PA2605EI_ARM-INTONLY 0 305000 0 70 628 49.17 NO-PREPAY MI 1103588094 REDUCED TB0630_BALLOON 0 179900 0 95 793 46.03 NO-PREPAY MI 1103588102 REDUCED PA0602EI_ARM-INTONLY 0 665000 199500 100 743 46.2 2YR FALSE 1103588107 NO RATIO SA0605EI_ARM-INTONLY 0 0 76500 90 695 0 2YR FALSE 1103588114 REDUCED PA0605EI_ARM-INTONLY 0 469900 93980 100 713 34.3 5YR FALSE 1103588127 FULL/ALT PF0630I_FIX-INTONLY 0 0 0 78 685 48.09 3YR FALSE 1103588128 SISA PF1630I_FIX-INTONLY 0 0 0 75 674 0 5YR FALSE 1103588138 REDUCED PF1630I_FIX-INTONLY 0 285000 56400 100 673 49.19 2YR TRUE 1103588142 NO RATIO SF0630I_FIX-INTONLY 0 0 0 70 748 1 NO-PREPAY MI 1103588183 REDUCED PF0630_FIXEDRATE 0 155000 31000 100 752 47.39 NO-PREPAY MI 1103588135 REDUCED PA1605EI_ARM-INTONLY 0 0 0 55.56 677 0 NO-PREPAY MI 1103588143 FULL/ALT PA1605EI_ARM-INTONLY 0 139000 20850 95 670 49.26 NO-PREPAY MI 1103588192 REDUCED PA0605EI_ARM-INTONLY 0 0 0 69.59 792 8.04 2YR FALSE 1103588210 REDUCED PA1605EI_ARM-INTONLY 0 280000 56000 100 666 45 3YR FALSE 1103588270 FULL/ALT PA0605EI_ARM-INTONLY 0 118000 20000 95 691 45 NO-PREPAY MI 1103588315 REDUCED PA0602EI_ARM-INTONLY 0 640000 192000 100 716 45.84 2YR FALSE 1103588350 NO RATIO SA0605EI_ARM-INTONLY 0 297000 59400 100 689 0 1YR FALSE 1103588352 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 641 42.273 1YR FALSE 1103588355 NO RATIO SA2603EI_ARM-INTONLY 0 859000 171800 100 661 0 1YR FALSE 1103588356 REDUCED PA2603EI_ARM-INTONLY 0 0 0 80 634 37.007 3YR FALSE 1103588357 REDUCED PA0603EI_ARM-INTONLY 0 0 0 61.95 698 32.256 2YR FALSE 1103588358 NO RATIO SA0607EI_ARM-INTONLY 0 798000 159600 100 704 0 1YR FALSE 1103588359 NO RATIO SA2607EI_ARM-INTONLY 0 419000 83800 100 664 0 NO-PREPAY MI 1103588360 NO RATIO SA2607E_ARM 0 389890 77900 99.98 678 0 1YR FALSE 1103588361 NO RATIO SA0605EI_ARM-INTONLY 0 505000 101000 100 736 0 1YR FALSE 1103588364 REDUCED PA0605EI_ARM-INTONLY 0 625000 62500 90 774 49.146 1YR FALSE 1103588365 NO RATIO SA2605EI_ARM-INTONLY 0 240500 48100 100 677 0 1YR FALSE 1103588366 NO RATIO SA2605EI_ARM-INTONLY 0 569900 113980 100 665 0 1YR FALSE 1103588367 REDUCED PF0630_FIXEDRATE 0 0 180000 79.25 755 43.94 2YR FALSE 1103588371 REDUCED PA0603EI_ARM-INTONLY 0 320000 48000 90 764 28.35 NO-PREPAY MI 1103588372 SISA PA0603EI_ARM-INTONLY 0 239500 38320 96 712 36.602 3YR FALSE 1103588373 REDUCED PA0603EI_ARM-INTONLY 0 390000 78000 90 744 42.5 3YR FALSE 1103588374 REDUCED PA1605EI_ARM-INTONLY 0 967000 135000 90 658 43.83 NO-PREPAY MI 1103588376 REDUCED PA0605EI_ARM-INTONLY 0 257500 0 80 746 35.61 2YR FALSE 1103588377 REDUCED PA0605EI_ARM-INTONLY 0 0 118000 95 718 39.4 NO-PREPAY MI 1103588378 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 623 43.905 NO-PREPAY MI 1103588379 REDUCED PA0605EI_ARM-INTONLY 0 0 0 62.24 757 38.82 2YR FALSE 1103588380 REDUCED PA1605EI_ARM-INTONLY 0 0 0 55 658 31.191 2YR FALSE 1103588381 REDUCED PA1605EI_ARM-INTONLY 0 0 0 55 658 32.92 2YR FALSE 1103588383 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 75 630 0 NO-PREPAY MI 1103588404 REDUCED PF0630_FIXEDRATE 0 0 0 70 778 47.93 3YR FALSE 1103588435 NO RATIO SA2605E_ARM 0 171000 25650 90 672 0 3YR FALSE 1103588443 FULL/ALT PA2605E_ARM 0 0 27600 100 627 41.25 3YR TRUE 1103588449 REDUCED PA0605EI_ARM-INTONLY 0 208500 31250 94.99 803 0 1YR FALSE 1103588469 NINA SF2630I_FIX-INTONLY 0 265000 23850 89 674 0 5YR FALSE 1103588475 SISA PF0630_FIXEDRATE 0 0 0 75 711 44 3YR FALSE 1103588476 REDUCED PF2630I_FIX-INTONLY 0 250000 37500 95 631 42.69 3YR FALSE 1103588489 REDUCED PA2605EI_ARM-INTONLY 0 660000 165000 100 622 44.28 3YR FALSE 1103588528 FULL/ALT PA1603EI_ARM-INTONLY 0 0 91000 100 679 46.55 3YR FALSE 1103588529 NINA BA1203EI_ARM-INTONLY 0 405000 81000 100 779 0 3YR FALSE 1103588530 REDUCED PA0603EI_ARM-INTONLY 0 450000 45000 90 698 35.1 3YR FALSE 1103588531 REDUCED PA1603EI_ARM-INTONLY 0 510000 102000 100 652 43 2YR FALSE 1103588532 REDUCED BA0205EI_ARM-INTONLY 0 440000 66000 95 714 44.35 3YR FALSE 1103588533 FULL/ALT PA0605EI_ARM-INTONLY 0 160000 32000 100 789 36.82 3YR FALSE 1103588534 NINA BA1205EI_ARM-INTONLY 0 450000 90000 100 701 0 3YR FALSE 1103588535 REDUCED PA2605EI_ARM-INTONLY 0 328062 65613 100 632 28.72 NO-PREPAY MI 1103588536 NINA SA1605EI_ARM-INTONLY 0 0 91500 95 697 0 3YR FALSE 1103588537 SISA PA0605EI_ARM-INTONLY 0 443006 88601 100 701 38.97 NO-PREPAY MI 1103588538 REDUCED PA1605EI_ARM-INTONLY 0 280000 70000 95 761 44.55 NO-PREPAY MI 1103588539 REDUCED PA0605EI_ARM-INTONLY 0 0 0 54.8 711 33.22 3YR FALSE 1103588540 SISA PA0605EI_ARM-INTONLY 0 425000 85000 100 682 44.63 3YR FALSE 1103588541 NO RATIO SA1605EI_ARM-INTONLY 0 815000 165000 100 685 0 3YR FALSE 1103588547 SISA PA2605EI_ARM-INTONLY 0 0 65000 90 627 0 3YR FALSE 1103588548 SISA PA0605E_ARM 0 0 0 68.56 682 42.07 2YR FALSE 1103588563 REDUCED PA1605E_ARM 0 421118 84223 100 694 36.138 3YR FALSE 1103588564 NO RATIO SA1605E_ARM 0 0 0 78.16 690 0 3YR FALSE 1103588565 REDUCED PA0605EI_ARM-INTONLY 0 465000 116250 95 705 34.04 3YR FALSE 1103588566 NINA SA1605EI_ARM-INTONLY 0 0 0 49.42 776 0 3YR FALSE 1103588567 REDUCED PA1605EI_ARM-INTONLY 0 0 0 64.75 661 53.168 3YR FALSE 1103588568 REDUCED PA0605EI_ARM-INTONLY 0 240000 48000 100 760 45 3YR FALSE 1103588569 FULL/ALT PA0605EI_ARM-INTONLY 0 299900 59980 100 758 37.305 3YR FALSE 1103588571 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 701 36.17 3YR FALSE 1103588572 FULL/ALT PA1605EI_ARM-INTONLY 0 0 38000 98.96 678 39.09 3YR FALSE 1103588573 REDUCED PA0605EI_ARM-INTONLY 0 423000 84600 100 738 43.86 3YR FALSE 1103588574 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 715 44.1 3YR FALSE 1103588575 REDUCED PA0605EI_ARM-INTONLY 0 523816 106816 100 698 43.85 3YR FALSE 1103588576 NO RATIO SA1605EI_ARM-INTONLY 0 354840 53226 95 747 0 3YR FALSE 1103588577 REDUCED PA0607EI_ARM-INTONLY 0 309000 61800 100 742 45 2YR FALSE 1103588578 REDUCED PA0607EI_ARM-INTONLY 0 0 106000 100 760 40.65 2YR FALSE 1103588579 REDUCED XA0610EI_ARM-INTONLY 0 774000 154800 100 771 43.045 6MO FALSE 1103588580 REDUCED XA0610EI_ARM-INTONLY 0 0 0 77.39 774 28.09 6MO FALSE 1103588581 FULL/ALT XA2610EI_ARM-INTONLY 0 0 0 75 626 14.95 3YR FALSE 1103588583 NO RATIO SF0630I_FIX-INTONLY 0 0 0 69.19 727 0 1YR FALSE 1103588613 REDUCED PA1605EI_ARM-INTONLY 0 260000 52000 100 647 40.95 1YR FALSE 1103588656 REDUCED PA0605EI_ARM-INTONLY 0 158600 39650 95 745 46.78 3YR FALSE 1103588657 REDUCED TB0630_BALLOON 0 158600 0 95 745 46.78 3YR FALSE 1103588682 REDUCED PA1605EI_ARM-INTONLY 0 423389 63508 95 654 30 NO-PREPAY MI 1103588683 REDUCED TB1630_BALLOON 0 423389 0 95 654 30 NO-PREPAY MI 1103588684 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 661 39.49 3YR FALSE 1103588702 REDUCED TB1630I_BALLOON-INTONLY 0 0 0 88.4 642 36.89 3YR FALSE 1103588719 REDUCED PA0605EI_ARM-INTONLY 0 237000 59250 95 716 45 NO-PREPAY MI 1103588737 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 693 0 1YR FALSE 1103588769 SISA PA1605EI_ARM-INTONLY 0 185000 37000 100 673 36.54 3YR FALSE 1103588770 NO RATIO SA0605E_ARM 0 205000 30750 95 683 0 3YR FALSE 1103588771 REDUCED PA0605EI_ARM-INTONLY 0 97000 0 80 747 33.28 3YR TRUE 1103588772 FULL/ALT PA0605EI_ARM-INTONLY 0 270000 0 80 775 31.79 1YR FALSE 1103588773 REDUCED PA1607EI_ARM-INTONLY 0 216490 43250 99.96 670 44.94 NO-PREPAY MI 1103588774 REDUCED PA0605E_ARM 0 278100 55620 90 691 32.78 1YR FALSE 1103588776 FULL/ALT PA1605EI_ARM-INTONLY 0 268000 53600 100 647 42.18 NO-PREPAY MI 1103588777 REDUCED PA1605EI_ARM-INTONLY 0 231800 46350 99.98 647 47.93 1YR FALSE 1103588780 NO RATIO SA0605EI_ARM-INTONLY 0 251000 50200 100 726 0 3YR FALSE 1103588787 REDUCED PA0605EI_ARM-INTONLY 0 719000 143800 90 688 45 3YR FALSE 1103588790 REDUCED PA0605EI_ARM-INTONLY 0 0 135000 100 718 43 2YR FALSE 1103588813 REDUCED TB0630_BALLOON 0 237000 0 95 716 45 NO-PREPAY MI 1103588822 NO RATIO UB0330_BALLOON 0 205000 0 95 683 0 NO-PREPAY MI 1103588827 REDUCED TB1630_BALLOON 0 231800 0 99.98 647 47.91 NO-PREPAY MI 1103588847 REDUCED TB1630_BALLOON 0 0 0 90 656 39.91 NO-PREPAY MI 1103588859 NINA SF0630I_FIX-INTONLY 22 600000 0 85 764 1 1YR FALSE 1103588927 REDUCED TB1630_BALLOON 0 0 0 88.7 670 39.91 NO-PREPAY MI 1103588928 REDUCED PA0605EI_ARM-INTONLY 0 0 63750 90 728 43.8 3YR FALSE 1103588939 REDUCED PF1630_FIXEDRATE 0 236125 47225 90 642 40.32 2YR FALSE 1103588940 REDUCED TB1630_BALLOON 0 236125 0 90 642 40.32 NO-PREPAY MI 1103588962 REDUCED PA0605EI_ARM-INTONLY 0 288000 57600 95 710 34.61 2YR FALSE 1103588969 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65 775 0 1YR FALSE 1103588978 REDUCED PF1630I_FIX-INTONLY 0 387990 77598 100 658 43.9 5YR FALSE 1103588984 NO RATIO SA0605EI_ARM-INTONLY 0 450000 0 80 707 40 2YR FALSE 1103589013 SISA PF1630I_FIX-INTONLY 0 0 0 80 652 36.57 3YR FALSE 1103589016 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.08 751 0 NO-PREPAY MI 1103589029 REDUCED PF0630I_FIX-INTONLY 0 338000 67600 90 688 31.95 NO-PREPAY MI 1103589035 REDUCED TB0630_BALLOON 0 338000 0 90 688 31.95 NO-PREPAY MI 1103589068 REDUCED PF1630I_FIX-INTONLY 0 595000 89250 95 653 41.68 NO-PREPAY MI 1103589070 REDUCED TB1630_BALLOON 0 595000 0 95 653 41.58 NO-PREPAY MI 1103589074 REDUCED PA0605EI_ARM-INTONLY 0 100000 25000 95 719 50 NO-PREPAY MI 1103589077 REDUCED TB0630_BALLOON 0 100000 0 95 719 50 NO-PREPAY MI 1103589084 REDUCED PA1605EI_ARM-INTONLY 0 419000 104750 100 649 48.8 NO-PREPAY MI 1103589096 REDUCED PA1605E_ARM 0 550000 82500 95 661 41.95 5YR FALSE 1103589097 REDUCED PA1603EI_ARM-INTONLY 0 0 145000 86.62 642 44.5 1YR FALSE 1103589102 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 729 36.03 NO-PREPAY MI 1103589103 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.21 673 33.39 NO-PREPAY MI 1103589104 NINA XA0605EI_ARM-INTONLY 0 0 0 69.4 686 0 2YR FALSE 1103589105 REDUCED PA0607EI_ARM-INTONLY 0 690934 138200 100 736 45.74 NO-PREPAY MI 1103589106 REDUCED PA0605EI_ARM-INTONLY 0 0 57500 89.31 730 40.73 NO-PREPAY MI 1103589107 REDUCED PA1605EI_ARM-INTONLY 0 579000 115800 100 660 36.851 NO-PREPAY MI 1103589109 REDUCED XA0607AI_ARM-INTONLY 0 0 0 70 721 34.44 NO-PREPAY MI 1103589111 REDUCED XA0605AI_ARM-INTONLY 0 875000 0 80 721 38.23 NO-PREPAY MI 1103589112 REDUCED XA0605AI_ARM-INTONLY 0 825000 0 72.73 793 35.25 NO-PREPAY MI 1103589113 FULL/ALT PA0605EI_ARM-INTONLY 0 404000 80800 100 691 44.96 NO-PREPAY MI 1103589114 FULL/ALT PA0607EI_ARM-INTONLY 0 920000 125000 90 793 35.44 NO-PREPAY MI 1103589115 REDUCED PA1605EI_ARM-INTONLY 0 605000 121000 100 656 44.583 NO-PREPAY MI 1103589116 REDUCED PA0605EI_ARM-INTONLY 0 0 0 64.76 813 30.73 NO-PREPAY MI 1103589117 REDUCED PA0605EI_ARM-INTONLY 0 499000 100000 100 706 45.73 NO-PREPAY MI 1103589118 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 41.53 736 42.18 NO-PREPAY MI 1103589119 REDUCED PA0605EI_ARM-INTONLY 0 350000 70000 100 717 38.67 NO-PREPAY MI 1103589134 REDUCED PA0603EI_ARM-INTONLY 0 168500 42125 100 708 33.57 3YR FALSE 1103589139 NINA SA1605EI_ARM-INTONLY 25 530000 0 89.99 744 1 1YR FALSE 1103589140 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 44.05 637 34.74 3YR FALSE 1103589152 REDUCED TB0630_BALLOON 0 168500 0 100 708 41.04 3YR FALSE 1103589213 REDUCED PF1630I_FIX-INTONLY 0 0 0 79.81 652 30.56 2YR FALSE 1103589239 REDUCED PA0605EI_ARM-INTONLY 0 179000 53600 99.73 761 39.91 NO-PREPAY MI 1103589269 REDUCED PF3630_FIXEDRATE 0 0 0 65 617 23.76 3YR FALSE 1103589271 REDUCED PA0602EI_ARM-INTONLY 0 300000 75000 95 722 32.49 NO-PREPAY MI 1103589272 REDUCED TB0630_BALLOON 0 300000 0 95 722 32.49 NO-PREPAY MI 1103589313 REDUCED TB0630_BALLOON 0 0 0 90 682 40 3YR FALSE 1103589323 FULL/ALT PA0605EI_ARM-INTONLY 0 530000 79500 95 733 30.4 NO-PREPAY MI 1103589344 REDUCED PF1630I_FIX-INTONLY 0 0 54000 100 653 36.22 3YR FALSE 1103589374 REDUCED PF1630I_FIX-INTONLY 0 240000 57500 95 666 46.85 NO-PREPAY MI 1103589376 REDUCED PA1605EI_ARM-INTONLY 0 533000 106600 100 664 45 NO-PREPAY MI 1103589420 FULL/ALT XA0610DI_ARM-INTONLY 0 1750000 0 75 732 30.24 1YR FALSE 1103589421 NO RATIO SA1603EI_ARM-INTONLY 0 450000 45000 90 701 0 NO-PREPAY MI 1103589422 REDUCED XA0610AI_ARM-INTONLY 0 1140000 0 74.57 757 30.348 NO-PREPAY MI 1103589423 REDUCED PA0605EI_ARM-INTONLY 0 285000 57000 100 760 43.69 NO-PREPAY MI 1103589425 FULL/ALT XA0610DI_ARM-INTONLY 0 0 190000 75 708 36.403 3YR TRUE 1103589426 FULL/ALT XA1605DI_ARM-INTONLY 22 0 0 85 659 45.52 NO-PREPAY MI 1103589427 REDUCED XA1605DI_ARM-INTONLY 0 601948.29 90292 95 651 39.62 NO-PREPAY MI 1103589428 FULL/ALT XA0605DI_ARM-INTONLY 0 142900 0 95 783 44.976 NO-PREPAY MI 1103589430 REDUCED PA0605EI_ARM-INTONLY 0 0 0 43.14 694 30.17 NO-PREPAY MI 1103589431 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 33.34 686 0 NO-PREPAY MI 1103589452 REDUCED PF0630I_FIX-INTONLY 0 156000 39000 95 756 47.91 3YR FALSE 1103589453 REDUCED TB0630_BALLOON 0 156000 0 95 756 47.91 3YR FALSE 1103589499 REDUCED PF1630_FIXEDRATE 0 104000 20800 95 651 42.64 3YR FALSE 1103589528 FULL/ALT TF1630_FIXEDRATE 0 0 0 100 640 45.67 NO-PREPAY MI 1103589539 REDUCED PF0630_FIXEDRATE 0 0 0 52.75 685 37.21 2YR FALSE 1103589552 SISA PA0605EI_ARM-INTONLY 0 0 77000 100 722 44.88 1YR FALSE 1103589637 REDUCED PA0605EI_ARM-INTONLY 0 505000 126200 95 784 25.45 NO-PREPAY MI 1103589638 REDUCED TF0630_FIXEDRATE 0 505000 0 95 784 25.45 NO-PREPAY MI 1103589640 REDUCED PF1630I_FIX-INTONLY 0 264000 52800 95 645 31.5 NO-PREPAY MI 1103589641 REDUCED TB1630_BALLOON 0 264000 0 95 645 31.5 NO-PREPAY MI 1103589651 REDUCED PF1630I_FIX-INTONLY 0 164600 32920 95 643 48.78 NO-PREPAY MI 1103589658 REDUCED PA0605EI_ARM-INTONLY 0 335000 67000 100 734 36.12 NO-PREPAY MI 1103589668 REDUCED PA1605EI_ARM-INTONLY 0 609000 182700 100 666 35 1YR FALSE 1103589669 REDUCED TB1630_BALLOON 0 609000 0 100 666 35 NO-PREPAY MI 1103589686 REDUCED PA0605EI_ARM-INTONLY 0 159000 31800 90 726 33.19 NO-PREPAY MI 1103589698 REDUCED TB0630_BALLOON 0 203400 0 100 702 41.83 NO-PREPAY MI 1103589705 REDUCED PA2607EI_ARM-INTONLY 0 237500 47500 100 620 0 3YR FALSE 1103589719 NINA EA0605E_ARM 25 147500 0 90 777 24.92 NO-PREPAY MI 1103589720 FULL/ALT PA1605EI_ARM-INTONLY 0 302400 60480 100 653 43.04 2YR FALSE 1103589724 REDUCED PA0605EI_ARM-INTONLY 0 560000 140000 100 767 45.82 2YR FALSE 1103589727 REDUCED PF0630_FIXEDRATE 0 265000 53000 100 701 47.42 NO-PREPAY MI 1103589728 REDUCED TB0630_BALLOON 0 265000 0 100 701 47.42 NO-PREPAY MI 1103589731 REDUCED PA0605EI_ARM-INTONLY 0 465000 0 70 721 0 3YR FALSE 1103589735 REDUCED TF1615I_FIX-INTONLY 0 0 0 90 643 39.34 3YR FALSE 1103589739 REDUCED AA1603EI_ARM-INTONLY 0 0 58000 100 690 43.81 3YR TRUE 1103589740 REDUCED TB1730_BALLOON 0 0 0 100 690 44.49 NO-PREPAY MI 1103589753 REDUCED PA0607EI_ARM-INTONLY 0 0 0 62.83 757 39.11 1YR FALSE 1103589754 REDUCED PA1605EI_ARM-INTONLY 0 165000 33000 95 641 43.22 1YR FALSE 1103589755 REDUCED TB1630_BALLOON 0 165000 0 95 641 43.22 NO-PREPAY MI 1103589779 REDUCED PA2605EI_ARM-INTONLY 0 577500 86625 95 631 44 1YR FALSE 1103589790 NINA SA0605EI_ARM-INTONLY 0 0 0 60.27 688 1 3YR FALSE 1103589800 REDUCED PA0605EI_ARM-INTONLY 0 660000 132000 95 732 41.26 2YR FALSE 1103589804 NINA SF2630I_FIX-INTONLY 0 0 0 64.98 643 37.92 NO-PREPAY MI 1103589805 REDUCED PA1605EI_ARM-INTONLY 0 0 88500 81.81 666 44.81 3YR FALSE 1103589808 FULL/ALT PA0607EI_ARM-INTONLY 0 0 0 63.42 771 31.39 NO-PREPAY MI 1103589821 REDUCED PA0605EI_ARM-INTONLY 0 225000 0 77 800 27.02 3YR FALSE 1103589833 REDUCED PF1630_FIXEDRATE 0 0 30000 95 658 25.12 2YR FALSE 1103589845 FULL/ALT PF2615_FIXEDRATE 0 0 0 51.15 627 41.33 1YR FALSE 1103589847 REDUCED PA1605EI_ARM-INTONLY 0 0 28500 90 650 36 3YR TRUE 1103589850 REDUCED PF0630_FIXEDRATE 0 119950 23990 90 703 42.8 NO-PREPAY MI 1103589862 SISA PA1605EI_ARM-INTONLY 0 269000 0 80 675 42.39 3YR TRUE 1103589872 REDUCED PA0605EI_ARM-INTONLY 0 412000 103000 95 747 30.76 2YR FALSE 1103589892 NO RATIO SA1605EI_ARM-INTONLY 0 425000 106250 100 691 0 1YR FALSE 1103589893 REDUCED PA0605EI_ARM-INTONLY 0 655000 0 80 803 36.2 3YR FALSE 1103589896 REDUCED PF2630I_FIX-INTONLY 0 0 83250 100 620 47.05 3YR FALSE 1103589905 NINA SF0630_FIXEDRATE 30 212232 0 95 709 1 NO-PREPAY MI 1103589918 NINA SF2630I_FIX-INTONLY 0 0 0 75 638 1 3YR FALSE 1103589921 FULL/ALT XA0605DI_ARM-INTONLY 0 198900 39800 100 762 45.75 NO-PREPAY MI 1103589922 REDUCED XA0605DI_ARM-INTONLY 0 337000 67400 100 742 38.33 NO-PREPAY MI 1103589923 REDUCED XA0605DI_ARM-INTONLY 0 0 0 75 699 39.61 3YR TRUE 1103589924 REDUCED XA0605DI_ARM-INTONLY 0 455000 91000 100 689 43.42 3YR TRUE 1103589925 FULL/ALT XA1605DI_ARM-INTONLY 0 450000 90000 100 667 44.63 NO-PREPAY MI 1103589926 FULL/ALT XA1605DI_ARM-INTONLY 0 244000 48800 100 648 35.78 NO-PREPAY MI 1103589929 REDUCED XA2605DI_ARM-INTONLY 0 0 60000 93.8 639 46.43 NO-PREPAY MI 1103589930 REDUCED XA1605DI_ARM-INTONLY 0 0 0 80 663 36.06 3YR TRUE 1103589931 REDUCED XA1605DI_ARM-INTONLY 0 726000 145200 100 658 30.39 NO-PREPAY MI 1103589932 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 55 722 32.43 NO-PREPAY MI 1103589933 REDUCED XA1607DI_ARM-INTONLY 0 0 0 75 679 41.58 NO-PREPAY MI 1103589934 REDUCED XA0605DI_ARM-INTONLY 0 485000 121250 100 742 44.51 NO-PREPAY MI 1103589935 FULL/ALT XA0605DI_ARM-INTONLY 0 89900 17950 99.95 702 49.61 3YR TRUE 1103589936 NINA XA0605DI_ARM-INTONLY 30 315000 0 95 733 0 NO-PREPAY MI 1103589937 REDUCED PA0630GI_ARM-INTONLY 0 141000 0 80 689 35.18 NO-PREPAY MI 1103589939 NO RATIO SA1630EI_ARM-INTONLY 0 186900 41400 100 655 0 NO-PREPAY MI 1103589940 NO RATIO XA0605DI_ARM-INTONLY 0 455000 91000 100 728 0 NO-PREPAY MI 1103589941 REDUCED XA1605DI_ARM-INTONLY 0 315000 63000 100 663 45.25 3YR TRUE 1103589942 NO RATIO XA0605DI_ARM-INTONLY 25 465657 0 89.56 705 0 NO-PREPAY MI 1103589943 NINA XA0605DI_ARM-INTONLY 0 0 0 80 717 0 3YR TRUE 1103589945 REDUCED XA0605DI_ARM-INTONLY 0 365000 73000 100 685 43.63 NO-PREPAY MI 1103589946 REDUCED XA1605DI_ARM-INTONLY 0 0 59016 88.87 659 49.52 NO-PREPAY MI 1103589947 NO RATIO XA0605DI_ARM-INTONLY 0 482693 72400 95 686 0 NO-PREPAY MI 1103589948 REDUCED XA2605DI_ARM-INTONLY 0 460000 46000 90 634 46.85 3YR TRUE 1103589949 FULL/ALT XA0605DI_ARM-INTONLY 0 199458 40008 100 694 46.14 NO-PREPAY MI 1103589950 REDUCED XA1605DI_ARM-INTONLY 0 0 0 80 656 41.39 NO-PREPAY MI 1103589951 NINA XA0605D_ARM 0 0 0 62.27 741 0 NO-PREPAY MI 1103589952 NO RATIO XA1603DI_ARM-INTONLY 0 130000 30000 100 649 0 NO-PREPAY MI 1103589953 REDUCED XA0605DI_ARM-INTONLY 0 505000 101000 100 763 35.72 3YR TRUE 1103589959 REDUCED PA0605EI_ARM-INTONLY 0 239500 59875 95 750 41.09 NO-PREPAY MI 1103589987 NINA XA0605D_ARM 0 151000 0 80 695 0 1YR FALSE 1103589988 REDUCED XA2605DI_ARM-INTONLY 0 0 100000 89.92 633 47.35 3YR TRUE 1103589989 REDUCED XA0605DI_ARM-INTONLY 0 0 83750 90 776 32.98 NO-PREPAY MI 1103589990 REDUCED XA0605DI_ARM-INTONLY 0 0 0 80 683 43.98 NO-PREPAY MI 1103589991 REDUCED XA0605DI_ARM-INTONLY 25 160000 0 90 752 39.37 NO-PREPAY MI 1103589992 REDUCED XA0605DI_ARM-INTONLY 25 200000 0 90 771 29 NO-PREPAY MI 1103589993 NO RATIO XA0605D_ARM 0 0 0 75 681 0 NO-PREPAY MI 1103589994 REDUCED XA0605DI_ARM-INTONLY 0 0 0 57.15 718 41.76 3YR FALSE 1103589995 FULL/ALT XA0605DI_ARM-INTONLY 0 300000 60000 100 681 36.78 NO-PREPAY MI 1103589996 REDUCED XA1605DI_ARM-INTONLY 0 398743 79750 99.99 674 38.34 NO-PREPAY MI 1103589997 REDUCED XA0605DI_ARM-INTONLY 0 0 0 69.59 795 34.01 3YR FALSE 1103589998 NO RATIO XA2605DI_ARM-INTONLY 0 0 75000 94.86 626 48.97 NO-PREPAY MI 1103589999 NINA XA0605DI_ARM-INTONLY 0 0 0 70 698 0 1YR FALSE 1103590000 REDUCED XA1605DI_ARM-INTONLY 0 0 0 80 668 48.87 NO-PREPAY MI 1103590001 FULL/ALT XA0605D_ARM 0 0 97000 75 711 43.57 NO-PREPAY MI 1103590002 REDUCED XA0605DI_ARM-INTONLY 0 300000 60000 100 682 42.21 NO-PREPAY MI 1103590003 NO RATIO XA1605D_ARM 22 210000 0 85 657 0 NO-PREPAY MI 1103590004 NO RATIO XA1605D_ARM 0 0 0 30 654 0 1YR TRUE 1103590026 REDUCED PA0605E_ARM 0 275000 41250 95 767 49.07 NO-PREPAY MI 1103590071 REDUCED PF0630I_FIX-INTONLY 0 143000 35750 95 696 31.24 NO-PREPAY MI 1103590072 REDUCED TB0630_BALLOON 0 143000 0 95 696 31.24 NO-PREPAY MI 1103590123 REDUCED PA1602EI_ARM-INTONLY 0 0 0 68.97 646 44.86 2YR FALSE 1103590148 REDUCED PA0603EI_ARM-INTONLY 0 220700 44100 99.98 725 16.86 NO-PREPAY MI 1103590154 REDUCED PF0630I_FIX-INTONLY 0 228780 57200 99.97 716 37.12 3YR FALSE 1103590155 REDUCED TB0630_BALLOON 0 228780 0 99.97 716 37.27 3YR FALSE 1103590165 REDUCED PA0605EI_ARM-INTONLY 0 748745 149749 100 714 40.36 2YR FALSE 1103590168 REDUCED PA0605EI_ARM-INTONLY 0 300000 60000 100 703 49 2YR FALSE 1103590181 SISA PA0605EI_ARM-INTONLY 0 0 0 35.09 727 40.17 3YR FALSE 1103590191 REDUCED PF0630I_FIX-INTONLY 0 505000 151500 100 697 49.39 NO-PREPAY MI 1103590192 REDUCED TB0630_BALLOON 0 505000 0 100 697 49.39 NO-PREPAY MI 1103590227 SISA PA0605EI_ARM-INTONLY 30 298519 0 94.67 680 40.51 NO-PREPAY MI 1103590234 SISA PA0605EI_ARM-INTONLY 0 406000 81200 100 673 37.99 3YR FALSE 1103590288 SISA PA0605EI_ARM-INTONLY 0 0 0 65 794 40.88 3YR FALSE 1103590301 SISA PA2605EI_ARM-INTONLY 0 0 0 80 628 37.08 1YR FALSE 1103590312 REDUCED PA0605EI_ARM-INTONLY 0 205000 51250 95 754 42 NO-PREPAY MI 1103590315 REDUCED PA1605EI_ARM-INTONLY 0 0 100000 65.14 671 30.53 3YR FALSE 1103590332 REDUCED PA0607EI_ARM-INTONLY 0 320000 0 80 688 49.17 2YR FALSE 1103590334 REDUCED PA0605EI_ARM-INTONLY 0 330000 82500 95 711 30.57 1YR FALSE 1103590339 NO RATIO SA1605EI_ARM-INTONLY 0 0 61000 90 675 1 3YR FALSE 1103590356 SISA PA1605E_ARM 0 0 0 80 667 0 NO-PREPAY MI 1103590359 REDUCED PA1605EI_ARM-INTONLY 0 405000 81000 100 657 41.84 1YR FALSE 1103590402 SISA PA1605EI_ARM-INTONLY 0 285000 0 80 656 0 1YR FALSE 1103590425 REDUCED PA1605EI_ARM-INTONLY 0 392000 78400 100 650 49.55 5YR FALSE 1103590426 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 694 0 3YR FALSE 1103590429 REDUCED PA1605EI_ARM-INTONLY 0 550000 110000 100 660 49.38 3YR FALSE 1103590432 REDUCED TB1630I_BALLOON-INTONLY 0 550000 0 100 660 48.38 3YR FALSE 1103590437 REDUCED TB1630_BALLOON 0 392000 0 100 650 49.55 3YR FALSE 1103590470 REDUCED TF1615I_FIX-INTONLY 0 0 0 90 655 35.42 3YR FALSE 1103590537 SISA PF0615_FIXEDRATE 0 0 0 47.47 687 31.1 NO-PREPAY MI 1103590538 REDUCED PF2630_FIXEDRATE 0 0 145000 100 632 48.23 3YR FALSE 1103590567 REDUCED PF1430_FIXEDRATE 22 0 0 90 664 45.65 NO-PREPAY MI 1103590571 NINA SF2630_FIXEDRATE 0 0 0 56.08 622 0 3YR FALSE 1103590595 FULL/ALT TF0630_FIXEDRATE 0 153000 0 95 704 50 NO-PREPAY MI 1103590596 NINA SA0603EI_ARM-INTONLY 0 0 0 65.39 687 1 1YR FALSE 1103590614 REDUCED PF0630I_FIX-INTONLY 0 250000 62500 95 754 23.86 3YR FALSE 1103590615 REDUCED TB0630_BALLOON 0 250000 0 95 754 23.86 3YR FALSE 1103590630 NINA SA1603EI_ARM-INTONLY 0 625000 125000 100 716 0 3YR FALSE 1103590631 REDUCED PA1405EI_ARM-INTONLY 22 0 0 90 646 27.15 NO-PREPAY MI 1103590634 NINA SF2630I_FIX-INTONLY 0 0 0 78.88 659 1 3YR FALSE 1103590655 NINA SF1630_FIXEDRATE 0 0 0 69.89 681 1 3YR FALSE 1103590657 FULL/ALT PA1605EI_ARM-INTONLY 0 116000 23200 100 642 49.74 NO-PREPAY MI 1103590669 FULL/ALT TB1630_BALLOON 0 116000 0 100 642 49.74 NO-PREPAY MI 1103590678 FULL/ALT AA1607E_ARM 0 0 33000 89.1 664 37.23 2YR TRUE 1103590683 REDUCED PA1605EI_ARM-INTONLY 0 0 78000 90 677 22.7 1YR FALSE 1103590684 REDUCED TB1630_BALLOON 0 0 0 90 677 22.7 1YR FALSE 1103590707 REDUCED PF0615_FIXEDRATE 0 0 0 26.55 717 43 3YR FALSE 1103590713 REDUCED PA1603EI_ARM-INTONLY 0 420000 84000 100 679 45.01 NO-PREPAY MI 1103590721 REDUCED TB1630_BALLOON 0 0 0 90 659 38.18 3YR FALSE 1103590755 REDUCED PA0607E_ARM 0 1150000 0 74.42 715 0 1YR FALSE 1103590788 SISA PA0605EI_ARM-INTONLY 0 0 190000 80 687 0 2YR FALSE 1103590795 REDUCED PF0630I_FIX-INTONLY 0 0 0 66.88 737 33.22 1YR FALSE 1103590805 REDUCED PA1605EI_ARM-INTONLY 0 157000 23550 90 647 27.77 NO-PREPAY MI 1103590809 REDUCED TB1630_BALLOON 0 157000 0 90 647 27.77 NO-PREPAY MI 1103590824 NINA SF0630_FIXEDRATE 0 0 0 78.87 699 0 3YR FALSE 1103590835 REDUCED PF2630_FIXEDRATE 0 0 0 17.56 647 38.17 3YR FALSE 1103590842 REDUCED PA0605EI_ARM-INTONLY 0 0 47600 89.97 711 0 1YR FALSE 1103590844 REDUCED PA0605EI_ARM-INTONLY 0 349000 69800 100 723 48.52 2YR FALSE 1103590849 REDUCED PA0605EI_ARM-INTONLY 0 365000 100000 95 694 0 1YR FALSE 1103590907 REDUCED PF0630I_FIX-INTONLY 0 0 0 36.77 692 0 5YR FALSE 1103590935 REDUCED PF1630_FIXEDRATE 0 230000 0 76.2 0 45 3YR FALSE 1103590936 NO RATIO SA0605EI_ARM-INTONLY 0 850000 0 75 780 1 NO-PREPAY MI 1103590940 REDUCED PA0605EI_ARM-INTONLY 0 400000 80000 100 689 45 2YR FALSE 1103590941 FULL/ALT PA0607EI_ARM-INTONLY 0 1105000 110500 90 743 36.91 NO-PREPAY MI 1103590944 REDUCED PA0605EI_ARM-INTONLY 0 185000 27750 95 684 35.01 3YR FALSE 1103590945 REDUCED TB0630_BALLOON 0 185000 0 95 684 35.01 3YR FALSE 1103591002 REDUCED PA1603EI_ARM-INTONLY 0 399000 99750 100 659 44.07 2YR FALSE 1103591014 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 79.85 608 36.73 3YR FALSE 1103591016 REDUCED TB1630_BALLOON 0 0 0 90 672 39.35 NO-PREPAY MI 1103591017 REDUCED PA0605EI_ARM-INTONLY 0 425000 85000 100 719 46.1 3YR FALSE 1103591020 REDUCED PA0605EI_ARM-INTONLY 0 1064253 149953 93.96 689 37.93 NO-PREPAY MI 1103591023 NO RATIO SL2605E_ARM-BALLOON 0 226000 33900 95 678 0 1YR TRUE 1103591024 NO RATIO SL1603E_ARM-BALLOON 0 306000 61200 100 682 0 3YR FALSE 1103591025 NO RATIO SA1605EI_ARM-INTONLY 0 0 36000 90 716 0 3YR TRUE 1103591026 NO RATIO BA1105EI_ARM-INTONLY 35 270000 0 100 757 0 3YR FALSE 1103591027 NO RATIO SA2605EI_ARM-INTONLY 0 183000 36600 100 652 0 3YR TRUE 1103591028 FULL/ALT PL0405E_ARM-BALLOON 35 255000 0 100 765 42.223 1YR FALSE 1103591029 NINA SA2605EI_ARM-INTONLY 0 0 0 78.25 670 0 1YR TRUE 1103591030 NINA XA1605EI_ARM-INTONLY 0 0 0 68.47 744 0 1YR FALSE 1103591032 NO RATIO SL1605E_ARM-BALLOON 0 315000 63000 100 728 0 3YR TRUE 1103591033 NINA BA1105E_ARM 30 61800 0 95 714 0 1YR TRUE 1103591034 NO RATIO SL1605E_ARM-BALLOON 0 183900 36780 100 696 0 NO-PREPAY MI 1103591035 NO RATIO SA2605E_ARM 0 0 57750 95 635 0 3YR FALSE 1103591036 FULL/ALT PL0405E_ARM-BALLOON 30 0 0 95 731 32.662 3YR TRUE 1103591037 NO RATIO SA2605E_ARM 0 0 0 79.98 645 0 NO-PREPAY MI 1103591038 NINA BA2205EI_ARM-INTONLY 0 120340 0 80 639 0 3YR FALSE 1103591039 NO RATIO BL1105E_ARM-BALLOON 30 205000 0 95 693 0 3YR FALSE 1103591040 NINA SL0605E_ARM-BALLOON 25 0 0 90 686 0 NO-PREPAY MI 1103591041 NO RATIO SL1605E_ARM-BALLOON 0 0 73000 100 718 0 3YR TRUE 1103591042 NO RATIO BL1205E_ARM-BALLOON 0 325000 65000 100 800 0 NO-PREPAY MI 1103591043 NO RATIO SA2605E_ARM 25 103000 0 90 625 0 3YR FALSE 1103591044 FULL/ALT BA0105E_ARM 35 62500 0 100 755 38.71 3YR FALSE 1103591045 NO RATIO BA1203EI_ARM-INTONLY 0 460000 92000 100 722 0 3YR FALSE 1103591046 FULL/ALT PL0605E_ARM-BALLOON 0 199800 0 80 787 25.4 3YR TRUE 1103591047 NINA BL0105E_ARM-BALLOON 25 170000 0 90 701 0 3YR FALSE 1103591048 NO RATIO BA1205EI_ARM-INTONLY 0 211400 42280 100 764 0 3YR FALSE 1103591049 NO RATIO SA1605EI_ARM-INTONLY 0 282000 42300 95 699 0 3YR FALSE 1103591050 FULL/ALT BA0205EI_ARM-INTONLY 0 209640 41928 100 713 38.92 NO-PREPAY MI 1103591051 FULL/ALT PL0405E_ARM-BALLOON 0 86000 17200 100 719 49.24 1YR FALSE 1103591052 NO RATIO BL1205E_ARM-BALLOON 0 290000 58000 100 773 0 1YR FALSE 1103591053 NO RATIO BL1205E_ARM-BALLOON 0 360000 72000 100 784 0 1YR FALSE 1103591054 NO RATIO SL1603E_ARM-BALLOON 30 165000 0 95 698 0 NO-PREPAY MI 1103591056 NO RATIO BA1105EI_ARM-INTONLY 35 215000 0 100 726 0 1YR TRUE 1103591057 NO RATIO SA2605EI_ARM-INTONLY 0 414613 82923 100 668 0 3YR TRUE 1103591059 NO RATIO SA1605EI_ARM-INTONLY 0 382000 76400 100 719 0 1YR TRUE 1103591060 NO RATIO SA1605EI_ARM-INTONLY 0 404900 80900 99.98 716 0 3YR TRUE 1103591061 NO RATIO XL2605E_ARM-BALLOON 30 294000 0 95 664 0 1YR TRUE 1103591062 NO RATIO SA1605EI_ARM-INTONLY 0 0 73500 95 687 0 1YR TRUE 1103591063 NO RATIO SL1605E_ARM-BALLOON 0 0 128000 100 720 0 1YR TRUE 1103591064 NO RATIO SA1605EI_ARM-INTONLY 0 339500 67900 100 707 0 3YR TRUE 1103591065 FULL/ALT PA0605EI_ARM-INTONLY 0 195000 39000 100 746 45.75 3YR TRUE 1103591066 NINA BA2205EI_ARM-INTONLY 0 0 0 80 659 0 1YR FALSE 1103591067 NO RATIO SL1605E_ARM-BALLOON 0 250000 50000 100 691 0 1YR TRUE 1103591068 NO RATIO SL1605E_ARM-BALLOON 0 611996 122400 100 710 0 1YR TRUE 1103591069 NINA SA1605EI_ARM-INTONLY 0 365000 0 80 800 0 NO-PREPAY MI 1103591070 NO RATIO SL1605E_ARM-BALLOON 0 0 0 80 737 0 3YR TRUE 1103591071 NO RATIO SA1605E_ARM 0 0 0 72.31 686 0 3YR TRUE 1103591072 NO RATIO SL2605E_ARM-BALLOON 0 0 0 79.91 647 0 3YR TRUE 1103591073 NO RATIO SA1605EI_ARM-INTONLY 0 474000 94800 100 692 0 1YR TRUE 1103591074 FULL/ALT PL2603E_ARM-BALLOON 0 0 32500 90 623 49.24 3YR TRUE 1103591076 NO RATIO SA1603EI_ARM-INTONLY 0 405000 81000 100 684 0 3YR TRUE 1103591079 NO RATIO SA2605EI_ARM-INTONLY 0 0 91125 95 643 0 3YR TRUE 1103591080 NO RATIO SL1605E_ARM-BALLOON 0 259000 51800 100 683 0 3YR TRUE 1103591081 NO RATIO SA1603EI_ARM-INTONLY 0 443500 88700 100 721 0 3YR TRUE 1103591082 NO RATIO SA2605EI_ARM-INTONLY 25 0 0 89.9 621 0 1YR TRUE 1103591083 NO RATIO SA1605E_ARM 0 510000 102000 100 719 0 1YR TRUE 1103591084 NO RATIO SA1605E_ARM 0 577000 57700 90 687 0 1YR TRUE 1103591085 NO RATIO BL1105E_ARM-BALLOON 35 226000 0 100 713 0 1YR TRUE 1103591086 NO RATIO SL1605E_ARM-BALLOON 0 0 78000 100 708 0 3YR TRUE 1103591087 NO RATIO BA1105EI_ARM-INTONLY 0 350000 0 100 693 0 1YR TRUE 1103591089 NO RATIO SA1605EI_ARM-INTONLY 0 425000 85000 100 731 0 1YR TRUE 1103591090 NO RATIO BL1105E_ARM-BALLOON 35 147000 0 100 708 0 NO-PREPAY MI 1103591091 NO RATIO SL1605E_ARM-BALLOON 0 348000 69600 100 714 0 3YR TRUE 1103591093 NO RATIO SA1605E_ARM 0 0 0 80 710 0 1YR TRUE 1103591094 NO RATIO SA1605EI_ARM-INTONLY 0 260000 0 80 719 0 3YR FALSE 1103591096 NO RATIO SA2605EI_ARM-INTONLY 0 365000 0 80 632 0 3YR FALSE 1103591098 NO RATIO SL1605E_ARM-BALLOON 0 131800 19770 95 737 0 3YR FALSE 1103591099 NO RATIO SL1605E_ARM-BALLOON 0 189900 28485 95 718 0 NO-PREPAY MI 1103591100 NINA SA1605EI_ARM-INTONLY 30 189000 0 95 702 0 3YR TRUE 1103591102 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 78.95 797 0 3YR FALSE 1103591103 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 797 0 3YR TRUE 1103591104 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 767 0 3YR FALSE 1103591105 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 767 0 3YR TRUE 1103591106 NO RATIO SA1605EI_ARM-INTONLY 12 0 0 81.82 712 0 3YR FALSE 1103591107 FULL/ALT BA0205EI_ARM-INTONLY 0 330000 66000 100 775 48.341 NO-PREPAY MI 1103591108 FULL/ALT BA0205EI_ARM-INTONLY 0 249000 50000 100 710 49.98 3YR FALSE 1103591109 NO RATIO SA1605EI_ARM-INTONLY 0 497500 99500 100 703 0 NO-PREPAY MI 1103591110 NO RATIO BA1105E_ARM 35 335000 0 100 738 0 NO-PREPAY MI 1103591111 FULL/ALT BA0105EI_ARM-INTONLY 0 175000 35000 100 708 49.56 1YR FALSE 1103591112 FULL/ALT PL0603E_ARM-BALLOON 0 0 73000 89.1 694 39.5 1YR TRUE 1103591113 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 51.69 626 0 3YR TRUE 1103591114 NO RATIO SA1605E_ARM 0 145000 29000 100 691 0 1YR TRUE 1103591115 NO RATIO SA1605E_ARM 0 134000 26800 100 710 0 1YR TRUE 1103591116 NO RATIO SL1603E_ARM-BALLOON 0 780000 156000 100 738 0 3YR TRUE 1103591117 NO RATIO SL1605E_ARM-BALLOON 25 427250 0 90 714 0 NO-PREPAY MI 1103591120 NO RATIO BA1605EI_ARM-INTONLY 0 770000 154000 100 733 0 NO-PREPAY MI 1103591121 NO RATIO SA1605E_ARM 0 0 0 80 720 0 1YR FALSE 1103591122 NO RATIO SA1605E_ARM 0 164900 32980 100 756 0 1YR TRUE 1103591123 NO RATIO SA1605EI_ARM-INTONLY 0 350000 70000 100 722 0 3YR TRUE 1103591125 NO RATIO SL2605E_ARM-BALLOON 0 115000 17250 95 657 0 3YR TRUE 1103591126 FULL/ALT BA0105E_ARM 35 50550 0 100 737 48 3YR FALSE 1103591127 FULL/ALT BA0205E_ARM 0 75000 15000 100 802 29.37 1YR FALSE 1103591128 NINA BA2605EI_ARM-INTONLY 30 108300 0 95 685 0 3YR TRUE 1103591129 NO RATIO BA2205EI_ARM-INTONLY 35 448386 0 100 669 0 NO-PREPAY MI 1103591130 FULL/ALT PA1605EI_ARM-INTONLY 0 212400 42480 100 668 46.48 3YR TRUE 1103591133 FULL/ALT TB0630_BALLOON 0 697393 0 90 788 37.9 NO-PREPAY MI 1103591136 NO RATIO SF2630_FIXEDRATE 0 0 0 80 647 0 NO-PREPAY MI 1103591138 NO RATIO SB3640_BALLOON 0 0 0 80 618 0 2YR FALSE 1103591143 REDUCED PA0605EI_ARM-INTONLY 0 0 0 72.76 777 26.77 3YR TRUE 1103591144 REDUCED PA0605EI_ARM-INTONLY 0 335960 67192 100 696 36.83 3YR TRUE 1103591145 FULL/ALT PA0605EI_ARM-INTONLY 0 285000 42750 95 729 42.66 NO-PREPAY MI 1103591146 REDUCED PA0605EI_ARM-INTONLY 0 0 20500 90 704 28.16 3YR FALSE 1103591147 REDUCED PA0605EI_ARM-INTONLY 0 245000 49000 100 735 37.5 NO-PREPAY MI 1103591148 REDUCED PA0605EI_ARM-INTONLY 0 255000 51000 100 747 43.07 NO-PREPAY MI 1103591149 REDUCED PA1605EI_ARM-INTONLY 0 460553 92111 100 680 38.9 3YR FALSE 1103591151 REDUCED PA0605EI_ARM-INTONLY 0 207000 41400 100 759 36.54 3YR FALSE 1103591153 REDUCED PA0605EI_ARM-INTONLY 0 210000 42000 100 776 32.77 3YR TRUE 1103591154 REDUCED PA0605EI_ARM-INTONLY 0 390000 78000 100 789 34.83 3YR FALSE 1103591158 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 70 673 0 NO-PREPAY MI 1103591160 REDUCED PA0605E_ARM 0 0 70000 90 695 22.37 NO-PREPAY MI 1103591173 REDUCED PA2605E_ARM 0 210000 42000 100 625 42.34 2YR FALSE 1103591174 REDUCED PA1605EI_ARM-INTONLY 0 128000 25600 100 642 48.86 NO-PREPAY MI 1103591175 NO RATIO SA1605EI_ARM-INTONLY 0 362000 36200 90 731 0 2YR FALSE 1103591177 NO RATIO SA2605EI_ARM-INTONLY 0 669000 0 80 646 0 2YR FALSE 1103591180 NINA SA1605E_ARM 0 170000 17000 90 766 0 2YR FALSE 1103591181 NO RATIO SA1605EI_ARM-INTONLY 0 425220 85000 99.99 713 0 NO-PREPAY MI 1103591182 NO RATIO SA2605EI_ARM-INTONLY 0 130000 19500 95 677 0 NO-PREPAY MI 1103591183 NO RATIO SA2605EI_ARM-INTONLY 0 0 15000 90 632 0 2YR FALSE 1103591184 NO RATIO SA1605EI_ARM-INTONLY 0 0 15000 90 690 0 NO-PREPAY MI 1103591185 FULL/ALT PA0605EI_ARM-INTONLY 0 291780 58356 100 716 50.46 2YR FALSE 1103591187 NO RATIO SA2605EI_ARM-INTONLY 0 281809 56350 99.98 663 0 2YR FALSE 1103591188 REDUCED PA2605EI_ARM-INTONLY 0 525000 105000 100 637 48.91 NO-PREPAY MI 1103591190 REDUCED PA0605EI_ARM-INTONLY 0 0 25500 100 696 39.63 2YR FALSE 1103591192 FULL/ALT PA3605EI_ARM-INTONLY 0 295000 59000 100 610 50.35 NO-PREPAY MI 1103591193 NO RATIO SA2605EI_ARM-INTONLY 0 400000 80000 100 656 0 2YR FALSE 1103591195 NO RATIO SA2605EI_ARM-INTONLY 0 450000 22500 85 655 0 2YR FALSE 1103591196 NO RATIO SA2605EI_ARM-INTONLY 0 0 98600 95 642 0 2YR FALSE 1103591197 REDUCED PA1605EI_ARM-INTONLY 0 314000 47100 95 674 44.21 NO-PREPAY MI 1103591198 REDUCED PA0605E_ARM 0 109000 16350 90 719 35.9 2YR FALSE 1103591199 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 70 633 0 NO-PREPAY MI 1103591200 NINA SA1605EI_ARM-INTONLY 0 0 0 80 704 0 2YR FALSE 1103591201 REDUCED PA0602EI_ARM-INTONLY 0 0 44250 95 721 39.71 2YR FALSE 1103591203 SISA PF1630I_FIX-INTONLY 0 0 0 77.03 661 45 3YR FALSE 1103591222 REDUCED PA0605EI_ARM-INTONLY 0 159000 31800 90 724 10.59 NO-PREPAY MI 1103591224 REDUCED PA0605EI_ARM-INTONLY 0 179000 35800 90 733 8.78 NO-PREPAY MI 1103591234 REDUCED PF0630I_FIX-INTONLY 0 143000 28600 90 723 48.41 NO-PREPAY MI 1103591235 REDUCED TB0630_BALLOON 0 143000 0 90 723 48.41 NO-PREPAY MI 1103591236 NINA SF2630_FIXEDRATE 0 330000 0 80 677 0 NO-PREPAY MI 1103591240 REDUCED PF1630_FIXEDRATE 0 0 58000 89.7 651 16.4 NO-PREPAY MI 1103591241 REDUCED TF1615_FIXEDRATE 0 0 0 89.7 651 16.4 NO-PREPAY MI 1103591256 REDUCED TB0630_BALLOON 0 119950 0 90 686 42.8 NO-PREPAY MI 1103591262 REDUCED PA0605EI_ARM-INTONLY 0 135000 27000 90 757 49 1YR FALSE 1103591287 REDUCED PA1605EI_ARM-INTONLY 0 285000 57000 100 640 40.84 3YR FALSE 1103591301 SISA XA0610EI_ARM-INTONLY 0 615000 98000 83.74 755 37.519 NO-PREPAY MI 1103591302 FULL/ALT PA0603EI_ARM-INTONLY 0 0 50000 88.47 742 44.652 NO-PREPAY MI 1103591303 SISA XA0605DI_ARM-INTONLY 0 0 0 50 743 28.35 NO-PREPAY MI 1103591305 SISA BA0605DI_ARM-INTONLY 25 319900 0 89.02 738 53.52 NO-PREPAY MI 1103591306 FULL/ALT BA1207DI_ARM-INTONLY 0 0 0 67.57 645 35.36 NO-PREPAY MI 1103591307 FULL/ALT PA0605E_ARM 0 325000 0 80 766 41.638 NO-PREPAY MI 1103591309 SISA PA0605EI_ARM-INTONLY 0 888000 0 74.57 703 44.624 NO-PREPAY MI 1103591311 SISA PA0607EI_ARM-INTONLY 0 1264000 0 59.34 722 40.06 NO-PREPAY MI 1103591312 SISA PA0607EI_ARM-INTONLY 0 1367500 230834 90.01 754 32.9 NO-PREPAY MI 1103591313 FULL/ALT PA2607EI_ARM-INTONLY 0 0 80000 89.1 626 44.13 NO-PREPAY MI 1103591314 SISA XA0607DI_ARM-INTONLY 0 0 0 80 782 25.75 NO-PREPAY MI 1103591315 FULL/ALT PA1607EI_ARM-INTONLY 0 0 30000 84.11 648 40.49 NO-PREPAY MI 1103591316 SISA PA0607EI_ARM-INTONLY 0 582000 0 80 729 25.07 NO-PREPAY MI 1103591317 SISA PA0605E_ARM 0 620000 0 80 718 44.359 NO-PREPAY MI 1103591320 REDUCED PA0605EI_ARM-INTONLY 0 0 0 73.24 697 38.06 NO-PREPAY MI 1103591321 REDUCED XA0605DI_ARM-INTONLY 0 546000 81900 95 741 35.14 NO-PREPAY MI 1103591324 REDUCED PA1605E_ARM 0 492019 0 79.88 667 39.66 NO-PREPAY MI 1103591331 REDUCED PA0602EI_ARM-INTONLY 0 139900 27980 95 685 43.7 2YR FALSE 1103591332 REDUCED TB0630_BALLOON 0 139900 0 95 685 43.7 2YR FALSE 1103591345 REDUCED PF0630_FIXEDRATE 0 1350000 280000 80 694 0 3YR FALSE 1103591347 REDUCED PA2605EI_ARM-INTONLY 0 845000 195000 100 633 36.51 3YR FALSE 1103591348 REDUCED TB2630_BALLOON 0 845000 0 100 633 36.49 1YR FALSE 1103591356 NO RATIO SF1630_FIXEDRATE 0 0 0 52.14 675 0 2YR FALSE 1103591417 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 74.99 659 40 1YR FALSE 1103591460 REDUCED PA0603EI_ARM-INTONLY 0 430000 86000 100 693 49.76 2YR FALSE 1103591461 REDUCED TB0630I_BALLOON-INTONLY 0 430000 0 100 690 49.76 NO-PREPAY MI 1103591495 REDUCED AA1607EI_ARM-INTONLY 0 0 0 75 722 37 1YR TRUE 1103591519 REDUCED PA1605EI_ARM-INTONLY 0 420000 84000 100 667 43.56 1YR FALSE 1103591521 REDUCED TB1630I_BALLOON-INTONLY 0 420000 0 100 667 43.56 NO-PREPAY MI 1103591546 REDUCED TB1630_BALLOON 0 0 0 90 660 39.69 3YR FALSE 1103591573 REDUCED PA0603EI_ARM-INTONLY 0 0 88000 90 684 44.03 2YR FALSE 1103591625 REDUCED TB1630_BALLOON 0 0 0 81.81 666 44.81 3YR FALSE 1103591635 REDUCED PA0605EI_ARM-INTONLY 0 0 42750 95 698 48.67 3YR FALSE 1103591637 REDUCED TB0630_BALLOON 0 0 0 95 698 48.67 NO-PREPAY MI 1103591644 REDUCED PA0605E_ARM 0 417000 0 75 758 44.69 1YR FALSE 1103591649 NINA SF4630_FIXEDRATE 0 0 0 29.8 582 0 2YR FALSE 1103591656 REDUCED PA0605EI_ARM-INTONLY 0 525000 131200 95 787 47.95 NO-PREPAY MI 1103591664 REDUCED PA1605EI_ARM-INTONLY 0 230000 23000 90 655 41.11 NO-PREPAY MI 1103591671 REDUCED PF1630I_FIX-INTONLY 0 189900 37980 90 679 36.44 3YR FALSE 1103591672 REDUCED TB1630_BALLOON 0 189900 0 90 679 36.44 NO-PREPAY MI 1103591697 REDUCED PA1605E_ARM 0 120000 30000 95 642 9.53 3YR TRUE 1103591698 REDUCED TB1630_BALLOON 0 120000 0 95 642 9.53 NO-PREPAY MI 1103591699 REDUCED PA0605EI_ARM-INTONLY 0 0 110000 80 752 37.81 1YR FALSE 1103591703 REDUCED PA0605EI_ARM-INTONLY 0 0 42750 95 698 48.66 3YR FALSE 1103591704 REDUCED TB0630_BALLOON 0 0 0 95 698 48.66 NO-PREPAY MI 1103591712 REDUCED PF1630I_FIX-INTONLY 0 0 214800 96.76 667 37.35 3YR FALSE 1103591713 REDUCED TB1630_BALLOON 0 0 0 96.76 667 37.35 3YR FALSE 1103591715 NO RATIO SA2607EI_ARM-INTONLY 0 530000 0 60 671 0 2YR FALSE 1103591726 REDUCED PL0602E_ARM-BALLOON 0 0 24000 88.89 719 29.79 2YR FALSE 1103591727 REDUCED PL0602E_ARM-BALLOON 0 0 24000 85.72 719 0 2YR FALSE 1103591761 REDUCED PA1605EI_ARM-INTONLY 0 386000 77200 100 674 36.67 6MO FALSE 1103591762 REDUCED TB1630_BALLOON 0 386000 0 100 674 36.67 6MO FALSE 1103591782 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 70 633 0 3YR FALSE 1103591789 NINA SF2630_FIXEDRATE 0 0 0 65 652 0 3YR FALSE 1103591800 REDUCED PA0605E_ARM 0 349900 69950 99.99 739 0 3YR FALSE 1103591801 REDUCED PA0605EI_ARM-INTONLY 0 199000 39800 100 748 45.17 3YR FALSE 1103591802 REDUCED TB0630_BALLOON 0 199000 0 100 748 45.17 3YR FALSE 1103591803 SISA PA1605EI_ARM-INTONLY 0 0 0 65.79 663 20.49 3YR FALSE 1103591810 SISA PF0630_FIXEDRATE 0 277700 100000 90.03 708 39.29 NO-PREPAY MI 1103591811 REDUCED PA0605EI_ARM-INTONLY 0 217000 43400 100 716 50.6 3YR FALSE 1103591827 REDUCED PA2602E_ARM 0 120000 12000 90 621 0 NO-PREPAY MI 1103591843 REDUCED PF0630_FIXEDRATE 0 581459 58100 89.99 796 43.97 NO-PREPAY MI 1103591845 REDUCED TB0630_BALLOON 0 581459 0 89.99 796 43.97 NO-PREPAY MI 1103593690 REDUCED TB0630_BALLOON 0 0 0 95 721 39.71 3YR FALSE 1103591855 REDUCED PA0605EI_ARM-INTONLY 0 259000 51800 100 685 44.59 2YR FALSE 1103591860 REDUCED TB0630I_BALLOON-INTONLY 0 259000 0 100 685 44.59 2YR FALSE 1103591872 REDUCED PF1630I_FIX-INTONLY 0 999000 299700 100 657 47.15 3YR FALSE 1103591873 REDUCED TB0630_BALLOON 0 254000 0 95 694 36.74 NO-PREPAY MI 1103591880 NINA SF4630_FIXEDRATE 0 315000 0 50 596 35.93 1YR FALSE 1103591881 REDUCED TB1630_BALLOON 0 999000 0 100 657 47.15 NO-PREPAY MI 1103591882 NINA SF1630_FIXEDRATE 30 280962 0 95 679 0 NO-PREPAY MI 1103591885 REDUCED PF0630I_FIX-INTONLY 0 419000 83800 100 741 0 3YR FALSE 1103591909 REDUCED PA0605EI_ARM-INTONLY 0 700000 0 70 757 43.31 2YR FALSE 1103591914 REDUCED PA0605EI_ARM-INTONLY 0 650000 130000 100 733 42.75 3YR FALSE 1103591917 REDUCED PA0605EI_ARM-INTONLY 0 268900 67223 99.99 689 0 3YR TRUE 1103591946 REDUCED PF2630_FIXEDRATE 0 0 0 52 634 44.42 5YR FALSE 1103591953 FULL/ALT PA0603EI_ARM-INTONLY 0 0 0 30.91 728 30.13 1YR FALSE 1103591954 REDUCED PA0605EI_ARM-INTONLY 0 679000 203700 100 726 44.32 3YR FALSE 1103591955 REDUCED TB0630_BALLOON 0 679000 0 100 726 44.32 3YR FALSE 1103591959 REDUCED PA0605EI_ARM-INTONLY 0 265000 0 80 767 0 NO-PREPAY MI 1103591961 REDUCED PA1607EI_ARM-INTONLY 0 289900 28990 90 659 36.41 1YR FALSE 1103591963 REDUCED TB1630_BALLOON 0 289900 0 90 659 36.41 6MO FALSE 1103591976 REDUCED PF2630_FIXEDRATE 0 432003 97990 64.82 621 42.19 3YR TRUE 1103591978 REDUCED PA2605EI_ARM-INTONLY 0 710000 106500 95 620 49.58 1YR FALSE 1103591987 SISA PA0603E_ARM 0 322000 96600 100 758 44.54 3YR FALSE 1103591988 REDUCED PA0605E_ARM 0 238500 25100 89.98 787 32.02 2YR FALSE 1103591989 REDUCED PA1603EI_ARM-INTONLY 0 0 85600 95 649 49.95 3YR FALSE 1103591991 REDUCED PA1603EI_ARM-INTONLY 0 380000 76000 100 663 44.05 2YR FALSE 1103591992 REDUCED PA1603EI_ARM-INTONLY 0 375000 75000 100 660 40.09 3YR FALSE 1103591993 REDUCED PA0605EI_ARM-INTONLY 0 565000 56500 90 757 43.2 NO-PREPAY MI 1103591994 SISA PA0605EI_ARM-INTONLY 0 435000 130500 100 721 48.44 NO-PREPAY MI 1103591995 REDUCED PA1605EI_ARM-INTONLY 0 352000 70400 100 641 43.07 3YR FALSE 1103591996 SISA PA0605EI_ARM-INTONLY 0 285000 71250 100 753 40.98 3YR TRUE 1103591997 SISA PA0607EI_ARM-INTONLY 0 0 185000 85 725 41.19 NO-PREPAY MI 1103591998 REDUCED PA1607EI_ARM-INTONLY 0 383500 95875 100 664 45.84 3YR FALSE 1103591999 REDUCED PA1607EI_ARM-INTONLY 0 267950 66987 100 657 38.1 3YR FALSE 1103592000 NO RATIO SA2605EI_ARM-INTONLY 0 790508 118500 94.99 671 0 2YR FALSE 1103592001 NO RATIO SA1605EI_ARM-INTONLY 0 610000 122000 100 731 0 3YR TRUE 1103592040 REDUCED PF2630I_FIX-INTONLY 0 250000 50000 100 628 40 3YR FALSE 1103592049 REDUCED TB2630_BALLOON 0 250000 0 100 628 40 3YR FALSE 1103592051 REDUCED TF1615I_FIX-INTONLY 0 0 0 90 653 36.77 3YR FALSE 1103592078 NO RATIO SF1630_FIXEDRATE 0 0 0 70 759 1 1YR FALSE 1103592079 REDUCED PF1630_FIXEDRATE 35 287270 0 90 663 34.93 NO-PREPAY MI 1103592109 REDUCED PA1605EI_ARM-INTONLY 0 345000 69000 100 644 0 NO-PREPAY MI 1103592115 REDUCED PA0602EI_ARM-INTONLY 0 550000 55000 90 688 44.5 2YR FALSE 1103592116 REDUCED PF1630_FIXEDRATE 0 150000 30000 95 677 43.16 NO-PREPAY MI 1103592117 REDUCED TB1630_BALLOON 0 150000 0 95 677 43.16 NO-PREPAY MI 1103592136 NO RATIO SA2607EI_ARM-INTONLY 0 280000 0 64.29 671 0 2YR FALSE 1103592155 REDUCED PA0605EI_ARM-INTONLY 0 189000 37800 90 732 50 3YR TRUE 1103592156 REDUCED TB0630_BALLOON 0 189000 0 90 732 50 NO-PREPAY MI 1103592167 REDUCED PA0607EI_ARM-INTONLY 0 0 0 47.37 794 49.39 3YR FALSE 1103592186 REDUCED PA0605EI_ARM-INTONLY 0 194990 48747 95 690 47.13 NO-PREPAY MI 1103592188 REDUCED PF1630_FIXEDRATE 0 169990 25498 95 646 37.25 1YR FALSE 1103592190 REDUCED TB0630_BALLOON 0 194990 0 95 690 47.13 NO-PREPAY MI 1103592202 REDUCED PF1630I_FIX-INTONLY 0 234000 58500 95 652 36.29 1YR FALSE 1103592203 REDUCED TB1630_BALLOON 0 234000 0 95 652 36.29 1YR FALSE 1103592209 REDUCED PA0605EI_ARM-INTONLY 0 147000 29400 90 722 48.6 3YR FALSE 1103592210 REDUCED TB0630_BALLOON 0 147000 0 90 722 48.6 NO-PREPAY MI 1103592228 NINA SF1630_FIXEDRATE 0 0 0 27.17 737 1 1YR FALSE 1103592241 REDUCED PF1630I_FIX-INTONLY 0 558511 167554 100 672 49.77 NO-PREPAY MI 1103592247 REDUCED TB1630_BALLOON 0 0 0 90 664 36.71 3YR FALSE 1103592259 REDUCED PA0605EI_ARM-INTONLY 0 306000 30600 90 696 47.48 2YR FALSE 1103592260 REDUCED TB0630_BALLOON 0 306000 0 90 696 47.48 2YR FALSE 1103592261 FULL/ALT PA0430G_ARM 0 105000 0 90 780 42.786 NO-PREPAY MI 1103592262 SISA PA0630G_ARM 0 0 0 65 700 30.52 1YR FALSE 1103592264 SISA PA0630GI_ARM-INTONLY 0 0 0 64.92 713 40.59 NO-PREPAY MI 1103592267 REDUCED PA0630GI_ARM-INTONLY 0 653400 98010 95 740 38.832 NO-PREPAY MI 1103592268 NO RATIO SA1602E_ARM 0 366000 73200 100 758 0 2YR FALSE 1103592269 SISA PA0602E_ARM 0 230000 57500 100 760 29.6 NO-PREPAY MI 1103592270 NO RATIO SA2602EI_ARM-INTONLY 0 270000 0 80 645 0 NO-PREPAY MI 1103592271 REDUCED PA0602EI_ARM-INTONLY 0 489000 146700 100 690 38.29 NO-PREPAY MI 1103592272 NO RATIO SA1603EI_ARM-INTONLY 0 250500 50100 100 695 0 NO-PREPAY MI 1103592273 REDUCED PA0603EI_ARM-INTONLY 0 380000 0 80 711 46.36 NO-PREPAY MI 1103592274 REDUCED BA0230D_ARM 0 212400 63720 100 708 41.33 NO-PREPAY MI 1103592275 FULL/ALT PA0630D_ARM 0 129782 25956 100 817 19.49 NO-PREPAY MI 1103592276 NO RATIO SA1630DI_ARM-INTONLY 0 120000 24000 100 682 0 NO-PREPAY MI 1103592277 NO RATIO SA1630DI_ARM-INTONLY 0 0 292500 100 706 0 NO-PREPAY MI 1103592278 NO RATIO SA1630DI_ARM-INTONLY 0 949920 189984 90 714 0 NO-PREPAY MI 1103592279 REDUCED PA0630DI_ARM-INTONLY 0 0 68000 95 748 31.24 NO-PREPAY MI 1103592280 REDUCED PA0630DI_ARM-INTONLY 0 0 98000 84.89 775 36.85 NO-PREPAY MI 1103592282 NO RATIO SA2630DI_ARM-INTONLY 0 485000 97000 100 663 0 NO-PREPAY MI 1103592283 REDUCED PA0630DI_ARM-INTONLY 0 400000 80000 100 730 23.104 NO-PREPAY MI 1103592284 REDUCED PA0630DI_ARM-INTONLY 0 122000 30500 95 753 37.66 NO-PREPAY MI 1103592285 REDUCED PA0630DI_ARM-INTONLY 0 278661 41799 95 765 24.37 NO-PREPAY MI 1103592286 REDUCED BA0230DI_ARM-INTONLY 0 629000 188700 100 716 28.095 NO-PREPAY MI 1103592287 REDUCED PA0630DI_ARM-INTONLY 0 689500 206850 100 794 34.04 NO-PREPAY MI 1103592288 REDUCED PA0630DI_ARM-INTONLY 0 236900 71070 100 684 37.781 NO-PREPAY MI 1103592292 REDUCED PA0630DI_ARM-INTONLY 0 2550000 637500 90 744 34.74 NO-PREPAY MI 1103592312 REDUCED PA0605EI_ARM-INTONLY 0 2274640 0 70 706 27.66 1YR FALSE 1103592316 REDUCED PA0605EI_ARM-INTONLY 0 158500 31700 90 726 43.54 1YR FALSE 1103592367 REDUCED PA1605EI_ARM-INTONLY 0 535000 80250 95 673 40.07 3YR FALSE 1103592369 REDUCED TB1630_BALLOON 0 535000 0 95 673 40.07 NO-PREPAY MI 1103592372 REDUCED PA0602EI_ARM-INTONLY 0 0 0 47.18 743 39.54 2YR FALSE 1103592373 SISA PA2602EI_ARM-INTONLY 0 0 0 80 650 18.76 2YR TRUE 1103592374 NO RATIO SA2602EI_ARM-INTONLY 0 0 0 80 651 0 2YR FALSE 1103592375 REDUCED PA0602EI_ARM-INTONLY 0 0 32400 95 773 30.7 1YR FALSE 1103592376 NINA XA2403EI_ARM-INTONLY 0 385000 0 90 656 0 3YR FALSE 1103592377 REDUCED PA3630EI_ARM-INTONLY 0 0 0 80 608 22 NO-PREPAY MI 1103592382 REDUCED PA2602EI_ARM-INTONLY 0 0 88000 100 646 38.22 2YR FALSE 1103592383 REDUCED PA2602EI_ARM-INTONLY 0 0 0 76.93 659 43.73 2YR FALSE 1103592385 NINA SA2602EI_ARM-INTONLY 0 0 0 80 663 0 2YR FALSE 1103592386 REDUCED PA0402EI_ARM-INTONLY 0 236125 23613 90.01 719 25.35 NO-PREPAY MI 1103592387 REDUCED PA2602EI_ARM-INTONLY 0 0 0 75 655 42.91 2YR FALSE 1103592388 REDUCED PA2602EI_ARM-INTONLY 0 166000 24900 95 644 37.944 2YR TRUE 1103592389 REDUCED PA3602E_ARM 0 0 0 74.49 613 26.51 2YR FALSE 1103592390 NINA SA0602EI_ARM-INTONLY 0 0 0 75 711 0 2YR FALSE 1103592391 REDUCED PA0602EI_ARM-INTONLY 0 0 80000 100 704 44.37 2YR FALSE 1103592393 REDUCED PA0602EI_ARM-INTONLY 0 0 0 80 726 34.3 NO-PREPAY MI 1103592394 REDUCED PA3602EI_ARM-INTONLY 0 0 0 56.4 586 32.32 2YR FALSE 1103592395 REDUCED PA2603EI_ARM-INTONLY 0 465000 46500 90 648 44.212 3YR TRUE 1103592396 REDUCED PA2602EI_ARM-INTONLY 0 211000 21100 90 648 45.696 2YR TRUE 1103592398 REDUCED PA0602EI_ARM-INTONLY 0 0 23000 100 713 33.57 2YR FALSE 1103592399 REDUCED PA2602EI_ARM-INTONLY 0 0 0 69.64 622 33.73 2YR FALSE 1103592400 REDUCED PA0602EI_ARM-INTONLY 0 250000 50000 100 682 40.37 3YR FALSE 1103592401 FULL/ALT PA0602E_ARM 0 265000 0 78.5 771 14.43 2YR FALSE 1103592402 REDUCED PA3602EI_ARM-INTONLY 0 0 0 65.59 610 39.29 2YR FALSE 1103592403 REDUCED PA0602E_ARM 0 225000 33750 95 693 49.98 3YR FALSE 1103592404 REDUCED PA0602EI_ARM-INTONLY 0 211000 42200 100 689 45.55 2YR FALSE 1103592430 REDUCED TB1630_BALLOON 0 0 0 90 655 34.32 3YR FALSE 1103592484 REDUCED PB0640_BALLOON 0 496000 99200 100 772 48 2YR FALSE 1103592485 REDUCED TB0630_BALLOON 0 496000 0 100 772 48 2YR FALSE 1103592501 REDUCED PA0607EI_ARM-INTONLY 0 0 0 62.23 709 0 3YR FALSE 1103592508 REDUCED PA0605EI_ARM-INTONLY 0 0 0 69.1 702 44.26 1YR FALSE 1103592530 REDUCED PF1630I_FIX-INTONLY 0 150000 30000 90 659 43.66 3YR FALSE 1103592531 REDUCED TB1630_BALLOON 0 150000 0 90 659 43.66 3YR FALSE 1103592537 REDUCED TF1630_FIXEDRATE 0 0 0 90 648 36.74 NO-PREPAY MI 1103592552 REDUCED PA0602EI_ARM-INTONLY 0 168000 42000 95 746 38.76 2YR FALSE 1103592553 REDUCED TB0630_BALLOON 0 168000 0 95 746 38.76 2YR FALSE 1103592580 REDUCED PA0605EI_ARM-INTONLY 0 345000 68000 95 701 38.09 2YR FALSE 1103592619 REDUCED PA2605EI_ARM-INTONLY 0 267751 53550 100 638 46.19 3YR FALSE 1103592639 REDUCED TB0630_BALLOON 0 345000 0 95 701 38.09 2YR FALSE 1103592649 REDUCED PL3605E_ARM-BALLOON 0 705000 0 50.36 722 53.85 6MO FALSE 1103592672 REDUCED PF0630_FIXEDRATE 0 213000 31950 95 737 39.3 2YR FALSE 1103592673 REDUCED TB0630_BALLOON 0 213000 0 95 737 39.3 NO-PREPAY MI 1103592748 NO RATIO SA0605E_ARM 0 0 59500 87.66 736 0 3YR FALSE 1103592775 REDUCED PF0630_FIXEDRATE 0 0 0 38.58 776 21.84 5YR FALSE 1103592784 REDUCED TB0630_BALLOON 0 541681 0 83.7 704 39.52 1YR FALSE 1103592785 REDUCED PF1630I_FIX-INTONLY 0 0 0 80 646 0 3YR FALSE 1103592864 REDUCED PF0630_FIXEDRATE 0 600000 120000 100 736 45.61 NO-PREPAY MI 1103592865 REDUCED TB0630_BALLOON 0 600000 0 100 736 45.61 NO-PREPAY MI 1103592867 REDUCED PA0605EI_ARM-INTONLY 0 195000 0 64.11 733 39.5 2YR FALSE 1103592872 REDUCED PA0605E_ARM 0 498750 0 75 712 44.63 3YR FALSE 1103592873 REDUCED PF1630I_FIX-INTONLY 0 166865 25030 95.01 674 47.67 NO-PREPAY MI 1103592874 REDUCED TB1630_BALLOON 0 166865 0 95.01 674 47.67 NO-PREPAY MI 1103592888 FULL/ALT PA0605EI_ARM-INTONLY 0 344222 103267 100 709 13.39 2YR FALSE 1103592889 REDUCED BA1605E_ARM 0 485000 97000 100 643 46.6 2YR FALSE 1103592890 REDUCED PA0605EI_ARM-INTONLY 0 340000 68000 100 702 45.57 2YR FALSE 1103592891 REDUCED PA0605EI_ARM-INTONLY 0 422000 84400 100 700 43.57 2YR FALSE 1103592892 REDUCED PA0605EI_ARM-INTONLY 0 93000 27900 100 693 39.17 2YR FALSE 1103592894 NO RATIO BA0605EI_ARM-INTONLY 0 350000 70000 100 724 0 3YR TRUE 1103592895 REDUCED BA0605EI_ARM-INTONLY 0 360000 180000 100 690 47.34 1YR FALSE 1103592897 NO RATIO SA0605EI_ARM-INTONLY 0 394000 78800 100 760 0 3YR FALSE 1103592899 FULL/ALT PA1605EI_ARM-INTONLY 0 407000 122100 100 651 41.92 2YR FALSE 1103592901 REDUCED PA1605EI_ARM-INTONLY 0 0 140500 95 663 37.45 3YR FALSE 1103592902 NINA EA1605EI_ARM-INTONLY 0 250000 50000 100 764 0 2YR FALSE 1103592903 NO RATIO SA2605EI_ARM-INTONLY 0 317000 63400 100 653 0 NO-PREPAY MI 1103592904 REDUCED PA0605EI_ARM-INTONLY 0 219000 43800 100 702 40.65 1YR FALSE 1103592905 FULL/ALT XA0605E_ARM 0 182000 36400 100 695 53.42 2YR FALSE 1103592906 FULL/ALT PA0405EI_ARM-INTONLY 22 0 0 85 705 29.88 3YR FALSE 1103592910 REDUCED PA2605EI_ARM-INTONLY 0 0 52600 90 622 43.91 2YR FALSE 1103592933 REDUCED PA0603EI_ARM-INTONLY 0 500000 150000 100 749 49.88 3YR FALSE 1103592937 REDUCED XA0605DI_ARM-INTONLY 0 1120000 168000 90 693 39.67 NO-PREPAY MI 1103592938 REDUCED XA0605DI_ARM-INTONLY 0 355000 71000 100 740 37.036 NO-PREPAY MI 1103592939 REDUCED PA0605EI_ARM-INTONLY 0 245000 61250 100 704 39.722 3YR TRUE 1103592940 REDUCED XA0605DI_ARM-INTONLY 0 408000 81600 100 706 30.13 NO-PREPAY MI 1103592941 REDUCED PA0605EI_ARM-INTONLY 0 464000 92800 100 723 35.58 NO-PREPAY MI 1103592942 REDUCED XA0605DI_ARM-INTONLY 0 352098 70420 100 699 34.887 NO-PREPAY MI 1103592943 REDUCED XA1610EI_ARM-INTONLY 0 555990 111200 100 680 39.17 NO-PREPAY MI 1103592944 REDUCED PA0605EI_ARM-INTONLY 0 268000 53600 100 776 40.98 NO-PREPAY MI 1103592945 REDUCED XA0610EI_ARM-INTONLY 0 460000 92000 100 746 38.45 NO-PREPAY MI 1103592946 REDUCED XA0610EI_ARM-INTONLY 0 350000 70000 100 754 34.67 NO-PREPAY MI 1103592947 NO RATIO BA0205EI_ARM-INTONLY 0 311999 78000 100 711 0 NO-PREPAY MI 1103592948 REDUCED PA0607EI_ARM-INTONLY 0 0 129000 100 729 44.981 NO-PREPAY MI 1103592949 REDUCED XA0605DI_ARM-INTONLY 0 537000 120000 100 741 43.54 NO-PREPAY MI 1103592950 REDUCED PA1605EI_ARM-INTONLY 0 0 0 65 667 39.98 NO-PREPAY MI 1103592951 FULL/ALT PA1605EI_ARM-INTONLY 0 255500 51100 100 651 39.17 3YR TRUE 1103592952 REDUCED XA0610EI_ARM-INTONLY 0 875000 175000 100 777 31.51 NO-PREPAY MI 1103592953 REDUCED PA0605EI_ARM-INTONLY 0 345000 69000 100 697 39.79 3YR TRUE 1103592954 REDUCED PA0605EI_ARM-INTONLY 0 800000 150000 93.75 726 43.78 3YR TRUE 1103592955 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 53.61 689 46.3 NO-PREPAY MI 1103592956 REDUCED PA0605EI_ARM-INTONLY 0 432000 86400 100 725 36.42 3YR TRUE 1103592957 SISA XA1605DI_ARM-INTONLY 0 0 0 65 661 37.51 NO-PREPAY MI 1103592958 REDUCED XA0610EI_ARM-INTONLY 0 0 0 64.95 702 24.08 NO-PREPAY MI 1103592959 REDUCED PA0605EI_ARM-INTONLY 0 0 0 45.54 727 46.24 NO-PREPAY MI 1103592960 REDUCED PA0607EI_ARM-INTONLY 0 0 0 80 691 39.517 NO-PREPAY MI 1103592961 REDUCED XA1610EI_ARM-INTONLY 0 0 0 80 664 37.06 3YR TRUE 1103592962 REDUCED XA0610EI_ARM-INTONLY 0 440000 88000 100 720 37.96 NO-PREPAY MI 1103592963 REDUCED XA0610EI_ARM-INTONLY 0 600000 120000 100 684 40.278 3YR TRUE 1103592987 REDUCED PA1603EI_ARM-INTONLY 0 0 35000 80 678 40.5 1YR FALSE 1103592989 REDUCED PA0605E_ARM 0 498750 0 75 712 44.63 3YR FALSE 1103592991 FULL/ALT PF2630I_FIX-INTONLY 0 297000 59400 100 639 17.4 3YR FALSE 1103592994 FULL/ALT TB2630_BALLOON 0 297000 0 100 639 17.4 NO-PREPAY MI 1103593019 REDUCED PA0605EI_ARM-INTONLY 0 565000 0 80 763 0 2YR FALSE 1103593023 REDUCED PA0607EI_ARM-INTONLY 0 236000 35400 95 683 49.52 1YR FALSE 1103593026 REDUCED TB0630_BALLOON 0 236000 0 95 683 42.97 1YR FALSE 1103593036 REDUCED PA1605EI_ARM-INTONLY 0 518925 129700 94.99 670 0 5YR FALSE 1103593046 REDUCED PA0605EI_ARM-INTONLY 0 166400 24960 95 693 45.82 2YR FALSE 1103593047 REDUCED TB0630_BALLOON 0 166400 0 95 693 45.82 NO-PREPAY MI 1103593064 REDUCED PA1602E_ARM 0 0 0 74.17 662 51.14 NO-PREPAY MI 1103593067 REDUCED PA1605EI_ARM-INTONLY 0 0 0 65 0 23.81 5YR FALSE 1103593068 REDUCED PA0603EI_ARM-INTONLY 0 0 0 74.89 758 40.83 1YR FALSE 1103593099 REDUCED TB0630_BALLOON 0 550000 0 90 688 44.5 2YR FALSE 1103593143 REDUCED TB0630_BALLOON 0 0 0 90 740 33.56 3YR FALSE 1103593145 REDUCED PA0605EI_ARM-INTONLY 0 0 20000 85.41 713 28.55 NO-PREPAY MI 1103593177 REDUCED PF1630I_FIX-INTONLY 0 300000 60000 95 653 31.17 1YR FALSE 1103593178 REDUCED TB1630_BALLOON 0 300000 0 95 653 31.17 1YR FALSE 1103593181 REDUCED PA0602EI_ARM-INTONLY 0 205000 51250 95 744 45.85 NO-PREPAY MI 1103593182 REDUCED TB0630_BALLOON 0 205000 0 95 744 45.85 NO-PREPAY MI 1103593191 REDUCED PA0605EI_ARM-INTONLY 0 184900 46225 95 791 42 1YR FALSE 1103593196 REDUCED PA0605EI_ARM-INTONLY 0 180900 45225 95 726 45 3YR FALSE 1103593203 REDUCED TB0630_BALLOON 0 180900 0 95 726 45 NO-PREPAY MI 1103593224 REDUCED PA0605EI_ARM-INTONLY 0 353000 70600 100 686 42.63 3YR FALSE 1103593225 REDUCED TB0630_BALLOON 0 353000 0 100 686 42.63 3YR FALSE 1103593238 FULL/ALT PA0602EI_ARM-INTONLY 0 175000 43750 95 692 45 1YR FALSE 1103593239 FULL/ALT TB0630_BALLOON 0 175000 0 95 692 45 NO-PREPAY MI 1103593265 REDUCED PA1605EI_ARM-INTONLY 0 374000 74800 100 669 44 2YR FALSE 1103593266 REDUCED TB1630_BALLOON 0 374000 0 100 669 44 3YR FALSE 1103593275 NO RATIO EA0605EI_ARM-INTONLY 25 194900 0 90 780 0 1YR FALSE 1103593295 REDUCED PA0605EI_ARM-INTONLY 0 0 63000 90 702 35.55 1YR FALSE 1103593345 REDUCED PA0605EI_ARM-INTONLY 0 270000 67500 95 724 44.34 NO-PREPAY MI 1103593346 REDUCED PF0630I_FIX-INTONLY 0 215950 43190 100 783 41.49 2YR FALSE 1103593348 REDUCED TB0630_BALLOON 0 215950 0 100 783 41.49 NO-PREPAY MI 1103593350 REDUCED TB0630_BALLOON 0 270000 0 95 724 44.34 NO-PREPAY MI 1103593366 REDUCED PA3605E_ARM 0 0 0 51.63 602 41.71 NO-PREPAY MI 1103593380 NO RATIO EA2605EI_ARM-INTONLY 22 415462 0 88.93 628 53.39 1YR FALSE 1103593386 REDUCED AA1605EI_ARM-INTONLY 0 0 43000 79.96 771 36.42 NO-PREPAY MI 1103593403 REDUCED PA2605EI_ARM-INTONLY 0 0 0 71.96 628 44.59 2YR FALSE 1103593407 REDUCED PF0630I_FIX-INTONLY 0 490000 49000 90 763 46.39 NO-PREPAY MI 1103593412 REDUCED TB0630_BALLOON 0 490000 0 90 763 46.39 NO-PREPAY MI 1103593452 REDUCED PA0605EI_ARM-INTONLY 0 270000 27000 85 689 0 1YR FALSE 1103593462 NO RATIO SF2630I_FIX-INTONLY 0 0 0 73 627 35 3YR TRUE 1103593474 REDUCED PA1605EI_ARM-INTONLY 0 242950 48590 100 656 38.36 2YR FALSE 1103593475 REDUCED TB1630_BALLOON 0 242950 0 100 656 38.36 3YR FALSE 1103593480 REDUCED PF3630_FIXEDRATE 0 0 0 80 608 38 3YR FALSE 1103593483 NO RATIO SF2630I_FIX-INTONLY 0 0 0 80 627 1 3YR TRUE 1103593492 REDUCED PA0602E_ARM 0 0 27600 95 699 38.65 NO-PREPAY MI 1103593493 REDUCED TB0630_BALLOON 0 0 0 95 699 38.65 NO-PREPAY MI 1103593495 NO RATIO SF2630I_FIX-INTONLY 0 0 0 78.14 627 35 3YR TRUE 1103593503 REDUCED PA0605EI_ARM-INTONLY 0 579715 86950 95 694 37 1YR FALSE 1103593509 REDUCED TB0630_BALLOON 0 579715 0 95 694 37 NO-PREPAY MI 1103593521 NINA SF0630_FIXEDRATE 0 0 0 80 742 0 3YR FALSE 1103593547 REDUCED PA0605EI_ARM-INTONLY 0 0 80000 87.03 722 42.63 1YR FALSE 1103593548 REDUCED TB0630_BALLOON 0 0 0 87.03 722 42.63 1YR FALSE 1103593586 REDUCED PA0605EI_ARM-INTONLY 0 605000 90800 90 745 45.9 2YR FALSE 1103593587 REDUCED TB0630_BALLOON 0 605000 0 90 745 45.9 2YR FALSE 1103593594 REDUCED PA0605EI_ARM-INTONLY 0 485000 0 63.92 797 0 NO-PREPAY MI 1103593635 REDUCED PA0605EI_ARM-INTONLY 0 259950 51950 99.97 737 0 3YR FALSE 1103593636 REDUCED PF2630_FIXEDRATE 0 0 0 75 633 43.78 NO-PREPAY MI 1103593641 REDUCED PA0605E_ARM 0 0 0 63.96 716 45.93 1YR FALSE 1103593661 REDUCED PA1605EI_ARM-INTONLY 0 320000 0 80 665 28.92 3YR FALSE 1103593663 REDUCED PA1605EI_ARM-INTONLY 0 0 56600 89.97 679 0 NO-PREPAY MI 1103593669 NO RATIO SF2630I_FIX-INTONLY 0 0 54000 90 648 0 1YR FALSE 1103593685 REDUCED PF1630I_FIX-INTONLY 0 350000 70000 100 664 44 NO-PREPAY MI 1103593686 REDUCED TB1630_BALLOON 0 350000 0 100 664 44 NO-PREPAY MI 1103593692 REDUCED PA0605EI_ARM-INTONLY 0 320000 64000 100 772 40.93 2YR FALSE 1103593693 REDUCED TB0630I_BALLOON-INTONLY 0 320000 0 100 772 40.93 2YR FALSE 1103593727 REDUCED PA1605EI_ARM-INTONLY 0 178000 26700 95 648 41.58 3YR FALSE 1103593728 REDUCED TB1630_BALLOON 0 178000 0 95 648 41.58 3YR FALSE 1103593739 REDUCED PA1605EI_ARM-INTONLY 0 289000 28900 90 667 0 3YR FALSE 1103593745 REDUCED PA0605EI_ARM-INTONLY 0 0 0 66.23 717 49.22 NO-PREPAY MI 1103593781 SISA PA0605EI_ARM-INTONLY 0 0 0 48.87 787 0 3YR FALSE 1103593786 REDUCED PA2605EI_ARM-INTONLY 0 0 0 66.02 625 27.6 1YR FALSE 1103593799 NO RATIO EA1605EI_ARM-INTONLY 0 266000 53200 95 703 1 1YR FALSE 1103593838 REDUCED PA0605E_ARM 0 360000 0 77.78 710 35.33 NO-PREPAY MI 1103593843 REDUCED PF0630I_FIX-INTONLY 0 202000 40400 100 734 46.7 NO-PREPAY MI 1103593855 REDUCED TB0630_BALLOON 0 202000 0 100 734 46.7 NO-PREPAY MI 1103593860 REDUCED TB0630_BALLOON 0 0 0 85.41 713 28.58 NO-PREPAY MI 1103593880 REDUCED PA0605EI_ARM-INTONLY 0 265000 53000 100 695 44.3 3YR FALSE 1103593892 REDUCED TB1630_BALLOON 0 0 0 89.45 641 39.34 3YR FALSE 1103593899 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 73.81 624 0 NO-PREPAY MI 1103593900 REDUCED PA0605E_ARM 0 835000 0 72.34 729 40.55 NO-PREPAY MI 1103593901 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 632 38.53 NO-PREPAY MI 1103593910 REDUCED TB0630_BALLOON 0 536000 0 95 726 39.11 NO-PREPAY MI 1103593922 NO RATIO SA0603EI_ARM-INTONLY 0 0 143000 100 686 0 NO-PREPAY MI 1103593923 REDUCED PA1603EI_ARM-INTONLY 0 0 0 78.68 640 41.99 NO-PREPAY MI 1103593924 REDUCED PA0603EI_ARM-INTONLY 0 433736 100000 90.09 753 40.45 NO-PREPAY MI 1103593925 REDUCED PA0603EI_ARM-INTONLY 0 566083 113217 100 708 44.67 NO-PREPAY MI 1103593927 FULL/ALT PA2605EI_ARM-INTONLY 0 470000 94000 100 628 42.19 NO-PREPAY MI 1103593928 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 80 648 37.17 NO-PREPAY MI 1103593929 FULL/ALT PA0605EI_ARM-INTONLY 0 320000 64000 100 718 44.92 3YR FALSE 1103593930 FULL/ALT PA1605EI_ARM-INTONLY 0 0 38000 92.67 648 40.48 NO-PREPAY MI 1103593932 NO RATIO SA1605EI_ARM-INTONLY 0 515000 77250 95 669 0 NO-PREPAY MI 1103593934 REDUCED PA0605EI_ARM-INTONLY 0 289000 57800 100 723 43.54 NO-PREPAY MI 1103593935 REDUCED PA0605EI_ARM-INTONLY 0 521240 104248 100 685 42.86 3YR FALSE 1103593936 REDUCED PA1605EI_ARM-INTONLY 0 500000 0 76.8 652 44.68 3YR FALSE 1103593937 REDUCED PA0605EI_ARM-INTONLY 0 465000 46450 89.99 767 29 NO-PREPAY MI 1103593938 REDUCED PA1605EI_ARM-INTONLY 0 420000 84000 100 650 41.38 3YR FALSE 1103593939 REDUCED PA0605EI_ARM-INTONLY 0 535000 118000 100 732 40.91 3YR FALSE 1103593940 REDUCED PA2605E_ARM 0 0 0 54.33 624 42.6 3YR FALSE 1103593946 FULL/ALT XA0603DI_ARM-INTONLY 0 220000 44000 100 758 52.97 NO-PREPAY MI 1103593947 FULL/ALT XA0605DI_ARM-INTONLY 0 214500 42900 100 766 37.68 NO-PREPAY MI 1103593948 FULL/ALT XA0605DI_ARM-INTONLY 0 490000 98000 100 722 39.81 NO-PREPAY MI 1103593949 FULL/ALT XA0605DI_ARM-INTONLY 0 137500 27500 100 736 45.4 NO-PREPAY MI 1103593950 FULL/ALT XA0605DI_ARM-INTONLY 0 223500 44700 100 739 35.66 NO-PREPAY MI 1103593951 FULL/ALT XA0605DI_ARM-INTONLY 0 160000 16000 90 800 23.13 NO-PREPAY MI 1103593952 FULL/ALT XA0605DI_ARM-INTONLY 0 279900 55980 100 685 43.82 NO-PREPAY MI 1103593953 FULL/ALT XA1605DI_ARM-INTONLY 0 350000 70000 100 665 33.57 NO-PREPAY MI 1103593955 FULL/ALT XA1607DI_ARM-INTONLY 0 0 40459 89.99 678 41.24 3YR TRUE 1103593956 REDUCED XA0607DI_ARM-INTONLY 0 343000 51450 90 704 35.04 NO-PREPAY MI 1103593957 NO RATIO XA1603DI_ARM-INTONLY 0 580000 127600 100 673 0 NO-PREPAY MI 1103593958 NO RATIO XA2605D_ARM 0 507500 101500 100 624 0 3YR TRUE 1103593959 FULL/ALT XA0605DI_ARM-INTONLY 0 0 38000 100 755 32.54 NO-PREPAY MI 1103593960 REDUCED XA0605DI_ARM-INTONLY 0 480000 96000 100 711 47.12 NO-PREPAY MI 1103593961 FULL/ALT XA0605DI_ARM-INTONLY 0 467470 93500 100 747 36.58 NO-PREPAY MI 1103593962 NO RATIO XA0605DI_ARM-INTONLY 0 622166 111057 95 697 0 NO-PREPAY MI 1103593963 NO RATIO XA0605DI_ARM-INTONLY 0 668185 158185 98.51 699 0 NO-PREPAY MI 1103593964 NO RATIO XA0605DI_ARM-INTONLY 0 0 115000 99.66 713 0 NO-PREPAY MI 1103593965 NO RATIO XA0605DI_ARM-INTONLY 0 381196 57179 95 686 0 NO-PREPAY MI 1103593967 REDUCED XA0605DI_ARM-INTONLY 0 0 0 80 744 39.71 NO-PREPAY MI 1103593968 NO RATIO XA1605DI_ARM-INTONLY 0 375000 75000 100 663 0 NO-PREPAY MI 1103593969 REDUCED XA1605DI_ARM-INTONLY 0 936600 187320 100 692 39.1 NO-PREPAY MI 1103593971 NO RATIO XA1605DI_ARM-INTONLY 0 215000 43000 100 645 0 NO-PREPAY MI 1103593972 FULL/ALT XA1605DI_ARM-INTONLY 0 0 87000 100 668 49.17 NO-PREPAY MI 1103593973 REDUCED XA0605DI_ARM-INTONLY 0 859900 171950 100 761 44.97 NO-PREPAY MI 1103593974 NO RATIO XA0605DI_ARM-INTONLY 0 665000 166250 100 775 0 NO-PREPAY MI 1103593975 NO RATIO XA1605DI_ARM-INTONLY 0 412000 82400 100 644 0 3YR TRUE 1103593976 REDUCED XA1605DI_ARM-INTONLY 0 310000 62000 100 649 46.53 3YR TRUE 1103593978 NO RATIO XA0605DI_ARM-INTONLY 0 0 200000 100 728 0 3YR TRUE 1103593979 NINA XA0605DI_ARM-INTONLY 0 0 50000 81.66 696 0 NO-PREPAY MI 1103593980 NO RATIO XA0605DI_ARM-INTONLY 0 315000 47250 95 693 0 NO-PREPAY MI 1103593981 REDUCED XA0605DI_ARM-INTONLY 0 667863 100000 94.97 699 42.92 3YR TRUE 1103593982 FULL/ALT XA2605DI_ARM-INTONLY 0 230000 46000 100 630 43.29 3YR TRUE 1103593983 REDUCED XA2605DI_ARM-INTONLY 0 411927 41100 84.97 628 46.04 1YR FALSE 1103593984 REDUCED XA1605DI_ARM-INTONLY 0 405000 81000 100 668 43.74 NO-PREPAY MI 1103593985 REDUCED XA0605DI_ARM-INTONLY 0 358000 71600 100 736 44.58 NO-PREPAY MI 1103593986 NO RATIO XA1605DI_ARM-INTONLY 0 485000 97000 100 654 0 NO-PREPAY MI 1103593987 REDUCED XA1605DI_ARM-INTONLY 0 644000 128800 100 640 42.39 NO-PREPAY MI 1103593988 NO RATIO XA0605DI_ARM-INTONLY 0 550000 110000 100 688 0 3YR TRUE 1103593989 REDUCED XA0605DI_ARM-INTONLY 0 260000 65000 100 691 44.65 NO-PREPAY MI 1103593990 REDUCED XA0605DI_ARM-INTONLY 0 538000 121000 100 689 47.76 3YR TRUE 1103593991 NO RATIO XA2605DI_ARM-INTONLY 0 435000 87000 100 623 0 3YR TRUE 1103593992 REDUCED XA2605DI_ARM-INTONLY 0 0 35000 90 633 46.49 NO-PREPAY MI 1103593993 NO RATIO XA0605DI_ARM-INTONLY 0 599000 119800 100 686 0 1YR FALSE 1103593994 REDUCED XA0605DI_ARM-INTONLY 0 649900 129800 99.87 684 46.05 1YR FALSE 1103593999 REDUCED PA1603EI_ARM-INTONLY 0 0 65767 89.99 655 47.62 1YR FALSE 1103594000 REDUCED XA0605D_ARM 0 0 0 27.15 690 49.88 NO-PREPAY MI 1103594001 REDUCED PA0603EI_ARM-INTONLY 0 0 123750 95 759 44.66 3YR FALSE 1103594002 REDUCED PA0603EI_ARM-INTONLY 0 0 95700 79.75 726 44.81 1YR FALSE 1103594003 REDUCED PA0603EI_ARM-INTONLY 0 978365 293510 100 709 29.86 1YR FALSE 1103594004 REDUCED XA0607D_ARM 0 0 0 59.19 718 41.61 1YR FALSE 1103594005 REDUCED PA0603EI_ARM-INTONLY 0 0 0 64.06 769 46.74 NO-PREPAY MI 1103594006 REDUCED PA0603EI_ARM-INTONLY 0 565000 113000 100 753 49.92 1YR FALSE 1103594007 REDUCED PA0603EI_ARM-INTONLY 0 826800 165360 100 794 38.45 2YR FALSE 1103594008 REDUCED PA0603EI_ARM-INTONLY 0 325000 97500 100 730 41.2 1YR FALSE 1103594009 REDUCED PA0603E_ARM 0 0 0 65.58 768 38.74 2YR FALSE 1103594010 REDUCED PA0603EI_ARM-INTONLY 0 0 91250 95 743 43.8 1YR FALSE 1103594011 REDUCED XA0603DI_ARM-INTONLY 0 0 0 70 781 43.81 NO-PREPAY MI 1103594012 REDUCED PA0605EI_ARM-INTONLY 0 281000 70250 95 706 47.43 3YR FALSE 1103594013 REDUCED PA0603EI_ARM-INTONLY 0 477500 95500 100 693 47.5 3YR FALSE 1103594014 REDUCED PA0603EI_ARM-INTONLY 0 0 0 61.8 694 48.43 1YR FALSE 1103594015 REDUCED PA1603EI_ARM-INTONLY 0 0 200000 94.7 674 42.94 3YR FALSE 1103594016 REDUCED PA0603EI_ARM-INTONLY 0 0 0 70 788 31.03 1YR FALSE 1103594017 REDUCED PA0605EI_ARM-INTONLY 0 0 116000 99.46 702 43.67 1YR FALSE 1103594018 REDUCED PA0605EI_ARM-INTONLY 0 0 91350 89.99 787 42.1 1YR FALSE 1103594019 REDUCED PA0603EI_ARM-INTONLY 0 0 70000 85.87 700 44.18 3YR FALSE 1103594020 SISA PA0605EI_ARM-INTONLY 0 0 0 70 709 36.95 3YR FALSE 1103594021 REDUCED PA0603EI_ARM-INTONLY 0 260500 52100 100 749 48.63 3YR FALSE 1103594029 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 78.93 723 0 3YR FALSE 1103594030 NO RATIO EA1605EI_ARM-INTONLY 30 159900 0 95 754 0 3YR FALSE 1103594032 NO RATIO BA1205EI_ARM-INTONLY 30 299900 0 94.72 737 0 3YR FALSE 1103594033 NO RATIO BA1205EI_ARM-INTONLY 35 146990 0 100 707 0 3YR TRUE 1103594034 NO RATIO SA2605EI_ARM-INTONLY 0 0 34000 100 669 0 3YR TRUE 1103594035 NO RATIO SA2605EI_ARM-INTONLY 25 0 0 90 659 0 3YR TRUE 1103594036 NINA XA0605EI_ARM-INTONLY 0 156900 0 80 778 0 3YR FALSE 1103594037 FULL/ALT BA0205EI_ARM-INTONLY 35 139000 0 100 688 42.043 3YR FALSE 1103594038 NO RATIO SA1605EI_ARM-INTONLY 30 371600 0 95 767 0 3YR FALSE 1103594039 NINA XA2603EI_ARM-INTONLY 0 0 0 79.94 661 0 3YR FALSE 1103594040 NINA BA2205EI_ARM-INTONLY 0 0 0 75.99 653 0 1YR TRUE 1103594041 NO RATIO SA1605EI_ARM-INTONLY 30 184874 0 95 764 0 3YR FALSE 1103594042 NO RATIO SA2605EI_ARM-INTONLY 30 149900 0 95 631 0 3YR TRUE 1103594043 NO RATIO BA1105EI_ARM-INTONLY 35 170900 0 100 764 0 3YR TRUE 1103594045 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 68.07 709 0 3YR FALSE 1103594047 NINA SA1603EI_ARM-INTONLY 0 730000 0 80 748 0 3YR TRUE 1103594049 NO RATIO EA1605EI_ARM-INTONLY 30 0 0 95 730 0 3YR TRUE 1103594050 NO RATIO SA2605EI_ARM-INTONLY 0 180000 36000 100 647 0 3YR TRUE 1103594054 NO RATIO SA1605EI_ARM-INTONLY 0 124800 0 80 698 0 3YR FALSE 1103594055 NINA SA1605EI_ARM-INTONLY 30 165000 0 95 711 0 3YR FALSE 1103594057 NINA XA1405EI_ARM-INTONLY 25 184990 0 90 750 0 3YR FALSE 1103594058 NO RATIO SA1605EI_ARM-INTONLY 30 89490 0 94.99 755 0 3YR TRUE 1103594059 NO RATIO BA2203EI_ARM-INTONLY 0 270000 54000 100 654 0 3YR FALSE 1103594060 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 722 0 3YR FALSE 1103594061 NINA BA1105EI_ARM-INTONLY 25 156900 0 90 766 0 3YR FALSE 1103594062 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 745 0 3YR TRUE 1103594063 NO RATIO SA1605EI_ARM-INTONLY 0 178200 0 80 796 0 3YR FALSE 1103594064 NO RATIO SA1605EI_ARM-INTONLY 0 142600 0 80 736 0 3YR FALSE 1103594065 NO RATIO SA2603EI_ARM-INTONLY 0 0 0 80 620 0 3YR TRUE 1103594066 NINA SA2605EI_ARM-INTONLY 30 269900 0 95 680 0 1YR TRUE 1103594067 NO RATIO SA2605EI_ARM-INTONLY 25 135900 0 90 661 0 3YR FALSE 1103594068 NINA XA1405EI_ARM-INTONLY 25 156900 0 90 766 0 3YR FALSE 1103594069 NO RATIO SA1605EI_ARM-INTONLY 25 137900 0 90 687 0 3YR FALSE 1103594070 NINA EA1605EI_ARM-INTONLY 30 190000 0 95 745 0 3YR TRUE 1103594071 NO RATIO SA0605EI_ARM-INTONLY 0 205000 0 80 684 0 3YR FALSE 1103594072 NO RATIO SA2605EI_ARM-INTONLY 0 179900 0 80 677 0 3YR FALSE 1103594074 NO RATIO SA1605EI_ARM-INTONLY 0 531605 81000 90 728 0 3YR FALSE 1103594075 NO RATIO BA1205EI_ARM-INTONLY 35 165000 0 100 704 0 3YR TRUE 1103594076 NO RATIO SA1605EI_ARM-INTONLY 30 185000 0 95 727 0 3YR FALSE 1103594077 NINA EA1605EI_ARM-INTONLY 30 274450 0 95 710 0 3YR FALSE 1103594078 NINA BA2205EI_ARM-INTONLY 0 212500 31800 94.97 649 0 1YR FALSE 1103594079 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 708 0 3YR TRUE 1103594080 NO RATIO BA1205EI_ARM-INTONLY 35 164900 0 100 712 0 3YR FALSE 1103594081 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 73.58 632 0 3YR FALSE 1103594082 NO RATIO EA2605EI_ARM-INTONLY 22 0 0 85 661 0 3YR TRUE 1103594085 NINA SA2605EI_ARM-INTONLY 30 232000 0 95 680 0 3YR TRUE 1103594087 NINA SA2605EI_ARM-INTONLY 0 0 0 61.64 667 0 3YR TRUE 1103594088 NO RATIO BA2205EI_ARM-INTONLY 35 165000 0 100 665 0 3YR TRUE 1103594089 NO RATIO SA1605EI_ARM-INTONLY 25 0 0 90 694 0 3YR TRUE 1103594090 NO RATIO SA2605EI_ARM-INTONLY 30 381246 0 95 673 0 3YR TRUE 1103594091 NO RATIO EA1605EI_ARM-INTONLY 30 430000 0 95 747 0 3YR TRUE 1103594092 NINA EA1605EI_ARM-INTONLY 30 201900 0 95 755 0 3YR TRUE 1103594094 NINA XA2605EI_ARM-INTONLY 30 187000 0 95 674 0 3YR TRUE 1103594095 NINA XA1605EI_ARM-INTONLY 0 340000 0 80 693 0 3YR TRUE 1103594096 NO RATIO BA1205EI_ARM-INTONLY 35 171900 0 100 773 0 3YR TRUE 1103594097 NINA SA2605EI_ARM-INTONLY 0 227000 45400 100 680 0 3YR TRUE 1103594098 NINA XA1605EI_ARM-INTONLY 30 163990 0 95 697 0 3YR TRUE 1103594099 NO RATIO EA1605EI_ARM-INTONLY 30 309000 0 95 747 0 3YR FALSE 1103594100 NINA BA2205EI_ARM-INTONLY 0 369000 0 80 632 0 3YR TRUE 1103594101 FULL/ALT PA0605EI_ARM-INTONLY 30 154000 0 95 710 20.024 3YR FALSE 1103594102 NO RATIO SA0605EI_ARM-INTONLY 0 522000 0 80 688 0 3YR TRUE 1103594103 NINA SA2605EI_ARM-INTONLY 0 0 0 80 670 0 NO-PREPAY MI 1103594105 FULL/ALT BA0105EI_ARM-INTONLY 35 156000 0 100 712 44.976 3YR TRUE 1103594106 FULL/ALT BA0205EI_ARM-INTONLY 35 176990 0 100 706 35.592 NO-PREPAY MI 1103594107 NO RATIO SA1603EI_ARM-INTONLY 25 147000 0 90 758 0 3YR FALSE 1103594108 NO RATIO EA1603EI_ARM-INTONLY 30 175000 0 95 773 0 3YR FALSE 1103594109 NO RATIO SA2605EI_ARM-INTONLY 25 0 0 89 671 0 3YR TRUE 1103594110 NINA SA1605EI_ARM-INTONLY 25 0 0 90 709 0 3YR TRUE 1103594111 NO RATIO SA0605EI_ARM-INTONLY 30 135000 0 95 703 0 3YR FALSE 1103594112 NINA SA0605EI_ARM-INTONLY 0 240000 0 80 707 0 3YR TRUE 1103594113 NO RATIO SA1605EI_ARM-INTONLY 0 230000 0 80 700 0 3YR FALSE 1103594114 NO RATIO SA2605EI_ARM-INTONLY 0 179900 0 80 677 0 3YR FALSE 1103594116 NINA EA1605EI_ARM-INTONLY 30 156000 0 95 776 0 3YR TRUE 1103594117 NO RATIO SA1605EI_ARM-INTONLY 12 0 0 84.1 741 0 3YR TRUE 1103594118 NO RATIO BA1105EI_ARM-INTONLY 25 280000 0 90 764 0 3YR FALSE 1103594119 NO RATIO SA2605EI_ARM-INTONLY 25 247200 0 90 674 0 3YR FALSE 1103594120 NO RATIO BA1105EI_ARM-INTONLY 35 339900 0 100 718 0 3YR TRUE 1103594121 NO RATIO BA2205EI_ARM-INTONLY 35 171900 0 100 670 0 3YR TRUE 1103594122 NO RATIO BA1205EI_ARM-INTONLY 35 86900 0 100 711 0 3YR TRUE 1103594123 NO RATIO SA2605EI_ARM-INTONLY 30 208000 0 95 648 0 3YR TRUE 1103594124 NO RATIO BA1205EI_ARM-INTONLY 30 310000 0 95 695 0 3YR FALSE 1103594125 NO RATIO SA2605EI_ARM-INTONLY 25 0 0 90 642 0 3YR TRUE 1103594126 NO RATIO SA0605EI_ARM-INTONLY 0 395000 0 80 690 0 3YR TRUE 1103594127 NO RATIO SA0603EI_ARM-INTONLY 0 0 0 75 770 0 3YR FALSE 1103594128 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 732 0 3YR TRUE 1103594129 NO RATIO EA1605EI_ARM-INTONLY 25 280000 0 90 764 0 3YR FALSE 1103594131 NO RATIO SA0605EI_ARM-INTONLY 30 149900 0 95 760 0 3YR FALSE 1103594133 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 73.78 749 0 3YR FALSE 1103594136 NINA SA1605EI_ARM-INTONLY 0 290000 58000 100 773 0 3YR FALSE 1103594137 NINA EA1605EI_ARM-INTONLY 30 125660 0 95 735 0 3YR TRUE 1103594138 NINA SA1605EI_ARM-INTONLY 30 179000 0 95 721 0 3YR FALSE 1103594139 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 80 644 0 3YR FALSE 1103594140 FULL/ALT PA0405EI_ARM-INTONLY 35 200000 0 100 738 49.67 3YR TRUE 1103594141 NINA XA1405EI_ARM-INTONLY 0 299000 0 90 725 0 3YR FALSE 1103594142 NO RATIO SA1605EI_ARM-INTONLY 0 272000 54400 100 691 0 3YR TRUE 1103594144 NO RATIO SA0603EI_ARM-INTONLY 0 435000 0 67.82 770 0 3YR TRUE 1103594145 NO RATIO SA1605EI_ARM-INTONLY 30 186900 0 95 699 0 3YR FALSE 1103594146 NINA XA1603EI_ARM-INTONLY 25 215000 0 90 762 0 3YR FALSE 1103594147 NO RATIO BA1205EI_ARM-INTONLY 35 184900 0 100 728 0 3YR TRUE 1103594148 FULL/ALT PA0603EI_ARM-INTONLY 30 97500 0 95 694 46.56 3YR FALSE 1103594151 NINA BA1105E_ARM 25 410000 0 90 744 0 3YR FALSE 1103594152 NO RATIO SA2603E_ARM 25 89000 0 90 648 0 3YR FALSE 1103594153 NO RATIO SA2603E_ARM 25 102000 0 90 635 0 NO-PREPAY MI 1103594154 NINA XA1603E_ARM 0 0 0 75.6 814 0 1YR FALSE 1103594155 NO RATIO EA1605E_ARM 30 54900 0 95 757 0 NO-PREPAY MI 1103594156 NINA SA1605E_ARM 30 342322 0 95 738 0 3YR TRUE 1103594157 NINA SA2605E_ARM 25 295000 0 90 672 0 3YR TRUE 1103594158 NO RATIO BA1105E_ARM 35 492000 0 100 682 0 3YR TRUE 1103594159 NO RATIO SA1605E_ARM 30 128900 0 95 733 0 3YR FALSE 1103594160 NO RATIO SA2603E_ARM 0 198490 0 80 650 0 3YR FALSE 1103594161 NINA SA1605E_ARM 0 0 0 80 714 0 3YR TRUE 1103594163 NO RATIO SA2605E_ARM 25 0 0 89.1 677 0 3YR TRUE 1103594164 NO RATIO SA1605E_ARM 0 158000 0 80 739 0 3YR FALSE 1103594165 NINA XA1405E_ARM 25 0 0 90 714 0 3YR FALSE 1103594166 NO RATIO SA1603E_ARM 0 305000 0 80 703 0 3YR FALSE 1103594167 NINA XA1603E_ARM 30 365000 0 95 707 0 3YR TRUE 1103594168 NO RATIO SA1605E_ARM 0 310000 46500 95 695 0 NO-PREPAY MI 1103594169 NO RATIO EA1605E_ARM 25 242900 0 90 691 0 3YR TRUE 1103594170 FULL/ALT PA0405E_ARM 25 79390 0 90 701 33.888 3YR FALSE 1103594171 NO RATIO EA1605E_ARM 30 181000 0 95 781 0 3YR FALSE 1103594172 NO RATIO SA2605E_ARM 25 194900 0 90 622 0 3YR FALSE 1103594173 FULL/ALT BA2203E_ARM 35 249900 0 100 638 43.97 2YR TRUE 1103594174 NO RATIO SA2605E_ARM 25 272699 0 89.99 656 0 3YR FALSE 1103594175 NO RATIO BA2105E_ARM 35 113400 0 100 660 0 3YR TRUE 1103594176 NO RATIO BA1205E_ARM 35 143500 0 100 692 0 3YR TRUE 1103594177 NO RATIO SA1605E_ARM 0 353000 52950 95 756 0 3YR TRUE 1103594178 NO RATIO SA2603E_ARM 0 0 0 77.38 651 0 NO-PREPAY MI 1103594179 NO RATIO SA2605E_ARM 0 199500 0 80 678 0 3YR FALSE 1103594180 NO RATIO BA1205E_ARM 30 149350 0 95 710 0 NO-PREPAY MI 1103594181 NINA SL0605E_ARM-BALLOON 22 277500 0 85 701 0 3YR TRUE 1103594182 NO RATIO SA2605E_ARM 25 241400 0 90 667 0 3YR FALSE 1103594183 NO RATIO SA1605E_ARM 0 0 0 61.52 746 0 3YR TRUE 1103594184 NINA SL0605E_ARM-BALLOON 25 175000 0 90 760 0 3YR TRUE 1103594185 NINA EL0605E_ARM-BALLOON 30 173000 0 95 774 0 3YR TRUE 1103594186 NO RATIO SA2605E_ARM 0 0 0 78.34 650 0 3YR TRUE 1103594187 NO RATIO EL0605E_ARM-BALLOON 30 173500 0 95 733 0 NO-PREPAY MI 1103594188 NO RATIO BL0105E_ARM-BALLOON 30 200000 0 95 733 0 NO-PREPAY MI 1103594189 NINA SL0605E_ARM-BALLOON 0 0 0 78.84 691 0 3YR TRUE 1103594190 NO RATIO SA1605E_ARM 30 100000 0 95 723 0 3YR FALSE 1103594191 NO RATIO BA1205E_ARM 30 116600 0 95 723 0 3YR FALSE 1103594192 NO RATIO SA1603E_ARM 25 90000 0 90 686 0 3YR FALSE 1103594193 NO RATIO BL0105E_ARM-BALLOON 35 168295 0 100 709 0 3YR TRUE 1103594194 NINA XL0405E_ARM-BALLOON 0 180000 36000 100 744 0 3YR TRUE 1103594195 NINA EL2605E_ARM-BALLOON 30 149800 0 95 679 0 3YR TRUE 1103594197 NO RATIO SL2605E_ARM-BALLOON 0 0 0 80 661 0 3YR TRUE 1103594198 NINA BL2205E_ARM-BALLOON 0 0 0 80 647 0 1YR TRUE 1103594199 NO RATIO EL0605E_ARM-BALLOON 30 105900 0 95 784 0 3YR FALSE 1103594200 NO RATIO SA1605E_ARM 30 185000 0 95 685 0 3YR FALSE 1103594201 NINA BA2203E_ARM 0 0 0 80 627 0 3YR TRUE 1103594202 NINA EA1605E_ARM 25 268000 0 89.29 758 0 3YR TRUE 1103594203 NO RATIO BA1105E_ARM 35 158700 0 100 729 0 3YR FALSE 1103594204 NO RATIO SA1605E_ARM 0 228000 0 80 753 0 3YR FALSE 1103594205 NO RATIO SA2605E_ARM 0 0 0 80 645 0 3YR FALSE 1103594206 NINA XL0603E_ARM-BALLOON 25 200000 0 90 724 0 3YR FALSE 1103594207 NINA SL2603E_ARM-BALLOON 30 182000 0 95 665 0 3YR TRUE 1103594208 FULL/ALT PA2405E_ARM 22 0 0 82.8 632 48.452 3YR TRUE 1103594209 NINA SL0603E_ARM-BALLOON 30 439552 0 94.87 688 0 3YR TRUE 1103594210 NINA SL0605E_ARM-BALLOON 0 200000 0 80 714 0 3YR FALSE 1103594211 NO RATIO SL2605E_ARM-BALLOON 0 512500 0 80 661 0 3YR TRUE 1103594228 REDUCED PA0605EI_ARM-INTONLY 0 620000 0 80 692 46.3 NO-PREPAY MI 1103594267 REDUCED PF2630I_FIX-INTONLY 0 0 40800 90 624 47 2YR FALSE 1103594268 REDUCED TB2630_BALLOON 0 0 0 90 624 47.59 NO-PREPAY MI 1103594272 REDUCED PA0605EI_ARM-INTONLY 0 305000 45750 85 711 34.86 1YR FALSE 1103594303 REDUCED TB1630_BALLOON 0 0 0 90 652 39.94 NO-PREPAY MI 1103594344 REDUCED AA1602EI_ARM-INTONLY 0 0 0 75 666 27.05 3YR TRUE 1103594369 REDUCED PA0605EI_ARM-INTONLY 0 175000 43750 95 800 49.3 NO-PREPAY MI 1103594371 REDUCED TB0630_BALLOON 0 175000 0 95 800 49.3 NO-PREPAY MI 1103594376 REDUCED PF0630_FIXEDRATE 0 199990 29999 95.01 743 46.22 2YR FALSE 1103594384 REDUCED TB0630_BALLOON 0 199990 0 95.01 743 43.01 2YR FALSE 1103594389 REDUCED PA0605EI_ARM-INTONLY 0 0 0 66.02 692 34.35 2YR FALSE 1103594396 REDUCED PA0605E_ARM 0 333000 66600 100 708 44.31 NO-PREPAY MI 1103594397 NINA SA0605E_ARM 0 0 0 18.78 704 0 NO-PREPAY MI 1103594398 REDUCED PA0605E_ARM 0 0 0 59.33 707 35.07 NO-PREPAY MI 1103594399 NO RATIO SA0605E_ARM 22 140000 0 85 761 0 3YR FALSE 1103594400 NO RATIO SA0605E_ARM 22 270000 0 85 761 0 3YR FALSE 1103594401 REDUCED PA0605E_ARM 0 97000 0 80 757 18.55 NO-PREPAY MI 1103594403 REDUCED PA0605EI_ARM-INTONLY 0 550000 110000 100 721 41.26 3YR FALSE 1103594404 REDUCED PA0605EI_ARM-INTONLY 0 750000 150000 100 797 42.91 NO-PREPAY MI 1103594405 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 79.22 629 43.87 3YR FALSE 1103594406 REDUCED PA1605EI_ARM-INTONLY 0 305000 45750 95 671 42.82 3YR TRUE 1103594407 REDUCED PA0605EI_ARM-INTONLY 0 278000 55600 100 736 43.41 NO-PREPAY MI 1103594408 REDUCED PA0605EI_ARM-INTONLY 0 441000 88200 100 737 43.4 NO-PREPAY MI 1103594409 REDUCED PA0605EI_ARM-INTONLY 0 335000 67000 100 729 40.26 3YR FALSE 1103594410 REDUCED PA0605EI_ARM-INTONLY 0 237000 47400 100 765 43 3YR FALSE 1103594411 REDUCED BA0205EI_ARM-INTONLY 0 274000 54800 100 713 43.34 NO-PREPAY MI 1103594412 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 755 40.66 NO-PREPAY MI 1103594413 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 755 42.39 NO-PREPAY MI 1103594414 NINA SA0605EI_ARM-INTONLY 30 291143 0 95 760 0 3YR FALSE 1103594416 REDUCED PA0605EI_ARM-INTONLY 0 399640 59946 95 716 44 NO-PREPAY MI 1103594418 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 724 42.29 3YR FALSE 1103594419 REDUCED PA0605EI_ARM-INTONLY 0 276990 55398 100 707 39.77 NO-PREPAY MI 1103594420 REDUCED PA0607EI_ARM-INTONLY 0 0 0 80 702 36.65 3YR FALSE 1103594421 REDUCED PA0607EI_ARM-INTONLY 0 500000 100000 100 722 32.23 NO-PREPAY MI 1103594422 REDUCED XA0610EI_ARM-INTONLY 0 1100000 55000 80 728 44.01 NO-PREPAY MI 1103594423 NO RATIO BA0210EI_ARM-INTONLY 0 0 0 69.06 731 0 3YR FALSE 1103594431 REDUCED PA1605EI_ARM-INTONLY 0 345000 69000 100 661 0 3YR FALSE 1103594442 REDUCED PA0605EI_ARM-INTONLY 0 0 102500 100 680 46.23 3YR FALSE 1103594443 REDUCED TB0630_BALLOON 0 0 0 100 680 46.23 3YR FALSE 1103594495 REDUCED PA0605EI_ARM-INTONLY 0 685000 171250 100 762 0 3YR FALSE 1103594548 REDUCED XA0610EI_ARM-INTONLY 0 293500 0 64.98 796 43.61 NO-PREPAY MI 1103594549 NO RATIO XA1610EI_ARM-INTONLY 0 0 0 80 648 0 NO-PREPAY MI 1103594550 NO RATIO BA1203EI_ARM-INTONLY 0 480000 94000 100 691 0 NO-PREPAY MI 1103594551 NO RATIO BA0203EI_ARM-INTONLY 0 540000 108000 100 719 0 NO-PREPAY MI 1103594552 NO RATIO SA0605E_ARM 0 175000 35000 95 742 0 NO-PREPAY MI 1103594553 NO RATIO BA0205E_ARM 0 330000 82500 100 712 0 NO-PREPAY MI 1103594554 FULL/ALT PA1605EI_ARM-INTONLY 0 348000 69600 100 660 49.48 3YR FALSE 1103594555 REDUCED PA1605EI_ARM-INTONLY 0 339000 67800 100 678 49.15 3YR FALSE 1103594556 NO RATIO SA0605EI_ARM-INTONLY 0 420000 84000 100 709 0 NO-PREPAY MI 1103594557 FULL/ALT PA1605EI_ARM-INTONLY 0 0 97800 99.26 663 49.15 NO-PREPAY MI 1103594558 NINA BA1205EI_ARM-INTONLY 0 0 0 65 652 0 NO-PREPAY MI 1103594559 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 62.02 764 45.47 NO-PREPAY MI 1103594560 NO RATIO SA0605EI_ARM-INTONLY 0 218405 21800 89.98 692 0 NO-PREPAY MI 1103594561 REDUCED BA1205EI_ARM-INTONLY 0 148000 29600 100 646 39.75 NO-PREPAY MI 1103594562 FULL/ALT PA0605EI_ARM-INTONLY 0 239700 23970 90 728 43.49 NO-PREPAY MI 1103594563 NO RATIO SA2605EI_ARM-INTONLY 0 427000 85400 100 627 0 NO-PREPAY MI 1103594564 NINA PA0605EI_ARM-INTONLY 0 455000 91000 100 696 0 NO-PREPAY MI 1103594565 NO RATIO BA2205EI_ARM-INTONLY 0 987000 197400 100 660 0 NO-PREPAY MI 1103594566 NINA PA0605EI_ARM-INTONLY 0 439000 87800 100 689 0 NO-PREPAY MI 1103594567 NO RATIO SA0605EI_ARM-INTONLY 0 255000 51000 100 714 55.18 NO-PREPAY MI 1103594568 NINA BA2205EI_ARM-INTONLY 0 0 0 80 631 0 NO-PREPAY MI 1103594569 REDUCED PA0605EI_ARM-INTONLY 0 342500 68500 100 685 42.44 NO-PREPAY MI 1103594570 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 70 627 0 NO-PREPAY MI 1103594571 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 677 52.9 NO-PREPAY MI 1103594573 REDUCED BA0205EI_ARM-INTONLY 0 183000 36600 100 740 44 NO-PREPAY MI 1103594574 REDUCED PA0605EI_ARM-INTONLY 0 335840 33584 90 732 43.85 NO-PREPAY MI 1103594575 NO RATIO SA0605EI_ARM-INTONLY 0 193000 38600 90 760 0 NO-PREPAY MI 1103594576 NINA XA0607EI_ARM-INTONLY 0 489000 97800 100 801 0 3YR FALSE 1103594577 NINA SA0607EI_ARM-INTONLY 0 0 0 64.82 689 0 NO-PREPAY MI 1103594581 NO RATIO SA2605EI_ARM-INTONLY 0 454000 136200 95 668 0 NO-PREPAY MI 1103594582 NO RATIO SA2605EI_ARM-INTONLY 0 650000 195000 95 624 0 1YR TRUE 1103594583 NO RATIO SA2605EI_ARM-INTONLY 0 390000 136500 100 674 0 NO-PREPAY MI 1103594584 REDUCED PA2605EI_ARM-INTONLY 0 345000 69000 100 639 42.1 NO-PREPAY MI 1103594585 NO RATIO SA2605EI_ARM-INTONLY 0 435000 152250 100 649 0 NO-PREPAY MI 1103594586 NO RATIO SA0605EI_ARM-INTONLY 0 566000 198100 100 699 0 1YR TRUE 1103594587 REDUCED PA0605EI_ARM-INTONLY 0 0 56000 100 696 41.23 3YR TRUE 1103594588 NO RATIO SA2603EI_ARM-INTONLY 0 0 128750 90 642 0 NO-PREPAY MI 1103594589 NO RATIO SA2605EI_ARM-INTONLY 0 400000 80000 100 672 0 NO-PREPAY MI 1103594590 REDUCED PA0605EI_ARM-INTONLY 0 0 118750 95 690 49.78 NO-PREPAY MI 1103594591 NO RATIO SL2605E_ARM-BALLOON 0 455000 91000 100 663 0 NO-PREPAY MI 1103594595 REDUCED PA0603E_ARM 0 432600 151410 100 701 43.26 NO-PREPAY MI 1103594596 REDUCED PA0605EI_ARM-INTONLY 0 442900 88580 100 758 43.5 NO-PREPAY MI 1103594598 REDUCED BA0203EI_ARM-INTONLY 0 95000 23750 100 740 33.52 3YR TRUE 1103594599 REDUCED PA2603EI_ARM-INTONLY 0 0 75920 76.1 638 41.61 NO-PREPAY MI 1103594601 FULL/ALT PA1605EI_ARM-INTONLY 0 750000 187500 90 641 53.95 NO-PREPAY MI 1103594605 REDUCED PL1603E_ARM-BALLOON 0 398900 79600 99.78 675 44.01 NO-PREPAY MI 1103594607 REDUCED PL0605E_ARM-BALLOON 0 199000 69650 100 684 45.47 NO-PREPAY MI 1103594608 NO RATIO SA2605EI_ARM-INTONLY 0 370000 74000 100 659 0 2YR TRUE 1103594609 NO RATIO SA0603EI_ARM-INTONLY 0 174975 34995 100 738 0 NO-PREPAY MI 1103594610 REDUCED PL0603E_ARM-BALLOON 0 475000 164500 100 712 44.39 NO-PREPAY MI 1103594612 REDUCED PA0605EI_ARM-INTONLY 0 0 111000 95 701 41.58 3YR TRUE 1103594613 REDUCED PL0603E_ARM-BALLOON 0 203000 40600 100 704 44.58 3YR TRUE 1103594614 REDUCED PL0605E_ARM-BALLOON 0 0 113750 90 743 41.72 NO-PREPAY MI 1103594615 NO RATIO SA0605EI_ARM-INTONLY 0 400000 100000 90 743 0 NO-PREPAY MI 1103594617 NINA SL0605E_ARM-BALLOON 0 212950 42590 100 699 0 3YR TRUE 1103594618 NINA SL2605E_ARM-BALLOON 0 0 0 80 634 0 NO-PREPAY MI 1103594619 REDUCED BA0205E_ARM 0 325000 113750 100 701 35.79 3YR TRUE 1103594620 REDUCED PA0605EI_ARM-INTONLY 0 0 265000 82.67 706 44.59 NO-PREPAY MI 1103594621 NO RATIO SA0605EI_ARM-INTONLY 0 529000 105800 100 705 0 3YR TRUE 1103594622 REDUCED PA1605E_ARM 0 0 198000 80 646 41.93 NO-PREPAY MI 1103594628 FULL/ALT PF0630_FIXEDRATE 0 108000 16200 95 685 40.01 2YR FALSE 1103594629 REDUCED PA1605E_ARM 0 227000 45400 100 677 46.272 NO-PREPAY MI 1103594630 NO RATIO SA1605E_ARM 0 299900 44950 94.99 776 0 2YR FALSE 1103594631 FULL/ALT PA1605E_ARM 0 435000 87000 100 654 37.26 NO-PREPAY MI 1103594632 FULL/ALT PA1605E_ARM 0 0 0 75 644 47.85 NO-PREPAY MI 1103594633 NO RATIO SA3605E_ARM 0 570000 57000 90 614 0 2YR FALSE 1103594634 REDUCED PA1605E_ARM 0 0 16500 87.36 657 31.32 NO-PREPAY MI 1103594635 FULL/ALT PA1605E_ARM 0 160000 32000 100 644 45 NO-PREPAY MI 1103594636 FULL/ALT PA1605E_ARM 0 129900 25950 99.97 660 37.12 2YR FALSE 1103594637 NO RATIO SA2605EI_ARM-INTONLY 0 275000 55000 100 657 0 2YR FALSE 1103594638 NO RATIO SA2605EI_ARM-INTONLY 0 135000 15000 90 626 0 2YR FALSE 1103594639 NO RATIO SA1605EI_ARM-INTONLY 0 150000 22500 95 721 0 2YR FALSE 1103594640 NO RATIO BA2205EI_ARM-INTONLY 0 462500 92500 100 642 0 NO-PREPAY MI 1103594641 REDUCED PA2605EI_ARM-INTONLY 0 80000 15000 90 627 39.652 NO-PREPAY MI 1103594642 REDUCED PA2605EI_ARM-INTONLY 0 350000 70000 100 620 49.85 2YR FALSE 1103594643 NO RATIO SA2605EI_ARM-INTONLY 0 330000 49500 95 679 0 NO-PREPAY MI 1103594644 NO RATIO SA2605EI_ARM-INTONLY 0 965000 186000 100 640 0 NO-PREPAY MI 1103594645 NO RATIO SA2605EI_ARM-INTONLY 0 0 92000 100 672 0 2YR FALSE 1103594646 NO RATIO SA1605EI_ARM-INTONLY 0 106000 15900 95 682 0 NO-PREPAY MI 1103594647 NO RATIO SA2605EI_ARM-INTONLY 0 126000 15000 90 636 0 NO-PREPAY MI 1103594648 NO RATIO SA2605EI_ARM-INTONLY 0 460000 69000 95 655 0 2YR FALSE 1103594649 NO RATIO BA2205EI_ARM-INTONLY 0 560000 112000 100 647 0 2YR FALSE 1103594650 NO RATIO SA2605EI_ARM-INTONLY 0 150000 15000 90 623 0 2YR FALSE 1103594651 FULL/ALT PA1605EI_ARM-INTONLY 0 157000 26000 96.89 679 40.02 NO-PREPAY MI 1103594652 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 80 645 0 NO-PREPAY MI 1103594653 REDUCED PA0605EI_ARM-INTONLY 0 169750 25462.5 95 693 49.54 NO-PREPAY MI 1103594654 NO RATIO SA1605EI_ARM-INTONLY 0 560000 84000 95 689 0 NO-PREPAY MI 1103594655 NO RATIO SA2605EI_ARM-INTONLY 0 0 15000 90 638 0 2YR FALSE 1103594656 NO RATIO SA1605EI_ARM-INTONLY 0 285000 57000 100 741 0 2YR FALSE 1103594657 REDUCED PA1605EI_ARM-INTONLY 0 225000 45000 100 662 40.22 NO-PREPAY MI 1103594658 NO RATIO SA2605EI_ARM-INTONLY 0 449000 44900 90 668 0 NO-PREPAY MI 1103594659 NO RATIO SA1605EI_ARM-INTONLY 0 499000 99800 100 690 0 NO-PREPAY MI 1103594660 NO RATIO SA2605EI_ARM-INTONLY 0 296000 59200 100 646 0 2YR FALSE 1103594661 NO RATIO SA2605EI_ARM-INTONLY 0 159900 31950 99.97 656 0 NO-PREPAY MI 1103594662 NO RATIO SA1605EI_ARM-INTONLY 0 435000 87000 100 729 0 2YR FALSE 1103594663 NO RATIO SA2605EI_ARM-INTONLY 0 280000 56000 100 641 0 NO-PREPAY MI 1103594664 NO RATIO SA1605EI_ARM-INTONLY 0 312700 46900 95 780 0 NO-PREPAY MI 1103594665 FULL/ALT BA3205EI_ARM-INTONLY 0 0 27200 100 605 50.06 NO-PREPAY MI 1103594666 NO RATIO SA2605EI_ARM-INTONLY 0 189500 37900 100 667 0 2YR FALSE 1103594667 REDUCED PA2605EI_ARM-INTONLY 0 0 78200 100 620 40.821 NO-PREPAY MI 1103594668 NO RATIO SA1605EI_ARM-INTONLY 0 359900 71950 99.99 707 0 2YR FALSE 1103594669 NO RATIO SA1605EI_ARM-INTONLY 0 0 19500 95 735 0 2YR FALSE 1103594670 NO RATIO SA2605EI_ARM-INTONLY 0 339900 67950 99.99 655 0 2YR FALSE 1103594671 NO RATIO SA2605EI_ARM-INTONLY 0 465000 93000 100 640 0 2YR FALSE 1103594672 NO RATIO SA1605EI_ARM-INTONLY 0 100000 15000 95 790 0 2YR FALSE 1103594673 NO RATIO SA2605EI_ARM-INTONLY 0 340000 68000 100 642 0 NO-PREPAY MI 1103594674 NO RATIO SA2605EI_ARM-INTONLY 0 0 13550 89.98 625 0 2YR FALSE 1103594675 NO RATIO SA1605EI_ARM-INTONLY 0 589900 117950 100 707 0 NO-PREPAY MI 1103594676 NO RATIO SA2605EI_ARM-INTONLY 0 167500 16750 90 655 0 2YR FALSE 1103594677 REDUCED PF1615_FIXEDRATE 0 0 0 63.18 656 49.82 NO-PREPAY MI 1103594678 NO RATIO SF3630_FIXEDRATE 0 0 35300 72.56 609 0 2YR TRUE 1103594679 REDUCED PF3630_FIXEDRATE 0 0 0 80 600 34.187 NO-PREPAY MI 1103594680 NO RATIO SF3630_FIXEDRATE 0 259900 38950 94.98 619 0 2YR FALSE 1103594681 REDUCED PB1640_BALLOON 0 324999 0 78.47 661 21.28 2YR FALSE 1103594707 REDUCED PA0605EI_ARM-INTONLY 0 559000 83850 90 789 0 1YR FALSE 1103594709 REDUCED TB1630_BALLOON 0 424910 0 81.99 663 39.88 1YR FALSE 1103594721 REDUCED TB1630_BALLOON 0 0 0 90 662 35.6 NO-PREPAY MI 1103594732 NINA SF0630I_FIX-INTONLY 25 358500 0 90 718 0 1YR FALSE 1103594762 REDUCED PF2630I_FIX-INTONLY 0 0 0 80 629 49 NO-PREPAY MI 1103594769 REDUCED TB2630_BALLOON 0 0 0 100 629 49 NO-PREPAY MI 1103594774 REDUCED PA0605EI_ARM-INTONLY 0 189000 37800 90 731 31.67 NO-PREPAY MI 1103594796 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 69.8 641 30.76 3YR TRUE 1103594802 REDUCED TB1630_BALLOON 0 700000 0 90 659 35.84 1YR FALSE 1103594811 REDUCED PA1607EI_ARM-INTONLY 0 210000 42000 100 675 0 1YR FALSE 1103594834 REDUCED TB1630_BALLOON 0 0 0 90 648 37.93 2YR FALSE 1103594852 REDUCED PA0605E_ARM 0 150000 20000 90 718 0 3YR TRUE 1103594853 NINA SF0630_FIXEDRATE 0 580000 0 65 694 0 NO-PREPAY MI 1103594870 REDUCED PA0605E_ARM 0 239000 47800 100 766 33.74 NO-PREPAY MI 1103594871 REDUCED TB0630_BALLOON 0 239000 0 100 766 33.74 NO-PREPAY MI 1103594887 NINA SF2630_FIXEDRATE 30 189810 0 95 672 0 NO-PREPAY MI 1103594932 NINA SA1605E_ARM 0 0 0 50.35 664 0 NO-PREPAY MI 1103594973 FULL/ALT PA0605EI_ARM-INTONLY 0 240000 48000 90 781 31.57 NO-PREPAY MI 1103595007 REDUCED PA1605EI_ARM-INTONLY 0 395000 79000 100 654 44.72 3YR FALSE 1103595008 REDUCED TB1630_BALLOON 0 395000 0 100 654 44.72 3YR FALSE 1103595009 REDUCED TB1630_BALLOON 0 499990 0 94.99 670 46.26 NO-PREPAY MI 1103595055 REDUCED PA0605EI_ARM-INTONLY 0 355000 71000 95 727 48.85 NO-PREPAY MI 1103595072 REDUCED PA0605EI_ARM-INTONLY 0 450000 90000 100 752 43.13 3YR FALSE 1103595073 REDUCED TB0630_BALLOON 0 450000 0 100 752 43.13 3YR FALSE 1103595074 NO RATIO SA2605EI_ARM-INTONLY 0 400365 0 79.99 646 1 1YR FALSE 1103595087 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 641 37.31 3YR TRUE 1103595102 REDUCED TB0630_BALLOON 0 186990 0 95 753 46 NO-PREPAY MI 1103595174 REDUCED PA0605EI_ARM-INTONLY 0 245000 49000 100 716 0 1YR FALSE 1103595211 REDUCED PA1605EI_ARM-INTONLY 0 499990 74950 94.99 670 45.59 3YR TRUE 1103595229 REDUCED PA1605E_ARM 0 94800 20000 95 676 36.4 3YR FALSE 1103595251 REDUCED PF0630I_FIX-INTONLY 0 0 0 66.11 750 43.16 3YR FALSE 1103595257 NINA EA2605EI_ARM-INTONLY 0 421494 0 89.99 643 56.27 6MO FALSE 1103595267 SISA PF0630_FIXEDRATE 0 545000 65000 85.33 689 45.09 NO-PREPAY MI 1103595272 REDUCED PA0603EI_ARM-INTONLY 0 613385 153350 100 710 26.24 NO-PREPAY MI 1103595280 REDUCED PA1605EI_ARM-INTONLY 0 389000 97200 94.99 645 44.47 NO-PREPAY MI 1103595287 REDUCED TF1630I_FIX-INTONLY 0 389000 0 94.99 645 44.47 NO-PREPAY MI 1103595306 REDUCED PA0605EI_ARM-INTONLY 0 0 35250 95 680 40.41 2YR FALSE 1103595336 REDUCED TB1630_BALLOON 0 0 0 90 655 37.18 NO-PREPAY MI 1103595344 REDUCED PA0605EI_ARM-INTONLY 0 455000 113750 95 774 46.14 NO-PREPAY MI 1103595346 REDUCED TB0630_BALLOON 0 455000 0 95 774 46.14 NO-PREPAY MI 1103595374 FULL/ALT PA1605EI_ARM-INTONLY 0 211990 21200 89.96 650 48.71 1YR TRUE 1103595375 FULL/ALT TF1630_FIXEDRATE 0 211990 0 89.96 650 48.71 1YR TRUE 1103595413 REDUCED PF1630_FIXEDRATE 0 995000 248750 100 650 39.4 1YR FALSE 1103595414 REDUCED TB1630_BALLOON 0 995000 0 100 650 39.4 1YR FALSE 1103595440 REDUCED PA0605EI_ARM-INTONLY 0 3300000 0 60 776 33.96 NO-PREPAY MI 1103595503 REDUCED PF2630_FIXEDRATE 0 0 0 80 636 43.42 NO-PREPAY MI 1103595520 NINA SF2630I_FIX-INTONLY 0 0 0 35.85 661 0 3YR FALSE 1103595524 NINA SF1630_FIXEDRATE 25 120000 0 90 732 1 2YR FALSE 1103595528 REDUCED TB1630_BALLOON 0 0 0 90 679 34.48 2YR FALSE 1103595531 REDUCED PA1605EI_ARM-INTONLY 0 149890 37472 95 660 48.81 1YR FALSE 1103595534 REDUCED PA0605EI_ARM-INTONLY 0 360000 72000 100 718 48.88 3YR FALSE 1103595538 REDUCED TB0630_BALLOON 0 360000 0 100 718 48.88 3YR FALSE 1103595562 REDUCED TB1630_BALLOON 0 0 0 80 678 40.5 3YR FALSE 1103595572 REDUCED PA0605EI_ARM-INTONLY 0 860000 172000 100 708 40 6MO FALSE 1103595575 NO RATIO SA0605EI_ARM-INTONLY 0 609000 121800 95 695 0 1YR FALSE 1103595589 REDUCED PF0630I_FIX-INTONLY 0 191371 38274 95 680 38.58 2YR FALSE 1103595592 REDUCED PA0605EI_ARM-INTONLY 0 317000 63400 100 683 38.92 3YR FALSE 1103595593 REDUCED TB0630_BALLOON 0 317000 0 100 683 38.92 3YR FALSE 1103595600 REDUCED PL0605E_ARM-BALLOON 0 485000 0 80 715 45 2YR TRUE 1103595607 REDUCED PA0607EI_ARM-INTONLY 0 372100 74400 99.99 730 33.48 NO-PREPAY MI 1103595610 REDUCED PA0605EI_ARM-INTONLY 0 209990 52497 95 761 41.73 3YR FALSE 1103595613 REDUCED TB0630_BALLOON 0 372100 0 99.99 730 33.48 NO-PREPAY MI 1103595628 NO RATIO SF1615_FIXEDRATE 0 0 0 80 779 1 1YR FALSE 1103595640 REDUCED PA0605EI_ARM-INTONLY 0 279990 69997 100 751 47.13 2YR FALSE 1103595665 REDUCED TB0630_BALLOON 0 209990 0 95 761 41.73 1YR FALSE 1103595707 REDUCED PA1605EI_ARM-INTONLY 0 169000 0 80 648 48.87 3YR FALSE 1103595708 REDUCED PA1605EI_ARM-INTONLY 0 320000 80000 95 658 40.74 NO-PREPAY MI 1103595709 REDUCED TB1630_BALLOON 0 320000 0 95 658 40.74 NO-PREPAY MI 1103595718 REDUCED PA1605EI_ARM-INTONLY 0 1215000 399500 94.61 661 36.46 NO-PREPAY MI 1103595757 REDUCED PF1630I_FIX-INTONLY 0 215000 43000 100 675 41.58 3YR FALSE 1103595758 REDUCED TB1630_BALLOON 0 215000 0 100 675 41.58 3YR FALSE 1103595759 REDUCED PA1605EI_ARM-INTONLY 0 307500 61500 100 680 49.07 3YR FALSE 1103595761 REDUCED PA2605EI_ARM-INTONLY 0 0 120000 89.84 632 45.4 3YR FALSE 1103595762 REDUCED TB2630_BALLOON 0 0 0 89.84 632 45.4 3YR FALSE 1103595855 REDUCED PA0605EI_ARM-INTONLY 0 310500 62100 95 738 42.38 NO-PREPAY MI 1103595856 REDUCED TF0630I_FIX-INTONLY 0 310500 0 95 738 42.38 NO-PREPAY MI 1103595878 REDUCED PA0605EI_ARM-INTONLY 0 459000 114750 95 723 41.24 NO-PREPAY MI 1103595879 REDUCED TB0630_BALLOON 0 459000 0 95 723 41.24 NO-PREPAY MI 1103595887 REDUCED PA0605EI_ARM-INTONLY 0 480000 96000 90 755 37.02 3YR FALSE 1103595912 REDUCED PA1607E_ARM 0 0 0 79.91 640 42.07 3YR FALSE 1103595931 REDUCED PA0607EI_ARM-INTONLY 0 440000 0 68.19 724 44.74 3YR FALSE 1103595932 REDUCED PA1603EI_ARM-INTONLY 0 0 46500 100 666 42.04 1YR FALSE 1103595940 REDUCED PA0603E_ARM 0 455032 91007 100 692 40.82 NO-PREPAY MI 1103595941 REDUCED TF0630_FIXEDRATE 0 455032 0 100 692 40.82 NO-PREPAY MI 1103595945 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 702 26.53 NO-PREPAY MI 1103595948 NINA SF0630I_FIX-INTONLY 25 144900 0 90 683 36.88 2YR TRUE 1103595956 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 778 0 3YR FALSE 1103595967 REDUCED PA1605E_ARM 0 185990 27878 94.99 646 36 1YR FALSE 1103595968 REDUCED TB1630_BALLOON 0 185990 0 95 646 36 1YR FALSE 1103595986 REDUCED TB0630I_BALLOON-INTONLY 0 413900 0 90 730 39.27 3YR FALSE 1103595996 REDUCED TB0630_BALLOON 0 184900 0 95 791 42 1YR FALSE 1103596007 REDUCED PA0603EI_ARM-INTONLY 0 455000 68250 90 688 42.34 1YR FALSE 1103596008 REDUCED TF0615I_FIX-INTONLY 0 455000 0 90 688 42.34 2YR FALSE 1103596068 NINA SF0630_FIXEDRATE 25 193452 0 90 735 35 NO-PREPAY MI 1103596075 REDUCED PA0605EI_ARM-INTONLY 0 255000 63750 100 705 45.93 3YR FALSE 1103596079 REDUCED TB0630_BALLOON 0 255000 0 100 705 45.93 3YR FALSE 1103596093 REDUCED PA0605EI_ARM-INTONLY 0 246500 61600 94.99 688 31.46 1YR FALSE 1103596094 REDUCED TB0630_BALLOON 0 246500 0 94.99 688 31.46 1YR FALSE 1103596104 SISA PA0605EI_ARM-INTONLY 0 570000 113900 89.99 751 28.06 NO-PREPAY MI 1103596109 REDUCED PA0605EI_ARM-INTONLY 0 0 52000 95 695 40.44 NO-PREPAY MI 1103596115 REDUCED TB0630_BALLOON 0 0 0 95 695 40.44 NO-PREPAY MI 1103596119 REDUCED PA0605EI_ARM-INTONLY 0 0 0 58 697 54 1YR TRUE 1103596123 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 680 25.96 3YR FALSE 1103596125 REDUCED TB0630_BALLOON 0 480000 0 90 755 37.02 3YR FALSE 1103596137 REDUCED PF0630I_FIX-INTONLY 0 0 0 58.49 747 31 1YR FALSE 1103596157 SISA PA0603EI_ARM-INTONLY 0 260000 78000 100 731 17.89 3YR TRUE 1103596158 REDUCED PL3605E_ARM-BALLOON 0 0 0 63.3 646 31.28 3YR FALSE 1103596179 REDUCED PA0605EI_ARM-INTONLY 0 520664 104150 100 751 38.72 1YR FALSE 1103596180 REDUCED TB0630_BALLOON 0 520664 0 100 751 38.72 1YR FALSE 1103596197 REDUCED TB2630_BALLOON 0 240000 0 100 623 41.59 3YR FALSE 1103596198 NINA SF0630I_FIX-INTONLY 0 0 0 68.7 682 0 1YR FALSE 1103596205 REDUCED PA0605EI_ARM-INTONLY 0 1009880 209386 95 700 48.19 1YR FALSE 1103596213 REDUCED PA3605E_ARM 0 190065 0 80 611 40 2YR FALSE 1103596215 REDUCED PA0605EI_ARM-INTONLY 0 0 0 55.65 778 27.73 1YR FALSE 1103596218 REDUCED TB0630_BALLOON 0 1009880 0 95 700 48.19 NO-PREPAY MI 1103596227 NINA SA1605EI_ARM-INTONLY 30 430000 0 95 785 1 1YR FALSE 1103596243 REDUCED TB1730_BALLOON 0 0 0 79.96 771 36.42 NO-PREPAY MI 1103596275 REDUCED TB0630_BALLOON 0 612000 0 90 688 36.98 1YR FALSE 1103596276 NINA EA2630EI_ARM-INTONLY 0 0 0 90 645 40.2 NO-PREPAY MI 1103596286 NINA SF0630_FIXEDRATE 0 0 0 74.85 726 0 NO-PREPAY MI 1103596288 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 711 35.78 NO-PREPAY MI 1103596294 NO RATIO SL1605E_ARM-BALLOON 0 0 34300 90 664 0 1YR TRUE 1103596295 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 75.97 698 0 3YR FALSE 1103596296 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 69.02 727 0 3YR FALSE 1103596297 NINA SA0605EI_ARM-INTONLY 0 0 0 77.22 765 0 3YR TRUE 1103596298 NO RATIO EA1605EI_ARM-INTONLY 22 0 0 84.85 662 0 3YR FALSE 1103596299 NO RATIO SA0605EI_ARM-INTONLY 25 0 0 90 710 0 3YR TRUE 1103596300 NINA XA0605EI_ARM-INTONLY 0 0 0 80 722 0 3YR FALSE 1103596301 NINA XA0605EI_ARM-INTONLY 0 0 0 80 749 0 3YR FALSE 1103596302 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 67.52 705 0 3YR FALSE 1103596303 NINA XA0603EI_ARM-INTONLY 0 0 0 76.32 716 0 3YR TRUE 1103596304 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 80 670 0 3YR TRUE 1103596305 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 77.35 635 0 3YR TRUE 1103596306 NO RATIO SA0603EI_ARM-INTONLY 0 0 0 80 795 0 3YR TRUE 1103596307 NO RATIO SA1605EI_ARM-INTONLY 0 275536 41330 95 674 0 1YR TRUE 1103596308 NO RATIO SA0603EI_ARM-INTONLY 0 0 0 80 710 0 3YR FALSE 1103596309 NO RATIO SA0605EI_ARM-INTONLY 12 0 0 83.1 759 0 3YR TRUE 1103596310 NINA XA0405EI_ARM-INTONLY 22 0 0 81.21 763 0 3YR TRUE 1103596312 NO RATIO BA1105EI_ARM-INTONLY 25 640000 0 90 674 0 3YR TRUE 1103596313 NINA SA0605EI_ARM-INTONLY 0 0 0 62.8 748 0 3YR TRUE 1103596315 NO RATIO SA0605EI_ARM-INTONLY 0 119900 11990 90 757 0 3YR FALSE 1103596316 FULL/ALT BA2205EI_ARM-INTONLY 30 212990 0 95 637 47.18 3YR FALSE 1103596317 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 74.58 682 0 3YR TRUE 1103596318 NO RATIO SA0605EI_ARM-INTONLY 0 142241 21337 95 698 0 3YR TRUE 1103596319 FULL/ALT BA0207EI_ARM-INTONLY 0 168008.45 33601.69 100 747 44.21 3YR FALSE 1103596320 FULL/ALT PA0605EI_ARM-INTONLY 25 166860 0 90 709 43.01 3YR FALSE 1103596321 FULL/ALT PA0605EI_ARM-INTONLY 25 222480 0 90 709 40.56 3YR FALSE 1103596323 NO RATIO BA0205EI_ARM-INTONLY 30 111240 0 95 715 0 3YR FALSE 1103596324 NO RATIO SA0605EI_ARM-INTONLY 0 217490 32623.5 95 708 0 3YR FALSE 1103596326 FULL/ALT PA0605EI_ARM-INTONLY 0 216000 43200 100 736 40.58 3YR TRUE 1103596327 NO RATIO EA0605EI_ARM-INTONLY 25 156990 0 90 705 0 3YR FALSE 1103596328 NO RATIO BA0105EI_ARM-INTONLY 30 201000 0 95 763 0 3YR FALSE 1103596330 NO RATIO SA0605EI_ARM-INTONLY 0 619900 123980 100 710 0 3YR TRUE 1103596331 NO RATIO SA1605EI_ARM-INTONLY 0 295500 0 80 640 0 3YR TRUE 1103596332 NO RATIO SA1603EI_ARM-INTONLY 30 268000 0 95 644 0 1YR TRUE 1103596333 NO RATIO SA0605EI_ARM-INTONLY 0 198500 0 59.7 758 0 1YR FALSE 1103596334 NO RATIO SA0605EI_ARM-INTONLY 0 255139 0 80 719 0 3YR TRUE 1103596335 NO RATIO SA2603EI_ARM-INTONLY 0 0 0 80 625 0 1YR FALSE 1103596336 NINA BA1205EI_ARM-INTONLY 0 0 0 74.56 640 0 3YR FALSE 1103596337 NO RATIO SA0603EI_ARM-INTONLY 0 214175 42825 99.99 682 0 1YR TRUE 1103596338 NO RATIO SA0603EI_ARM-INTONLY 0 230690 23069 90 747 0 1YR TRUE 1103596339 NO RATIO SA0605EI_ARM-INTONLY 0 226472 22647.2 90.01 704 0 3YR TRUE 1103596340 NINA XA0605EI_ARM-INTONLY 0 226404 0 80 695 0 3YR FALSE 1103596341 NO RATIO SA0607EI_ARM-INTONLY 0 252522 50504 100 699 0 3YR TRUE 1103596342 NINA SA0605EI_ARM-INTONLY 0 0 0 80 699 0 3YR FALSE 1103596343 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 76.93 678 0 3YR TRUE 1103596345 NO RATIO BA0105EI_ARM-INTONLY 35 290000 0 100 720 0 1YR FALSE 1103596346 NO RATIO SA1605EI_ARM-INTONLY 25 0 0 90 677 0 3YR TRUE 1103596349 FULL/ALT PA2605EI_ARM-INTONLY 0 338000 67600 100 636 49.99 3YR TRUE 1103596350 NO RATIO EA0605EI_ARM-INTONLY 22 0 0 85 690 0 1YR TRUE 1103596352 NO RATIO SA0605EI_ARM-INTONLY 0 448000 89600 100 784 0 3YR TRUE 1103596353 NINA EA0605EI_ARM-INTONLY 30 178500 0 95 741 0 3YR TRUE 1103596354 NINA SA0605EI_ARM-INTONLY 30 239500 0 95 710 0 1YR TRUE 1103596355 NO RATIO SA1605EI_ARM-INTONLY 0 350000 52500 95 676 0 1YR TRUE 1103596356 NO RATIO SA0605EI_ARM-INTONLY 0 257000 51400 100 692 0 1YR TRUE 1103596357 NO RATIO SA0605EI_ARM-INTONLY 0 390000 78000 100 691 0 1YR TRUE 1103596359 NO RATIO SA0605EI_ARM-INTONLY 0 495000 99000 100 708 0 NO-PREPAY MI 1103596360 NO RATIO SA0605EI_ARM-INTONLY 0 420000 84000 100 705 0 3YR TRUE 1103596361 NO RATIO BA0105EI_ARM-INTONLY 35 244000 0 100 740 0 3YR TRUE 1103596362 NO RATIO BA0105EI_ARM-INTONLY 35 274900 0 100 729 0 1YR TRUE 1103596363 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 80 708 0 3YR TRUE 1103596364 NO RATIO SA0603EI_ARM-INTONLY 0 270000 54000 100 701 0 1YR TRUE 1103596365 FULL/ALT PA2603EI_ARM-INTONLY 0 0 48000 100 635 44.99 NO-PREPAY MI 1103596366 FULL/ALT PA0605EI_ARM-INTONLY 0 0 31300 89.43 773 45.28 1YR FALSE 1103596367 FULL/ALT PA2603EI_ARM-INTONLY 0 0 0 66.42 633 48.4 3YR TRUE 1103596369 NO RATIO SA1605EI_ARM-INTONLY 0 360000 72000 100 680 0 1YR TRUE 1103596370 NO RATIO BA0105EI_ARM-INTONLY 35 340000 0 100 716 0 3YR TRUE 1103596371 NO RATIO SA0605EI_ARM-INTONLY 0 615000 61500 90 726 0 1YR FALSE 1103596372 NO RATIO SA0605EI_ARM-INTONLY 0 499000 0 80 721 0 1YR TRUE 1103596373 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 73.47 706 0 3YR TRUE 1103596374 NO RATIO EA0605EI_ARM-INTONLY 25 183000 0 90 702 0 3YR FALSE 1103596375 FULL/ALT PA0605EI_ARM-INTONLY 0 0 156000 100 683 42.01 3YR TRUE 1103596376 NO RATIO SA0605EI_ARM-INTONLY 0 555000 0 63.97 731 0 1YR TRUE 1103596377 NO RATIO BA0105EI_ARM-INTONLY 35 142000 0 100 706 0 3YR TRUE 1103596378 NO RATIO SA0603EI_ARM-INTONLY 0 0 84800 100 688 0 1YR TRUE 1103596379 NO RATIO SA0605EI_ARM-INTONLY 0 346000 69200 100 720 0 1YR TRUE 1103596380 NO RATIO SA0605EI_ARM-INTONLY 0 325000 65000 100 722 0 3YR TRUE 1103596381 NO RATIO SA2607EI_ARM-INTONLY 0 0 0 80 631 0 1YR TRUE 1103596382 NO RATIO SA0605EI_ARM-INTONLY 25 412500 0 90 700 0 3YR FALSE 1103596383 NO RATIO SA0605EI_ARM-INTONLY 0 229950 45990 100 701 0 3YR TRUE 1103596384 NINA SA0605EI_ARM-INTONLY 0 0 0 79.52 699 0 NO-PREPAY MI 1103596385 NO RATIO SA0605EI_ARM-INTONLY 0 0 81000 95 692 0 3YR TRUE 1103596386 NO RATIO SA0605EI_ARM-INTONLY 0 501000 100200 100 743 0 1YR TRUE 1103596387 NO RATIO EA1605EI_ARM-INTONLY 25 98000 0 90 674 0 1YR FALSE 1103596388 NO RATIO EA1605EI_ARM-INTONLY 25 98000 0 90 674 0 1YR FALSE 1103596389 NO RATIO BA1105EI_ARM-INTONLY 25 98000 0 90 674 0 1YR FALSE 1103596390 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 70.24 686 0 1YR TRUE 1103596391 NO RATIO SA0605EI_ARM-INTONLY 0 295000 59000 100 726 0 3YR TRUE 1103596392 FULL/ALT PA0605EI_ARM-INTONLY 0 189000 37800 100 733 48.82 3YR TRUE 1103596393 NO RATIO BA1105EI_ARM-INTONLY 35 180000 0 100 679 0 3YR TRUE 1103596395 REDUCED XA0605D_ARM 12 0 0 83.16 706 32.26 NO-PREPAY MI 1103596396 NO RATIO SL0605E_ARM-BALLOON 0 279000 55800 100 688 0 3YR TRUE 1103596397 NO RATIO SL0605E_ARM-BALLOON 0 0 0 74.67 730 0 3YR TRUE 1103596398 NINA EL0605E_ARM-BALLOON 30 115000 0 95 729 0 NO-PREPAY MI 1103596399 NO RATIO SL2605E_ARM-BALLOON 12 0 0 85 622 0 3YR TRUE 1103596400 NO RATIO SL1605E_ARM-BALLOON 0 0 0 53.28 640 0 3YR TRUE 1103596401 NO RATIO SL2605E_ARM-BALLOON 0 0 0 80 631 0 3YR FALSE 1103596402 NO RATIO SL0605E_ARM-BALLOON 0 154000 23100 95 696 0 1YR TRUE 1103596403 NO RATIO SL1605E_ARM-BALLOON 0 299000 29900 88.3 655 0 3YR TRUE 1103596404 NO RATIO EL0605E_ARM-BALLOON 30 375000 0 95 682 0 3YR TRUE 1103596405 NO RATIO SL0605E_ARM-BALLOON 0 142241 0 80 693 0 3YR FALSE 1103596406 NINA SL1605E_ARM-BALLOON 30 161500 0 95 674 0 3YR TRUE 1103596407 FULL/ALT PL0605E_ARM-BALLOON 0 108599 21720 100 745 33.46 3YR TRUE 1103596408 FULL/ALT PL2605E_ARM-BALLOON 0 219900 43980 100 629 42.89 3YR TRUE 1103596409 NO RATIO SL2605E_ARM-BALLOON 0 0 30100 90 631 0 3YR TRUE 1103596410 NO RATIO EL1605E_ARM-BALLOON 25 129000 0 90 643 0 1YR FALSE 1103596412 NO RATIO SL0605E_ARM-BALLOON 0 399900 79980 100 721 0 1YR TRUE 1103596413 NO RATIO SL2605E_ARM-BALLOON 0 0 0 49.06 622 0 1YR TRUE 1103596414 NO RATIO SL1605E_ARM-BALLOON 0 0 0 72.73 655 0 3YR TRUE 1103596415 NO RATIO SL0605E_ARM-BALLOON 0 0 0 76.62 737 0 3YR TRUE 1103596416 NO RATIO SL0605E_ARM-BALLOON 0 395000 79000 100 736 0 1YR TRUE 1103596417 NO RATIO SL0605E_ARM-BALLOON 0 550000 137500 100 779 0 1YR TRUE 1103596418 NO RATIO SL0603E_ARM-BALLOON 0 370000 0 80 817 0 NO-PREPAY MI 1103596419 NO RATIO SL0605E_ARM-BALLOON 0 364900 72980 100 683 0 3YR TRUE 1103596420 NO RATIO EL0605E_ARM-BALLOON 25 0 0 90 702 0 3YR TRUE 1103596421 NO RATIO SL0605E_ARM-BALLOON 0 303676 60736 100 757 0 NO-PREPAY MI 1103596422 NO RATIO SL1605E_ARM-BALLOON 0 260000 26000 90 666 0 3YR TRUE 1103596423 NO RATIO SL3605E_ARM-BALLOON 0 462462 0 62.6 616 0 NO-PREPAY MI 1103596424 REDUCED XA0605D_ARM 0 0 0 80 708 36.12 NO-PREPAY MI 1103596425 REDUCED XA0605D_ARM 0 0 0 58.94 708 49.18 NO-PREPAY MI 1103596426 REDUCED XA0605D_ARM 0 0 0 80 758 30.62 NO-PREPAY MI 1103596427 REDUCED XA0605D_ARM 0 0 0 69.17 765 29.95 NO-PREPAY MI 1103596428 REDUCED XA0605D_ARM 0 0 0 68.46 752 48.22 NO-PREPAY MI 1103596430 NO RATIO EA0605E_ARM 25 212000 0 90 712 0 3YR TRUE 1103596431 FULL/ALT PA0605E_ARM 0 239990 0 80 790 15.34 3YR FALSE 1103596432 FULL/ALT PA0605E_ARM 0 139900 27980 100 757 35.43 3YR TRUE 1103596433 FULL/ALT PA0605E_ARM 0 114900 0 80 798 47.64 3YR TRUE 1103596434 FULL/ALT PA0605E_ARM 0 199990 0 80 694 27.07 3YR FALSE 1103596435 NO RATIO BA0105E_ARM 35 164990 0 100 770 0 1YR TRUE 1103596436 NO RATIO SA0605E_ARM 0 0 0 78.55 737 0 3YR TRUE 1103596437 NINA SA0605E_ARM 30 91500 0 95 760 0 1YR TRUE 1103596438 NO RATIO SA1605E_ARM 0 240000 36000 95 653 0 3YR TRUE 1103596440 NO RATIO SA0605E_ARM 0 225000 45000 100 710 0 3YR TRUE 1103596441 NINA EA0605E_ARM 25 105000 0 90 801 0 NO-PREPAY MI 1103596442 NINA SA0607E_ARM 0 0 0 40.72 701 0 1YR TRUE 1103596456 NINA BL2203E_ARM-BALLOON 0 263085 0 80 638 0 NO-PREPAY MI 1103596457 NO RATIO BL1205E_ARM-BALLOON 35 365000 0 100 694 0 1YR TRUE 1103596458 NINA BL1203E_ARM-BALLOON 0 0 0 79.85 646 0 5YR TRUE 1103596460 NO RATIO BL0105E_ARM-BALLOON 35 316940 0 99.99 705 0 NO-PREPAY MI 1103596462 NO RATIO BL0205E_ARM-BALLOON 30 275000 0 95 748 0 3YR FALSE 1103596463 NO RATIO BL0205E_ARM-BALLOON 30 275000 0 95 748 0 3YR FALSE 1103596468 FULL/ALT PA0605EI_ARM-INTONLY 0 278000 27800 90 782 38.27 3YR FALSE 1103596469 FULL/ALT PA0605EI_ARM-INTONLY 0 481000 48100 90 745 37.53 NO-PREPAY MI 1103596472 FULL/ALT PA0605EI_ARM-INTONLY 0 311000 31100 90 782 41.76 3YR FALSE 1103596474 SISA PA0603EI_ARM-INTONLY 0 0 0 39.91 697 25.72 1YR FALSE 1103596475 REDUCED PA1605EI_ARM-INTONLY 0 0 0 68.97 674 42.13 3YR FALSE 1103596477 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 710 43.13 1YR FALSE 1103596479 REDUCED PA1605EI_ARM-INTONLY 0 0 98200 95 671 43.23 1YR FALSE 1103596482 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 70 625 48.73 1YR FALSE 1103596486 NO RATIO XA2605D_ARM 0 0 0 68.64 630 0 3YR FALSE 1103596487 FULL/ALT XA0605D_ARM 0 355000 0 80 804 33.58 NO-PREPAY MI 1103596488 SISA XA0605D_ARM 0 0 0 80 745 38.61 NO-PREPAY MI 1103596489 SISA XA1605D_ARM 0 0 6099 38.33 640 27.28 3YR FALSE 1103596490 NINA XA1605D_ARM 0 209900 0 57.17 640 0 3YR FALSE 1103596491 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 68.04 712 42.58 NO-PREPAY MI 1103596492 REDUCED XA1605DI_ARM-INTONLY 0 295000 29500 90 669 44.57 6MO FALSE 1103596493 REDUCED PA0605DI_ARM-INTONLY 0 220000 44000 100 703 44.68 NO-PREPAY MI 1103596494 REDUCED XA1605DI_ARM-INTONLY 0 165900 20870 84.13 664 27.11 3YR FALSE 1103596495 REDUCED XA1605DI_ARM-INTONLY 0 0 0 41.33 666 44.78 3YR FALSE 1103596496 REDUCED XA1605DI_ARM-INTONLY 0 489900 73485 95 655 43.63 1YR FALSE 1103596497 NO RATIO XA1605DI_ARM-INTONLY 0 0 66000 90 665 0 3YR FALSE 1103596498 REDUCED PA0605DI_ARM-INTONLY 0 198500 20009 90.01 684 44.59 3YR FALSE 1103596499 NINA XA0605DI_ARM-INTONLY 0 160000 0 80 808 0 1YR FALSE 1103596500 REDUCED PA0605DI_ARM-INTONLY 0 877500 139786 90.01 715 37.06 NO-PREPAY MI 1103596502 SISA XA1605DI_ARM-INTONLY 0 0 25700 90 659 40.2 6MO FALSE 1103596504 REDUCED PA0605DI_ARM-INTONLY 0 490000 98000 100 726 44.6 5YR FALSE 1103596505 REDUCED XA2605DI_ARM-INTONLY 0 469000 93800 100 631 44.93 3YR FALSE 1103596506 REDUCED XA1605DI_ARM-INTONLY 0 152455 20002 90 677 37.88 2YR FALSE 1103596507 NO RATIO XA1605DI_ARM-INTONLY 0 0 131968 90 667 0 5YR FALSE 1103596508 REDUCED XA2605DI_ARM-INTONLY 0 0 56000 80.64 626 42.1 3YR FALSE 1103596509 REDUCED XA1605DI_ARM-INTONLY 0 462000 92400 100 663 44.8 3YR FALSE 1103596510 NO RATIO XA1605DI_ARM-INTONLY 0 777000 116550 95 641 0 3YR FALSE 1103596511 REDUCED PA0605DI_ARM-INTONLY 0 194265 0 79.95 686 34.71 5YR FALSE 1103596512 SISA XA0607DI_ARM-INTONLY 0 0 0 24.86 775 43.88 NO-PREPAY MI 1103596513 REDUCED XA0607DI_ARM-INTONLY 0 0 0 63.42 703 39.92 3YR FALSE 1103596514 REDUCED XA2607DI_ARM-INTONLY 0 0 0 62.5 633 36.02 3YR FALSE 1103596516 NINA SF1630_FIXEDRATE 0 145000 0 80 662 0 NO-PREPAY MI 1103596517 REDUCED PF0630_FIXEDRATE 0 101586 5089 79.93 760 43.41 NO-PREPAY MI 1103596518 REDUCED PF0630_FIXEDRATE 0 119886 0 80 760 43.41 NO-PREPAY MI 1103596519 REDUCED PF0630_FIXEDRATE 0 0 0 70 688 29.57 3YR FALSE 1103596520 NINA SF1630_FIXEDRATE 0 264541 0 79.99 661 0 5YR FALSE 1103596521 REDUCED PF0630I_FIX-INTONLY 0 0 0 52.5 687 38.35 2YR FALSE 1103596522 REDUCED PF0630I_FIX-INTONLY 0 155000 22889 94.97 739 33.72 3YR FALSE 1103596530 REDUCED PA2605EI_ARM-INTONLY 0 269900 81000 100 635 49.42 3YR FALSE 1103596531 REDUCED TB2630I_BALLOON-INTONLY 0 269900 0 100 635 49.42 3YR FALSE 1103596543 REDUCED PA0605EI_ARM-INTONLY 0 0 0 48.67 759 0 1YR FALSE 1103596555 REDUCED PA0603EI_ARM-INTONLY 0 175000 26250 95 733 38.836 NO-PREPAY MI 1103596556 SISA PA0603EI_ARM-INTONLY 0 0 0 79.5 752 41.735 3YR FALSE 1103596557 NO RATIO SA1603EI_ARM-INTONLY 0 569990 113998 100 694 0 3YR FALSE 1103596558 FULL/ALT PA0603E_ARM 0 0 27800 100 702 31.903 NO-PREPAY MI 1103596559 REDUCED PA1602EI_ARM-INTONLY 0 930500 186100 100 675 34.655 NO-PREPAY MI 1103596560 NO RATIO SA1605EI_ARM-INTONLY 0 600000 120000 100 761 0 2YR FALSE 1103596561 REDUCED PA0603EI_ARM-INTONLY 0 320000 64000 100 731 44.5 3YR FALSE 1103596562 REDUCED PA1602EI_ARM-INTONLY 0 380000 76000 100 669 44.36 2YR FALSE 1103596563 REDUCED PA0605EI_ARM-INTONLY 0 0 0 73.83 715 40.677 1YR FALSE 1103596564 REDUCED PA0605EI_ARM-INTONLY 0 0 174992 83.22 780 37.544 3YR FALSE 1103596565 REDUCED PA0603EI_ARM-INTONLY 0 165000 25000 95 788 12.65 NO-PREPAY MI 1103596566 SISA PA0602EI_ARM-INTONLY 0 450000 90000 100 689 39.525 2YR FALSE 1103596567 NO RATIO SA1603EI_ARM-INTONLY 0 460000 46000 90 689 0 3YR FALSE 1103596568 REDUCED PA0603EI_ARM-INTONLY 0 198000 39600 100 707 44.229 3YR FALSE 1103596569 REDUCED PA0603EI_ARM-INTONLY 0 149500 22425 95 760 44.798 NO-PREPAY MI 1103596570 REDUCED PA0603EI_ARM-INTONLY 0 555000 111000 100 724 43.238 3YR FALSE 1103596571 REDUCED PA0603E_ARM 0 161004 25004 95.01 739 39.034 2YR FALSE 1103596572 REDUCED PA0605EI_ARM-INTONLY 0 321500 64300 100 705 41.82 3YR FALSE 1103596573 REDUCED PA0602EI_ARM-INTONLY 0 108400 21680 100 701 26.07 2YR FALSE 1103596574 REDUCED PA0603EI_ARM-INTONLY 0 484000 96800 100 719 39.584 3YR FALSE 1103596575 REDUCED PA1603EI_ARM-INTONLY 0 415000 83000 100 662 44.632 3YR FALSE 1103596576 REDUCED PA0605EI_ARM-INTONLY 0 0 0 60.31 682 26.55 3YR FALSE 1103596577 REDUCED PA1603EI_ARM-INTONLY 0 460000 92000 100 666 41.693 3YR FALSE 1103596578 REDUCED PA0603EI_ARM-INTONLY 0 197000 39400 100 736 45.6 NO-PREPAY MI 1103596579 REDUCED PA0602EI_ARM-INTONLY 0 187500 37500 100 751 44.836 NO-PREPAY MI 1103596580 REDUCED PA0605EI_ARM-INTONLY 0 323000 64600 100 725 41.61 NO-PREPAY MI 1103596581 REDUCED PA0602EI_ARM-INTONLY 0 650000 97500 95 681 37.546 1YR FALSE 1103596582 REDUCED PA1603EI_ARM-INTONLY 0 399425 79925 100 650 43.689 NO-PREPAY MI 1103596583 SISA PA0603EI_ARM-INTONLY 0 414000 82800 100 748 44.94 NO-PREPAY MI 1103596585 REDUCED TB0630_BALLOON 0 485000 0 90 746 36.63 3YR FALSE 1103596603 REDUCED PF0630_FIXEDRATE 0 280000 28000 90 705 37.72 3YR FALSE 1103596609 REDUCED TB0630_BALLOON 0 280000 0 90 705 37.72 3YR FALSE 1103596615 REDUCED TB0630_BALLOON 0 193490 0 100 786 45.33 1YR FALSE 1103596668 REDUCED PA0605EI_ARM-INTONLY 0 145000 29000 95 753 36.83 1YR FALSE 1103596669 REDUCED TB0630_BALLOON 0 145000 0 95 753 36.83 1YR FALSE 1103596675 FULL/ALT PA0605EI_ARM-INTONLY 0 402500 80500 100 729 49.7 1YR FALSE 1103596678 FULL/ALT TB0630_BALLOON 0 402500 0 100 729 49.7 NO-PREPAY MI 1103596732 REDUCED PA2602EI_ARM-INTONLY 0 0 177500 95 623 42.03 2YR FALSE 1103596733 REDUCED TB2630_BALLOON 0 0 0 95 623 42.03 NO-PREPAY MI 1103596763 REDUCED TF0630I_FIX-INTONLY 0 534000 0 100 728 48.38 3YR FALSE 1103596793 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 753 31.26 6MO FALSE 1103596798 REDUCED TB1630I_BALLOON-INTONLY 0 0 0 90 661 34.39 2YR FALSE 1103596810 REDUCED TB0630_BALLOON 0 685000 0 100 762 0 3YR FALSE 1103596830 REDUCED TB1630_BALLOON 0 307500 0 100 680 49.07 3YR FALSE 1103596837 NO RATIO SA1607EI_ARM-INTONLY 0 0 0 50.21 722 1 3YR FALSE 1103596841 REDUCED PA0605EI_ARM-INTONLY 0 326812 65350 95 684 46 NO-PREPAY MI 1103596842 REDUCED TB0630_BALLOON 0 326821 0 95 684 47.76 NO-PREPAY MI 1103596878 REDUCED TB0630_BALLOON 0 370000 0 100 705 44 1YR FALSE 1103596897 NINA SF2630_FIXEDRATE 0 0 0 58.47 678 0 3YR FALSE 1103596903 REDUCED PA0605EI_ARM-INTONLY 0 337400 67480 100 686 42.31 3YR FALSE 1103596905 REDUCED PA0605EI_ARM-INTONLY 0 172000 25800 95 694 44.3 2YR FALSE 1103596909 NINA SA2605EI_ARM-INTONLY 0 0 0 80 666 1 3YR FALSE 1103596922 REDUCED PA1605EI_ARM-INTONLY 0 560000 112000 100 660 47.63 2YR FALSE 1103596924 REDUCED TB1630_BALLOON 0 560000 0 100 660 47.63 2YR FALSE 1103596937 SISA PA0603EI_ARM-INTONLY 0 334900 83725 100 722 40.11 NO-PREPAY MI 1103596938 REDUCED PA1603EI_ARM-INTONLY 0 0 94000 90 655 51 NO-PREPAY MI 1103596939 REDUCED PA0603EI_ARM-INTONLY 0 712761 178190.25 100 694 44.04 3YR FALSE 1103596940 REDUCED PA0603EI_ARM-INTONLY 0 290000 87000 100 737 34 1YR FALSE 1103596941 REDUCED PA0605EI_ARM-INTONLY 0 259000 51800 100 695 38.15 NO-PREPAY MI 1103596942 REDUCED PA2605EI_ARM-INTONLY 0 550000 165000 100 637 43.63 NO-PREPAY MI 1103596943 REDUCED PA0605EI_ARM-INTONLY 0 565000 0 50 722 14.61 2YR FALSE 1103596944 SISA PA1605EI_ARM-INTONLY 0 0 0 75 666 44.4 3YR TRUE 1103596945 REDUCED PA1605EI_ARM-INTONLY 0 665000 166250 95 652 44.16 1YR FALSE 1103596947 REDUCED PA0607EI_ARM-INTONLY 0 669000 133800 100 750 43.47 NO-PREPAY MI 1103596948 REDUCED PA0607EI_ARM-INTONLY 0 535000 107000 100 703 30.57 NO-PREPAY MI 1103596949 NO RATIO SA0607EI_ARM-INTONLY 0 610000 152500 100 782 0 3YR FALSE 1103596983 REDUCED PF0630_FIXEDRATE 30 157990 0 95 695 50 1YR FALSE 1103596991 REDUCED TB0630_BALLOON 0 270000 0 85 689 0 1YR FALSE 1103597002 REDUCED PA1605EI_ARM-INTONLY 0 0 0 54.5 680 18.16 3YR FALSE 1103597043 REDUCED PF0630I_FIX-INTONLY 0 388000 77600 100 681 37.39 3YR FALSE 1103597074 REDUCED PL0605E_ARM-BALLOON 0 445000 66750 95 690 34.03 1YR FALSE 1103597088 REDUCED TB0630_BALLOON 0 445000 0 95 690 44.86 1YR FALSE 1103597092 REDUCED PA0605EI_ARM-INTONLY 0 0 20000 90 720 33.67 NO-PREPAY MI 1103597176 REDUCED PA2605EI_ARM-INTONLY 0 300000 60000 100 624 44.88 3YR FALSE 1103597177 REDUCED TB2630_BALLOON 0 300000 0 100 624 44.88 3YR FALSE 1103597187 REDUCED PA1605EI_ARM-INTONLY 0 550000 55000 90 640 40.84 3YR FALSE 1103597198 REDUCED PA2602EI_ARM-INTONLY 0 0 72000 100 623 39.24 NO-PREPAY MI 1103597199 REDUCED TB2630_BALLOON 0 0 0 100 623 39.24 NO-PREPAY MI 1103597219 REDUCED PL3403E_ARM-BALLOON 22 0 0 85 608 53.71 3YR FALSE 1103597242 REDUCED PF3630_FIXEDRATE 0 425990 0 43.67 614 41.85 NO-PREPAY MI 1103597248 FULL/ALT PF1630I_FIX-INTONLY 0 0 0 64.92 659 33.34 3YR FALSE 1103597252 REDUCED TB0630_BALLOON 0 215000 0 90 792 46.05 2YR FALSE 1103597314 SISA PA0605EI_ARM-INTONLY 0 175000 35000 90 688 42.02 NO-PREPAY MI 1103597316 REDUCED PA1602E_ARM 0 102000 20400 89.02 662 21.9 NO-PREPAY MI 1103597331 REDUCED TB0630_BALLOON 0 172000 0 95 694 44.25 NO-PREPAY MI 1103597333 REDUCED PA0605EI_ARM-INTONLY 0 195000 0 80 719 32.49 3YR FALSE 1103597340 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 660 27.28 1YR FALSE 1103597342 REDUCED PA1602E_ARM 0 173400 26010 95 680 38.8 1YR FALSE 1103597343 REDUCED TB1630_BALLOON 0 173400 0 95 680 39 1YR FALSE 1103597351 REDUCED PA1605EI_ARM-INTONLY 0 116000 29000 95 644 27.86 2YR TRUE 1103597353 REDUCED PA0605EI_ARM-INTONLY 0 208990 52247 95 715 44 1YR FALSE 1103597357 REDUCED PA0605EI_ARM-INTONLY 0 230000 46000 100 795 37.23 1YR FALSE 1103597359 REDUCED TB0630_BALLOON 0 208990 0 95 715 44 NO-PREPAY MI 1103597368 REDUCED PL1602E_ARM-BALLOON 0 350000 70000 100 672 48.82 2YR FALSE 1103597373 REDUCED PA0405EI_ARM-INTONLY 22 0 0 80.68 742 44.56 3YR FALSE 1103597386 REDUCED TB2630_BALLOON 0 380000 0 100 639 41.94 3YR FALSE 1103597417 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.4 760 32.01 2YR FALSE 1103597439 REDUCED PA1605EI_ARM-INTONLY 0 0 0 38.24 656 0 NO-PREPAY MI 1103597458 REDUCED TB2630_BALLOON 0 0 0 95 629 44.11 2YR FALSE 1103597460 REDUCED TB1630_BALLOON 0 350000 0 100 672 48.82 2YR FALSE 1103597479 REDUCED PA1605EI_ARM-INTONLY 0 219200 43840 95 653 45 NO-PREPAY MI 1103597482 REDUCED TB1630_BALLOON 0 546790 0 100 655 49.4 2YR FALSE 1103597483 REDUCED PA1605EI_ARM-INTONLY 0 265000 26500 90 640 36.61 3YR TRUE 1103597491 REDUCED TB1630_BALLOON 0 219200 0 95 653 45 NO-PREPAY MI 1103597501 REDUCED PA0605EI_ARM-INTONLY 0 0 115000 95 742 47.61 2YR FALSE 1103597502 REDUCED TB0630_BALLOON 0 0 0 95 742 47.61 NO-PREPAY MI 1103597518 NINA EA0605EI_ARM-INTONLY 30 235000 0 95 787 1 NO-PREPAY MI 1103597529 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 50 803 0 1YR FALSE 1103597530 REDUCED PA0602EI_ARM-INTONLY 0 270000 40500 95 719 42.02 NO-PREPAY MI 1103597531 REDUCED TB0630_BALLOON 0 270000 0 95 719 42.02 NO-PREPAY MI 1103597546 REDUCED PA1605EI_ARM-INTONLY 0 575000 57500 90 668 39.33 3YR FALSE 1103597547 REDUCED TF1615I_FIX-INTONLY 0 575000 0 90 668 39.33 3YR FALSE 1103597550 FULL/ALT TB2630_BALLOON 0 100000 0 95 628 40.05 2YR TRUE 1103597559 REDUCED PA2605EI_ARM-INTONLY 0 0 0 70 621 0 3YR FALSE 1103597598 REDUCED TB1630_BALLOON 0 0 0 90 645 39.75 3YR FALSE 1103597635 REDUCED PA1605EI_ARM-INTONLY 0 0 88000 100 643 49.59 5YR FALSE 1103597637 REDUCED PA0603EI_ARM-INTONLY 0 375000 75000 100 709 44.08 3YR FALSE 1103597638 REDUCED TF0615I_FIX-INTONLY 0 375000 0 100 709 39.73 3YR FALSE 1103597643 REDUCED TB1630_BALLOON 0 0 0 100 643 49.59 3YR FALSE 1103597651 REDUCED PA0603EI_ARM-INTONLY 0 311000 62200 100 757 45.05 NO-PREPAY MI 1103597652 REDUCED PA0603EI_ARM-INTONLY 0 265000 53000 100 729 44.7 3YR TRUE 1103597653 REDUCED PA0605EI_ARM-INTONLY 0 479000 95800 100 790 44.08 NO-PREPAY MI 1103597654 REDUCED PA0605EI_ARM-INTONLY 0 505000 101000 100 735 33.41 NO-PREPAY MI 1103597655 REDUCED PA0605EI_ARM-INTONLY 0 420000 84000 100 686 43.1 NO-PREPAY MI 1103597656 REDUCED PA0605EI_ARM-INTONLY 0 588000 117600 100 687 44.27 NO-PREPAY MI 1103597657 REDUCED PA0605EI_ARM-INTONLY 0 620000 124000 100 755 39.62 3YR TRUE 1103597658 REDUCED PA0605EI_ARM-INTONLY 0 496000 99200 100 725 43.187 3YR TRUE 1103597659 REDUCED PA0605EI_ARM-INTONLY 0 542500 108500 100 764 43.41 3YR TRUE 1103597660 NO RATIO XA0605DI_ARM-INTONLY 0 353500 0 80 696 0 NO-PREPAY MI 1103597661 REDUCED XA0605EI_ARM-INTONLY 0 430000 86000 100 719 43.79 NO-PREPAY MI 1103597662 REDUCED XA0605EI_ARM-INTONLY 0 0 44000 90 724 41.28 NO-PREPAY MI 1103597663 REDUCED XA0607EI_ARM-INTONLY 0 0 0 80 726 43.11 NO-PREPAY MI 1103597664 REDUCED XA0605EI_ARM-INTONLY 0 458359 0 80 776 39 NO-PREPAY MI 1103597665 REDUCED PA0605EI_ARM-INTONLY 0 529950 112950 100 725 44.64 3YR TRUE 1103597666 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 715 44.7 NO-PREPAY MI 1103597667 REDUCED PA0605EI_ARM-INTONLY 0 0 39500 80 700 38.84 NO-PREPAY MI 1103597668 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 799 37.36 3YR TRUE 1103597669 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.97 696 44.012 3YR TRUE 1103597670 REDUCED PA1605EI_ARM-INTONLY 0 0 30000 79.12 666 32.08 3YR TRUE 1103597671 NO RATIO SA2605EI_ARM-INTONLY 0 0 150000 87.41 672 0 NO-PREPAY MI 1103597672 REDUCED PA0605E_ARM 0 0 0 70 682 44.46 3YR TRUE 1103597673 NO RATIO SA0605E_ARM 0 341000 0 70 712 0 3YR TRUE 1103597674 REDUCED PA1605E_ARM 0 0 0 65 663 20.71 NO-PREPAY MI 1103598120 REDUCED TB1630_BALLOON 0 225095 0 95 647 30.17 1YR FALSE 1103597675 REDUCED XA0610EI_ARM-INTONLY 0 0 0 64.82 696 40.29 3YR TRUE 1103597676 REDUCED PA1607EI_ARM-INTONLY 0 0 0 60 654 43.099 3YR TRUE 1103597677 NINA XA1610EI_ARM-INTONLY 0 0 0 53.4 664 0 3YR TRUE 1103597678 REDUCED PA1607EI_ARM-INTONLY 0 0 0 52.39 672 44.5 3YR TRUE 1103597679 REDUCED PA1605EI_ARM-INTONLY 0 0 0 52.35 663 44.65 3YR TRUE 1103597680 REDUCED PA0605EI_ARM-INTONLY 0 0 0 50.3 787 44.92 3YR TRUE 1103597681 REDUCED PA0607E_ARM 0 1000000 0 50 809 41.15 NO-PREPAY MI 1103597691 NINA EF0630I_FIX-INTONLY 30 220000 0 95 681 0 NO-PREPAY MI 1103597693 FULL/ALT AA1607E_ARM 0 293460 58692 100 668 45 3YR TRUE 1103597694 REDUCED PA1605EI_ARM-INTONLY 0 269900 0 75 0 0 5YR FALSE 1103597734 NINA SA2605EI_ARM-INTONLY 0 0 48950 90 632 0 2YR FALSE 1103597746 REDUCED PF0630_FIXEDRATE 0 0 0 75 681 32.5 3YR FALSE 1103597768 SISA PA2605EI_ARM-INTONLY 0 0 0 80 635 47.05 NO-PREPAY MI 1103597830 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 79.71 639 37.99 2YR FALSE 1103597834 FULL/ALT PA0605EI_ARM-INTONLY 0 580000 116000 100 783 42.06 1YR FALSE 1103597839 FULL/ALT TB0630_BALLOON 0 580000 0 100 783 42.06 1YR FALSE 1103597853 SISA PF1630_FIXEDRATE 0 0 0 48.2 662 54.03 3YR FALSE 1103597867 SISA PA1605E_ARM 0 320000 0 68.75 670 23.05 NO-PREPAY MI 1103597876 SISA PF1630_FIXEDRATE 0 259900 51980 100 668 45.08 NO-PREPAY MI 1103597877 NO RATIO SF1630_FIXEDRATE 0 0 0 79.81 690 0 NO-PREPAY MI 1103597878 SISA PF1630_FIXEDRATE 0 615000 61500 90 653 37.86 NO-PREPAY MI 1103597879 REDUCED PF0630I_FIX-INTONLY 0 705000 70500 90 717 31.38 NO-PREPAY MI 1103597880 NO RATIO SF1630_FIXEDRATE 0 0 40200 90 723 0 NO-PREPAY MI 1103597881 REDUCED PF1630I_FIX-INTONLY 0 0 87633 89.98 669 42 NO-PREPAY MI 1103597884 REDUCED PF0430_FIXEDRATE 25 149900 0 90 748 45.41 NO-PREPAY MI 1103597885 NINA XF1630_FIXEDRATE 0 515000 0 80 725 0 NO-PREPAY MI 1103597886 REDUCED PF0630_FIXEDRATE 0 455000 0 80 798 43.26 NO-PREPAY MI 1103597887 NINA SF1630_FIXEDRATE 0 327500 0 35.12 713 0 NO-PREPAY MI 1103597889 NO RATIO SF1630I_FIX-INTONLY 0 442500 66375 95 741 0 NO-PREPAY MI 1103597890 SISA PF0630_FIXEDRATE 0 210000 0 80 731 16 NO-PREPAY MI 1103597891 NO RATIO SF1630_FIXEDRATE 0 545000 0 63.31 751 0 NO-PREPAY MI 1103597892 NINA SF1630_FIXEDRATE 0 154770 23216 95.01 730 0 NO-PREPAY MI 1103597893 REDUCED PF1630I_FIX-INTONLY 0 0 0 55 667 35 NO-PREPAY MI 1103597910 REDUCED PA2605EI_ARM-INTONLY 0 260000 52000 100 633 47.26 3YR FALSE 1103597913 REDUCED PF0630I_FIX-INTONLY 0 0 39000 61.35 717 44.49 1YR FALSE 1103597915 REDUCED PA0607EI_ARM-INTONLY 0 0 0 64.29 768 35.46 1YR FALSE 1103597946 REDUCED PA0605EI_ARM-INTONLY 0 550000 110000 100 716 48.52 5YR FALSE 1103597964 NINA SA1605EI_ARM-INTONLY 0 0 0 72.7 791 0 1YR FALSE 1103597995 REDUCED TB1630_BALLOON 0 508000 0 100 674 49.14 2YR FALSE 1103597996 REDUCED TB1630_BALLOON 0 0 0 37.37 641 26.13 2YR FALSE 1103598003 REDUCED PA0605EI_ARM-INTONLY 0 289000 72250 95 705 41.79 3YR FALSE 1103598004 REDUCED TB0630_BALLOON 0 289000 0 95 705 41.79 3YR FALSE 1103598014 REDUCED PF0630I_FIX-INTONLY 0 515000 103000 100 692 41.12 3YR FALSE 1103598015 REDUCED TB0630I_BALLOON-INTONLY 0 515000 0 100 692 41.12 3YR FALSE 1103598052 REDUCED PA0605EI_ARM-INTONLY 0 0 0 63.2 717 21.22 NO-PREPAY MI 1103598069 REDUCED PA0605EI_ARM-INTONLY 0 405000 60750 90 763 32.436 3YR FALSE 1103598070 REDUCED PA0605E_ARM 0 0 23400 95 727 31.97 3YR FALSE 1103598071 NO RATIO SA0603EI_ARM-INTONLY 0 425000 0 35.3 809 0 2YR FALSE 1103598072 REDUCED PA1602EI_ARM-INTONLY 0 184000 27600 95 662 44.67 2YR FALSE 1103598073 REDUCED PA2605E_ARM 0 255000 51000 100 630 49.103 NO-PREPAY MI 1103598095 REDUCED PF1630I_FIX-INTONLY 0 0 20400 90 640 48.486 NO-PREPAY MI 1103598097 NINA EF1630_FIXEDRATE 0 77000 0 95 731 0 1YR FALSE 1103598099 REDUCED PF0630_FIXEDRATE 0 243000 48600 100 716 44.599 2YR FALSE 1103598100 REDUCED PF1630_FIXEDRATE 0 279900 0 80 0 48.38 NO-PREPAY MI 1103598101 NINA SF0630_FIXEDRATE 0 0 0 40 764 0 2YR FALSE 1103598102 REDUCED PF1630_FIXEDRATE 0 97500 20475 95 660 43.937 2YR FALSE 1103598103 REDUCED PF1630_FIXEDRATE 0 97500 20475 95 660 43.906 2YR FALSE 1103598104 REDUCED BF1230_FIXEDRATE 0 97500 20475 95 660 43.884 2YR FALSE 1103598105 FULL/ALT PF3630_FIXEDRATE 0 0 0 72.14 618 44.22 3YR FALSE 1103598106 REDUCED PF3430_FIXEDRATE 0 349900 0 90 612 46.524 3YR FALSE 1103598109 REDUCED TF0630_FIXEDRATE 0 0 0 90 640 48.486 NO-PREPAY MI 1103598111 REDUCED TB0630_BALLOON 0 153800 0 95 692 46.156 1YR FALSE 1103598113 REDUCED TB1630_BALLOON 0 95000 0 95.01 650 49.338 3YR FALSE 1103598114 REDUCED TF0630_FIXEDRATE 0 255000 0 100 630 48.564 NO-PREPAY MI 1103598115 REDUCED TB0630_BALLOON 0 243000 0 100 716 44.555 2YR FALSE 1103598116 REDUCED TB1630_BALLOON 0 258475 0 100 651 49.787 3YR FALSE 1103598117 REDUCED TB1630_BALLOON 0 0 0 95 641 47.732 3YR FALSE 1103598118 REDUCED TB1630_BALLOON 0 184000 0 95 662 44.669 2YR FALSE 1103598121 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 655 0 1YR FALSE 1103598125 REDUCED PA1605E_ARM 0 420000 105000 100 643 48.4 1YR FALSE 1103598126 REDUCED PA1605EI_ARM-INTONLY 0 565000 169500 100 661 30.21 NO-PREPAY MI 1103598127 REDUCED PA0605EI_ARM-INTONLY 0 900000 135000 95 689 47.97 1YR FALSE 1103598130 FULL/ALT PA0607EI_ARM-INTONLY 0 325000 65000 90 719 44 3YR TRUE 1103598133 REDUCED TB1630_BALLOON 0 420000 0 100 643 48.4 NO-PREPAY MI 1103598134 REDUCED TB1630_BALLOON 0 565000 0 100 661 27.35 NO-PREPAY MI 1103598135 REDUCED TF0630_FIXEDRATE 0 900000 0 95 689 48.89 NO-PREPAY MI 1103598136 REDUCED TB2630_BALLOON 0 0 0 95 635 39.14 NO-PREPAY MI 1103598140 REDUCED PA0605EI_ARM-INTONLY 0 450000 90000 100 724 43.49 3YR FALSE 1103598176 REDUCED PA1605EI_ARM-INTONLY 0 0 36450 90 647 37.11 3YR FALSE 1103598185 REDUCED PA1605EI_ARM-INTONLY 0 151000 37750 95 650 32.47 NO-PREPAY MI 1103598186 REDUCED TF1615_FIXEDRATE 0 151000 0 95 650 32.47 NO-PREPAY MI 1103598202 REDUCED PA0603EI_ARM-INTONLY 0 905000 181000 100 681 49 6MO FALSE 1103598203 REDUCED TF0615I_FIX-INTONLY 0 905000 0 100 681 48.92 3YR FALSE 1103598204 REDUCED PA1605EI_ARM-INTONLY 0 0 47400 95 670 43.49 3YR FALSE 1103598210 REDUCED TB1630I_BALLOON-INTONLY 0 0 0 95 670 43.64 3YR FALSE 1103598233 NINA SF2630_FIXEDRATE 0 0 0 61.36 674 1 3YR FALSE 1103598234 FULL/ALT PF1630_FIXEDRATE 0 0 62325 86.87 673 49.36 NO-PREPAY MI 1103598254 REDUCED PA0605EI_ARM-INTONLY 0 149900 37475 95 689 29.61 NO-PREPAY MI 1103598282 REDUCED PB1640_BALLOON 0 330000 66000 100 646 42.65 3YR FALSE 1103598284 REDUCED TB1630_BALLOON 0 330000 0 100 646 42.65 NO-PREPAY MI 1103598364 REDUCED PA0605EI_ARM-INTONLY 0 240000 48000 100 701 47.46 NO-PREPAY MI 1103598365 REDUCED PA0605EI_ARM-INTONLY 0 345000 69000 100 733 45.04 NO-PREPAY MI 1103598366 FULL/ALT PA3605EI_ARM-INTONLY 0 865000 86500 90 632 43.21 NO-PREPAY MI 1103598367 SISA PA1605EI_ARM-INTONLY 0 515000 103000 100 674 43.61 NO-PREPAY MI 1103598368 REDUCED PA0605EI_ARM-INTONLY 0 189922 0 79.99 724 35.13 NO-PREPAY MI 1103598369 REDUCED PA1605EI_ARM-INTONLY 0 703000 0 80 658 32.29 NO-PREPAY MI 1103598370 FULL/ALT PA0605EI_ARM-INTONLY 0 335000 67000 100 772 49.699 NO-PREPAY MI 1103598371 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 745 47.54 NO-PREPAY MI 1103598372 REDUCED PA0605EI_ARM-INTONLY 0 305000 0 75 783 35.76 NO-PREPAY MI 1103598373 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 80 693 35.647 NO-PREPAY MI 1103598374 REDUCED PA1605EI_ARM-INTONLY 0 268000 53600 100 669 40.08 NO-PREPAY MI 1103598375 FULL/ALT XA1605AI_ARM-INTONLY 0 0 117000 89.9 663 35.44 NO-PREPAY MI 1103598376 REDUCED PA0605EI_ARM-INTONLY 0 403000 80600 100 760 36.64 NO-PREPAY MI 1103598377 REDUCED PA0605EI_ARM-INTONLY 0 0 0 79.52 717 34.98 NO-PREPAY MI 1103598378 REDUCED PA1605EI_ARM-INTONLY 0 455000 91000 100 664 45.56 NO-PREPAY MI 1103598379 FULL/ALT PA1605EI_ARM-INTONLY 0 279000 55800 100 647 41.19 NO-PREPAY MI 1103598380 FULL/ALT PA0605EI_ARM-INTONLY 0 1200000 0 25 742 28.71 NO-PREPAY MI 1103598381 NINA SA1605EI_ARM-INTONLY 0 575000 150000 85 742 0 3YR TRUE 1103598382 REDUCED XA0605AI_ARM-INTONLY 0 0 200000 82.86 811 40.41 NO-PREPAY MI 1103598383 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 40.69 780 0 NO-PREPAY MI 1103598387 REDUCED PA0605EI_ARM-INTONLY 0 563700 112700 89.98 758 19.09 3YR TRUE 1103598408 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 69.21 782 1 1YR FALSE 1103598422 REDUCED PA0605EI_ARM-INTONLY 0 553700 0 79.99 802 30.93 5YR TRUE 1103598435 REDUCED PA0605EI_ARM-INTONLY 0 150000 0 80 770 35.42 NO-PREPAY MI 1103598436 REDUCED PA0605EI_ARM-INTONLY 0 375000 75000 95 690 52.02 NO-PREPAY MI 1103598437 REDUCED TB0630_BALLOON 0 375000 0 95 690 52.02 NO-PREPAY MI 1103598470 FULL/ALT PF0630_FIXEDRATE 0 280000 0 80 765 42.08 5YR FALSE 1103598473 REDUCED TB1630_BALLOON 0 0 0 90 644 0 3YR FALSE 1103598482 REDUCED PA0605EI_ARM-INTONLY 0 0 40000 95 763 38.98 3YR FALSE 1103598483 REDUCED TB0630_BALLOON 0 0 0 95 763 38.98 NO-PREPAY MI 1103598487 NINA SA0607EI_ARM-INTONLY 0 340000 0 80 780 1 1YR FALSE 1103598489 REDUCED PA0605EI_ARM-INTONLY 0 143000 28600 100 733 0 1YR FALSE 1103598506 REDUCED PA0605EI_ARM-INTONLY 0 199000 0 70 682 0 5YR TRUE 1103598610 SISA PA0605EI_ARM-INTONLY 0 319000 0 80 746 38.48 6MO FALSE 1103598649 NINA SB6640_BALLOON 0 0 0 57.55 522 1 NO-PREPAY MI 1103598659 REDUCED PA0605EI_ARM-INTONLY 0 0 41250 95 707 41.38 2YR FALSE 1103598660 REDUCED TB0630_BALLOON 0 0 0 95 707 41.38 2YR FALSE 1103598673 NINA SA2605EI_ARM-INTONLY 0 0 0 69.86 660 1 3YR FALSE 1103598674 REDUCED PA0605EI_ARM-INTONLY 0 0 77300 90 705 0 3YR FALSE 1103598688 SISA PA0605EI_ARM-INTONLY 0 0 0 75 694 46.53 2YR FALSE 1103598698 REDUCED PA2605EI_ARM-INTONLY 0 0 0 44.1 623 37.96 3YR FALSE 1103598720 REDUCED PA0605EI_ARM-INTONLY 0 225990 45198 95 756 26.06 1YR FALSE 1103598721 NINA SA2605EI_ARM-INTONLY 0 0 0 57.15 680 0 NO-PREPAY MI 1103598743 REDUCED PA0605EI_ARM-INTONLY 0 0 197000 84.86 699 33.61 1YR FALSE 1103598759 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 698 41.1 NO-PREPAY MI 1103598768 REDUCED PA2605EI_ARM-INTONLY 0 580000 116000 100 634 46.43 1YR FALSE 1103598771 REDUCED TB1630_BALLOON 0 0 0 90 647 39.11 1YR FALSE 1103598782 REDUCED PA0605EI_ARM-INTONLY 0 0 59000 89.26 721 37.51 3YR FALSE 1103598783 REDUCED TB0630_BALLOON 0 0 0 89.26 721 37.51 3YR FALSE 1103598792 REDUCED PA0607EI_ARM-INTONLY 0 505000 100000 99.81 752 39.49 NO-PREPAY MI 1103598803 NO RATIO SL2605E_ARM-BALLOON 0 0 0 74.33 648 1 5YR FALSE 1103598826 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 645 38.49 NO-PREPAY MI 1103598836 REDUCED PF0630_FIXEDRATE 0 195887 29380 95 754 24.86 1YR FALSE 1103598838 REDUCED TB0630_BALLOON 0 195887 0 95 754 24.86 1YR FALSE 1103598846 REDUCED PA0607EI_ARM-INTONLY 0 670000 134000 100 713 34 3YR FALSE 1103598847 REDUCED TF0630I_FIX-INTONLY 0 670000 0 100 713 33.48 3YR FALSE 1103598884 NINA SF0630I_FIX-INTONLY 0 0 0 54.88 702 1 3YR FALSE 1103598897 NO RATIO SA1605EI_ARM-INTONLY 0 503000 75450 95 689 0 NO-PREPAY MI 1103598898 NO RATIO SA2605EI_ARM-INTONLY 0 750000 112500 95 627 0 NO-PREPAY MI 1103598899 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 79.96 661 0 2YR FALSE 1103598900 FULL/ALT PA3605EI_ARM-INTONLY 0 196000 39150 99.93 602 42.81 NO-PREPAY MI 1103598901 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 80 650 42.81 2YR FALSE 1103598902 NO RATIO SA2605EI_ARM-INTONLY 0 0 46000 90 650 0 2YR FALSE 1103598903 REDUCED PA2605EI_ARM-INTONLY 0 562368 112400 99.98 631 39.06 NO-PREPAY MI 1103598905 NO RATIO SA2605EI_ARM-INTONLY 0 355000 35500 90 647 0 NO-PREPAY MI 1103598906 NO RATIO SA2605EI_ARM-INTONLY 0 0 30750 95 659 0 2YR FALSE 1103598908 FULL/ALT PA0605EI_ARM-INTONLY 0 0 96950 79.48 766 27.07 2YR FALSE 1103598909 FULL/ALT PA0605EI_ARM-INTONLY 0 499900 75000 95 693 49.26 NO-PREPAY MI 1103598910 FULL/ALT PA1605E_ARM 0 0 53000 98.89 670 44.48 NO-PREPAY MI 1103598911 REDUCED PA0605EI_ARM-INTONLY 0 255000 51000 100 741 45.6 NO-PREPAY MI 1103598912 NO RATIO SA2605EI_ARM-INTONLY 0 392500 78500 100 665 0 NO-PREPAY MI 1103598913 FULL/ALT PA0605EI_ARM-INTONLY 0 309000 46350 95 701 42.26 NO-PREPAY MI 1103598914 NO RATIO SA1605EI_ARM-INTONLY 0 520000 104000 100 729 0 NO-PREPAY MI 1103598915 NO RATIO SA2605EI_ARM-INTONLY 0 335000 67000 100 661 0 NO-PREPAY MI 1103598916 NO RATIO SA1605EI_ARM-INTONLY 0 259900 51950 99.99 710 0 NO-PREPAY MI 1103598917 REDUCED PA2605EI_ARM-INTONLY 0 240000 48000 100 624 42.28 NO-PREPAY MI 1103598918 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 80 657 0 2YR FALSE 1103598919 NO RATIO SA1605E_ARM 0 309290 46350 94.92 728 0 3YR TRUE 1103598920 NO RATIO SA2605EI_ARM-INTONLY 0 635000 127000 100 642 0 NO-PREPAY MI 1103598922 NO RATIO SA1605EI_ARM-INTONLY 0 355000 71000 100 686 0 3YR TRUE 1103598925 REDUCED TF1630_FIXEDRATE 0 0 0 87.04 648 36.36 3YR FALSE 1103598930 REDUCED PA0605EI_ARM-INTONLY 0 219950 43990 100 706 42.48 1YR FALSE 1103598936 REDUCED PA0605EI_ARM-INTONLY 0 0 0 73.54 682 48.98 NO-PREPAY MI 1103598958 REDUCED PA1605EI_ARM-INTONLY 0 135000 27000 95 667 0 1YR FALSE 1103598961 REDUCED PA0603EI_ARM-INTONLY 0 512000 128000 100 706 50 3YR FALSE 1103598969 REDUCED PA3603E_ARM 0 0 0 80 606 43.24 3YR FALSE 1103598972 REDUCED PA0605DI_ARM-INTONLY 0 0 0 53 696 37.243 3YR FALSE 1103598974 REDUCED PA0605DI_ARM-INTONLY 0 400000 80000 100 690 32.22 NO-PREPAY MI 1103598975 REDUCED PA0605DI_ARM-INTONLY 0 666800 133293 99.99 702 39.024 NO-PREPAY MI 1103598976 REDUCED PA0605DI_ARM-INTONLY 0 560000 112000 100 688 39.729 3YR FALSE 1103598977 REDUCED PA0605DI_ARM-INTONLY 0 412000 82400 100 814 34.352 3YR FALSE 1103598978 REDUCED PA0605DI_ARM-INTONLY 0 475000 95000 100 682 34.323 NO-PREPAY MI 1103598979 REDUCED PA0605DI_ARM-INTONLY 0 0 192015 100 708 42.022 NO-PREPAY MI 1103598980 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 44.28 747 39.19 1YR FALSE 1103598981 REDUCED XA1605D_ARM 0 0 92015 100 661 38.828 NO-PREPAY MI 1103598982 REDUCED XA0605D_ARM 0 407000 81400 100 701 37.829 NO-PREPAY MI 1103598983 REDUCED PA0605DI_ARM-INTONLY 0 719000 143800 100 771 39.845 NO-PREPAY MI 1103598984 REDUCED XA1605DI_ARM-INTONLY 0 0 77000 100 675 39.697 NO-PREPAY MI 1103598985 FULL/ALT PA0605DI_ARM-INTONLY 0 223000 44600 100 695 35.659 3YR FALSE 1103598987 REDUCED PA0605DI_ARM-INTONLY 0 444986 88997 100 714 40.453 NO-PREPAY MI 1103598988 REDUCED PA0605DI_ARM-INTONLY 0 0 0 80 681 35.418 NO-PREPAY MI 1103598990 REDUCED PA0605DI_ARM-INTONLY 0 260000 52000 100 774 39.89 3YR FALSE 1103598991 REDUCED PA0605DI_ARM-INTONLY 0 220000 44000 100 694 34.04 1YR FALSE 1103598992 REDUCED PA0605DI_ARM-INTONLY 0 365000 73000 100 802 38.62 NO-PREPAY MI 1103598993 REDUCED PA0605DI_ARM-INTONLY 0 0 0 74.21 682 32.001 NO-PREPAY MI 1103598994 REDUCED XA1605DI_ARM-INTONLY 0 585000 0 80 674 42.4 NO-PREPAY MI 1103598995 REDUCED PA0605DI_ARM-INTONLY 0 275000 27500 90 710 36.684 3YR FALSE 1103598996 REDUCED PA0605DI_ARM-INTONLY 0 930000 0 52.69 794 35.209 3YR FALSE 1103598997 REDUCED PA0605DI_ARM-INTONLY 0 0 26000 90 692 11.669 3YR FALSE 1103598998 REDUCED XA1605DI_ARM-INTONLY 0 417830 41699 89.98 673 42.82 NO-PREPAY MI 1103598999 REDUCED XA1605DI_ARM-INTONLY 0 0 0 60.8 671 35.762 3YR FALSE 1103599000 REDUCED XA1605DI_ARM-INTONLY 0 0 17986 87.82 660 34.309 NO-PREPAY MI 1103599001 REDUCED PA0605DI_ARM-INTONLY 0 750000 150000 100 685 39.241 1YR FALSE 1103599002 REDUCED XA1605DI_ARM-INTONLY 0 477075 94556 99.2 667 47.255 3YR FALSE 1103599003 REDUCED PA0605DI_ARM-INTONLY 0 0 0 66.52 681 39.817 3YR FALSE 1103599004 REDUCED PA0605DI_ARM-INTONLY 0 324000 64800 100 761 27.949 3YR FALSE 1103599005 REDUCED PA0605DI_ARM-INTONLY 0 375000 75000 100 714 31.13 NO-PREPAY MI 1103599006 REDUCED XA1605D_ARM 0 0 54000 100 661 44.712 3YR FALSE 1103599007 REDUCED PA0605DI_ARM-INTONLY 0 510000 102000 100 705 44.574 NO-PREPAY MI 1103599008 REDUCED PA0605DI_ARM-INTONLY 0 690000 138000 100 684 33.363 NO-PREPAY MI 1103599009 REDUCED XA1605DI_ARM-INTONLY 0 610000 122000 100 673 41.298 3YR FALSE 1103599010 REDUCED PA0605DI_ARM-INTONLY 0 780000 156000 100 692 39.08 NO-PREPAY MI 1103599011 REDUCED PA0605DI_ARM-INTONLY 0 295000 44191 94.98 729 38.383 3YR FALSE 1103599012 REDUCED PA0605DI_ARM-INTONLY 0 608436.72 121566 99.99 780 35.812 NO-PREPAY MI 1103599013 FULL/ALT PA0605DI_ARM-INTONLY 0 166900 0 79.99 804 45.446 3YR FALSE 1103599014 REDUCED PA0605DI_ARM-INTONLY 0 615000 123000 100 700 35.925 NO-PREPAY MI 1103599015 REDUCED PA0605DI_ARM-INTONLY 0 485000 97000 100 734 37.062 3YR FALSE 1103599016 REDUCED PA0605DI_ARM-INTONLY 0 299571 59914 100 767 33.29 NO-PREPAY MI 1103599017 REDUCED PA0605DI_ARM-INTONLY 0 0 63665 94.98 694 43.744 NO-PREPAY MI 1103599018 REDUCED PA0605DI_ARM-INTONLY 0 310000 62000 100 710 39.157 3YR FALSE 1103599019 REDUCED XA1605DI_ARM-INTONLY 0 665000 66500 90 662 32.412 NO-PREPAY MI 1103599020 REDUCED XA1605DI_ARM-INTONLY 0 0 50000 100 664 37.26 NO-PREPAY MI 1103599021 REDUCED XA1605DI_ARM-INTONLY 0 0 0 79.84 671 36.191 1YR FALSE 1103599022 FULL/ALT PF1630_FIXEDRATE 0 296990 0 80 0 45 1YR FALSE 1103599023 REDUCED PA0605DI_ARM-INTONLY 0 0 0 55 742 36.335 NO-PREPAY MI 1103599024 REDUCED PA0605DI_ARM-INTONLY 0 440000 88000 100 709 35.028 3YR FALSE 1103599025 REDUCED PA0605DI_ARM-INTONLY 0 585000 117000 100 720 39.474 1YR FALSE 1103599026 REDUCED XA1605DI_ARM-INTONLY 0 469000 93800 100 664 32.884 NO-PREPAY MI 1103599027 FULL/ALT PA0605DI_ARM-INTONLY 0 0 91000 90 701 44.543 3YR FALSE 1103599028 REDUCED PA0605DI_ARM-INTONLY 0 476649 95330 100 703 35.888 NO-PREPAY MI 1103599029 REDUCED XA1605DI_ARM-INTONLY 0 0 80000 100 674 36.151 3YR FALSE 1103599030 REDUCED XA1605DI_ARM-INTONLY 0 225000 45000 100 661 35.601 NO-PREPAY MI 1103599031 REDUCED PA0605DI_ARM-INTONLY 0 0 52000 90 747 38.653 NO-PREPAY MI 1103599032 REDUCED PA0605DI_ARM-INTONLY 0 290000 58000 100 704 34.957 NO-PREPAY MI 1103599034 REDUCED PA0605DI_ARM-INTONLY 0 0 62000 100 699 31.379 NO-PREPAY MI 1103599036 REDUCED PA0605DI_ARM-INTONLY 0 328000 65600 100 742 44.197 NO-PREPAY MI 1103599037 REDUCED XA1605DI_ARM-INTONLY 0 210000 42000 100 669 29.905 3YR FALSE 1103599038 REDUCED PA0605DI_ARM-INTONLY 0 719500 143900 100 738 37.721 NO-PREPAY MI 1103599039 REDUCED PA0605DI_ARM-INTONLY 0 200000 40000 100 758 42.743 3YR FALSE 1103599041 REDUCED XA1605DI_ARM-INTONLY 0 0 14976 79.68 679 31.614 NO-PREPAY MI 1103599042 REDUCED PA0605DI_ARM-INTONLY 0 365000 73000 100 777 38.074 3YR FALSE 1103599043 REDUCED PA0605DI_ARM-INTONLY 0 670000 134000 100 762 41.375 NO-PREPAY MI 1103599044 REDUCED XA1605DI_ARM-INTONLY 0 221200 44196 99.98 678 38.374 NO-PREPAY MI 1103599045 REDUCED PA0605DI_ARM-INTONLY 0 0 102000 100 713 42.687 3YR FALSE 1103599046 REDUCED PA0605DI_ARM-INTONLY 0 0 0 79.81 794 35.759 3YR FALSE 1103599047 REDUCED XA1605DI_ARM-INTONLY 0 340473 67992 99.97 678 35.283 NO-PREPAY MI 1103599050 REDUCED PA0605DI_ARM-INTONLY 0 474900 95027 100 770 25.279 NO-PREPAY MI 1103599051 REDUCED PA0605DI_ARM-INTONLY 0 425000 85000 100 711 37.12 NO-PREPAY MI 1103599053 REDUCED PA0605DI_ARM-INTONLY 0 554000 110800 100 806 42.017 NO-PREPAY MI 1103599055 REDUCED PA0605DI_ARM-INTONLY 0 0 60300 93 683 36.454 NO-PREPAY MI 1103599056 REDUCED PA0605DI_ARM-INTONLY 0 0 0 79.26 683 30.416 NO-PREPAY MI 1103599057 REDUCED PA0605DI_ARM-INTONLY 0 0 57500 90 685 34.961 NO-PREPAY MI 1103599058 REDUCED PA0605DI_ARM-INTONLY 0 0 0 80 711 30.638 3YR FALSE 1103599059 REDUCED PA0605DI_ARM-INTONLY 0 594000 118800 100 694 26.907 NO-PREPAY MI 1103599061 REDUCED XA1605DI_ARM-INTONLY 0 0 74965 95.95 666 39.664 NO-PREPAY MI 1103599062 FULL/ALT XA1605DI_ARM-INTONLY 0 178000 35600 100 664 31.163 3YR FALSE 1103599063 REDUCED PA0605DI_ARM-INTONLY 0 570000 114000 100 746 36.109 1YR FALSE 1103599064 REDUCED XA1605DI_ARM-INTONLY 0 399900 80020 100 676 44.551 NO-PREPAY MI 1103599065 REDUCED PA0605DI_ARM-INTONLY 0 745000 149000 100 700 49.307 3YR FALSE 1103599066 REDUCED XA1605DI_ARM-INTONLY 0 0 0 80 663 36.921 1YR FALSE 1103599067 REDUCED PA0605DI_ARM-INTONLY 0 611927.94 120917 98.83 688 37.205 NO-PREPAY MI 1103599068 REDUCED PA0605DI_ARM-INTONLY 0 256000 51200 100 738 33.894 3YR FALSE 1103599069 REDUCED PA0605DI_ARM-INTONLY 0 521000 104200 100 701 34.059 NO-PREPAY MI 1103599070 FULL/ALT PA0605DI_ARM-INTONLY 0 210500 42100 100 688 34.672 3YR FALSE 1103599071 REDUCED PA0605DI_ARM-INTONLY 0 565000 84694 94.99 780 35.334 NO-PREPAY MI 1103599072 REDUCED XA1605DI_ARM-INTONLY 0 0 122030 100 680 43.048 3YR FALSE 1103599073 REDUCED PA0605DI_ARM-INTONLY 0 340000 64600 95 686 38.729 NO-PREPAY MI 1103599074 REDUCED PA0605DI_ARM-INTONLY 0 0 176500 90 722 38.035 NO-PREPAY MI 1103599075 REDUCED PA0605DI_ARM-INTONLY 0 318000 63600 100 742 40.246 NO-PREPAY MI 1103599076 REDUCED PA0605DI_ARM-INTONLY 0 157000 31400 100 684 37.639 NO-PREPAY MI 1103599077 REDUCED PA0605DI_ARM-INTONLY 0 289900 57516 99.7 750 39.795 3YR FALSE 1103599078 REDUCED PA0605DI_ARM-INTONLY 0 165000 33000 100 686 34.995 3YR FALSE 1103599079 REDUCED PA0605DI_ARM-INTONLY 0 365000 73000 100 770 34.766 NO-PREPAY MI 1103599080 REDUCED PA0605DI_ARM-INTONLY 0 165000 33000 100 720 39.48 3.5YR FALSE 1103599081 REDUCED PA0605DI_ARM-INTONLY 0 0 35991 88.89 682 32.655 3YR FALSE 1103599082 REDUCED PA0605DI_ARM-INTONLY 0 0 87200 100 690 40.947 3YR FALSE 1103599083 REDUCED PA0605DI_ARM-INTONLY 0 1025000 153750 85 756 39.451 NO-PREPAY MI 1103599084 REDUCED PA0605DI_ARM-INTONLY 0 0 80500 90 694 25.414 NO-PREPAY MI 1103599085 REDUCED PA0605DI_ARM-INTONLY 0 165000 33000 100 751 35.847 3YR FALSE 1103599086 REDUCED PA0605DI_ARM-INTONLY 0 359000 71800 100 717 38.758 NO-PREPAY MI 1103599087 REDUCED PA0605DI_ARM-INTONLY 0 750000 150000 100 741 35.097 1YR FALSE 1103599088 REDUCED PA0605DI_ARM-INTONLY 0 689000 137800 100 793 37.166 NO-PREPAY MI 1103599089 REDUCED XA1605DI_ARM-INTONLY 0 283000 56600 100 673 43.901 NO-PREPAY MI 1103599090 FULL/ALT XA1605DI_ARM-INTONLY 0 242000 50021 100 661 34.326 NO-PREPAY MI 1103599092 REDUCED PA0605DI_ARM-INTONLY 0 0 0 79.71 700 46.281 3YR FALSE 1103599093 REDUCED PA0605DI_ARM-INTONLY 0 338000 67600 100 702 39.374 3YR FALSE 1103599094 REDUCED PA0605DI_ARM-INTONLY 0 497000 197011 100 785 34.893 NO-PREPAY MI 1103599095 REDUCED PA0605DI_ARM-INTONLY 0 339000 67800 100 721 29.06 3YR FALSE 1103599096 REDUCED PA0605DI_ARM-INTONLY 0 649000 129800 100 740 39.96 NO-PREPAY MI 1103599097 REDUCED PA0605DI_ARM-INTONLY 0 635000 0 80 743 38.441 3YR FALSE 1103599098 REDUCED PA0605DI_ARM-INTONLY 0 271450 60018 100 762 33.809 3YR FALSE 1103599099 REDUCED PA0605DI_ARM-INTONLY 0 806000 161200 100 727 38.952 NO-PREPAY MI 1103599100 REDUCED PA0605DI_ARM-INTONLY 0 328000 65000 100 735 43.094 NO-PREPAY MI 1103599101 REDUCED XA1605DI_ARM-INTONLY 0 742000 148400 100 667 35.726 3YR FALSE 1103599102 FULL/ALT XA1605DI_ARM-INTONLY 0 369000 0 80 660 36.035 3YR FALSE 1103599103 REDUCED PA0605DI_ARM-INTONLY 0 0 36800 100 745 39.279 3YR FALSE 1103599104 FULL/ALT XA1605DI_ARM-INTONLY 0 0 58000 100 651 28.209 NO-PREPAY MI 1103599105 REDUCED XA1605DI_ARM-INTONLY 0 0 19090 96.6 655 34.785 3YR FALSE 1103599106 REDUCED PA0605DI_ARM-INTONLY 0 731000 72954 89.98 694 36.651 NO-PREPAY MI 1103599107 FULL/ALT XA1605DI_ARM-INTONLY 0 0 9999 84.31 680 48.927 3YR FALSE 1103599108 REDUCED PA0605DI_ARM-INTONLY 0 315000 63000 100 727 36.646 3YR FALSE 1103599109 REDUCED XA1605DI_ARM-INTONLY 0 570000 114000 100 664 33.589 NO-PREPAY MI 1103599110 REDUCED XA1605DI_ARM-INTONLY 0 475000 95000 100 676 41.23 NO-PREPAY MI 1103599111 REDUCED PA0605DI_ARM-INTONLY 0 385000 77000 100 698 35.738 NO-PREPAY MI 1103599113 REDUCED XA0605D_ARM 0 0 0 79.29 762 36.017 2YR FALSE 1103599114 REDUCED PA0605DI_ARM-INTONLY 0 660000 132000 100 705 30.841 3YR FALSE 1103599115 REDUCED PA0605DI_ARM-INTONLY 0 485000 97000 100 695 40.226 1YR FALSE 1103599116 REDUCED PA0605DI_ARM-INTONLY 0 0 199947 98.22 715 40.021 NO-PREPAY MI 1103599117 REDUCED PA0605DI_ARM-INTONLY 0 649000 129800 100 813 29.247 3YR FALSE 1103599118 REDUCED PA0605DI_ARM-INTONLY 0 629000 125800 100 720 39.127 NO-PREPAY MI 1103599119 FULL/ALT XA1605DI_ARM-INTONLY 0 0 50087 81.6 640 35.963 3YR FALSE 1103599120 REDUCED PA0605DI_ARM-INTONLY 0 0 0 32.83 808 31.117 NO-PREPAY MI 1103599121 REDUCED XA0605D_ARM 0 0 0 49.32 740 24.9 NO-PREPAY MI 1103599122 REDUCED PA0605DI_ARM-INTONLY 0 543000 81450 95 714 38.11 NO-PREPAY MI 1103599123 FULL/ALT PA0605DI_ARM-INTONLY 0 0 80000 90 700 39.696 NO-PREPAY MI 1103599124 REDUCED PA0605DI_ARM-INTONLY 0 0 49980 85.88 706 43.586 1YR FALSE 1103599125 FULL/ALT PA0605DI_ARM-INTONLY 0 0 115500 95 690 43.383 1YR FALSE 1103599126 FULL/ALT PA0605DI_ARM-INTONLY 0 187990 37598 99.98 756 40.464 NO-PREPAY MI 1103599127 FULL/ALT XA0605D_ARM 0 259900 52006 100 786 37.677 3YR FALSE 1103599128 FULL/ALT PA0605DI_ARM-INTONLY 0 0 9996 80.4 726 49.049 NO-PREPAY MI 1103599129 REDUCED PA0605DI_ARM-INTONLY 0 0 125400 100 715 40.525 NO-PREPAY MI 1103599130 REDUCED PA0605DI_ARM-INTONLY 0 0 74000 99.6 805 34.588 3YR FALSE 1103599131 REDUCED PA0605DI_ARM-INTONLY 0 0 75978 94.53 726 35.258 NO-PREPAY MI 1103599132 REDUCED XA0605D_ARM 0 0 128000 100 727 45.196 3YR FALSE 1103599133 REDUCED XA1605DI_ARM-INTONLY 0 1170000 234000 100 668 29.872 3YR FALSE 1103599135 REDUCED XA0605D_ARM 0 0 0 56 764 38.203 3YR FALSE 1103599136 REDUCED XA1605DI_ARM-INTONLY 0 265000 53000 100 676 44.99 3YR FALSE 1103599137 REDUCED PA0605DI_ARM-INTONLY 0 377202 72989 96.76 723 29.7 3YR FALSE 1103599138 REDUCED XA1605DI_ARM-INTONLY 0 390000 58500 95 663 50.46 3YR FALSE 1103599139 REDUCED XA1605DI_ARM-INTONLY 0 217000 43400 100 652 44.67 3YR FALSE 1103599142 NINA XA1605DI_ARM-INTONLY 0 0 0 75 706 0 NO-PREPAY MI 1103599144 NINA XA1605DI_ARM-INTONLY 0 302040 60499 99.99 693 0 NO-PREPAY MI 1103599145 NINA XA1605DI_ARM-INTONLY 0 0 143000 100 746 0 3YR FALSE 1103599146 NO RATIO XA1605DI_ARM-INTONLY 0 302000 30200 90 757 0 3YR FALSE 1103599147 REDUCED XA1605DI_ARM-INTONLY 0 0 0 71.51 680 43.47 5YR FALSE 1103599148 SISA PA0605DI_ARM-INTONLY 0 339000 33900 90 702 49.04 NO-PREPAY MI 1103599149 SISA XA2605DI_ARM-INTONLY 0 520000 104000 100 620 42.3 3YR FALSE 1103599150 FULL/ALT XA2605DI_ARM-INTONLY 0 117450 23490 100 626 36.01 3YR FALSE 1103599151 REDUCED XA0605D_ARM 0 247990 49598 100 787 44.98 5YR FALSE 1103599152 REDUCED PA0605DI_ARM-INTONLY 0 0 0 56.45 714 24.71 5YR FALSE 1103599153 REDUCED XA1605DI_ARM-INTONLY 0 0 0 65 668 48.27 5YR FALSE 1103599155 REDUCED XA1605DI_ARM-INTONLY 0 255000 48200 100 669 18.54 3YR FALSE 1103599156 REDUCED PA0605DI_ARM-INTONLY 0 216780 43356 100 712 36.66 5YR FALSE 1103599157 REDUCED PA0605DI_ARM-INTONLY 0 282520 56504 100 750 44.45 5YR FALSE 1103599158 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 64.88 674 42.69 NO-PREPAY MI 1103599159 FULL/ALT XA0605D_ARM 0 237000 0 32.49 787 15.16 1YR FALSE 1103599160 REDUCED XA1605DI_ARM-INTONLY 0 129000 25800 100 642 39.89 3YR FALSE 1103599161 REDUCED PA0605DI_ARM-INTONLY 0 0 0 74.29 801 38.8 5YR FALSE 1103599162 REDUCED PA0605DI_ARM-INTONLY 0 250000 50000 100 697 47.99 3YR FALSE 1103599163 FULL/ALT PA0605DI_ARM-INTONLY 0 484000 72600 95 759 38.89 5YR FALSE 1103599164 REDUCED PA0605DI_ARM-INTONLY 0 241900 48380 100 696 38.84 NO-PREPAY MI 1103599165 FULL/ALT XA1605DI_ARM-INTONLY 0 325000 65000 90 650 34.48 3YR FALSE 1103599168 FULL/ALT XA2605DI_ARM-INTONLY 0 0 1798 66.01 632 29.17 3YR FALSE 1103599169 SISA XA0605D_ARM 0 197000 39400 100 682 39.249 NO-PREPAY MI 1103599170 REDUCED PA0605DI_ARM-INTONLY 0 414000 82800 100 764 34.795 3YR FALSE 1103599171 REDUCED PA0605EI_ARM-INTONLY 6 0 800 85 701 38.034 3YR FALSE 1103599172 REDUCED XA0605D_ARM 0 140000 35000 95 698 41.737 2YR FALSE 1103599173 FULL/ALT PA0605DI_ARM-INTONLY 0 403500 52455 93 769 44.012 3YR FALSE 1103599174 REDUCED PA0605DI_ARM-INTONLY 0 357500 71500 100 686 47.21 1YR FALSE 1103599175 REDUCED PA0605DI_ARM-INTONLY 0 575000 115000 100 686 48.654 2YR FALSE 1103599176 REDUCED XA1605DI_ARM-INTONLY 0 0 4446 48.01 654 35.271 3YR FALSE 1103599178 REDUCED XA1605DI_ARM-INTONLY 0 265900 39885 95 660 44.237 3YR FALSE 1103599179 REDUCED XA1605DI_ARM-INTONLY 0 380000 76000 100 642 48.401 3YR FALSE 1103599180 REDUCED XA1605D_ARM 0 0 0 80 659 34.367 3YR FALSE 1103599181 REDUCED PA0605DI_ARM-INTONLY 0 330000 33000 90 768 33.171 1YR FALSE 1103599183 SISA XA1605DI_ARM-INTONLY 0 312000 62400 100 661 43.905 1YR FALSE 1103599184 REDUCED XA1605D_ARM 0 0 852 57.01 660 33.154 3YR FALSE 1103599185 REDUCED PA0605DI_ARM-INTONLY 0 203000 30450 95 785 37.74 2YR FALSE 1103599186 SISA PA0605DI_ARM-INTONLY 0 0 1865 29.01 705 0 3YR FALSE 1103599187 REDUCED PA0605DI_ARM-INTONLY 0 250000 50000 90 793 45.442 1YR FALSE 1103599188 REDUCED PA0605DI_ARM-INTONLY 0 395000 79000 100 781 45.143 NO-PREPAY MI 1103599191 SISA XA2605D_ARM 0 0 5203 43.01 631 47.678 6MO FALSE 1103599194 SISA PA0605DI_ARM-INTONLY 0 485000 97000 100 697 49.057 3YR FALSE 1103599195 REDUCED PA0605DI_ARM-INTONLY 0 370090 0 80 786 48.026 3YR FALSE 1103599196 REDUCED XA1605D_ARM 0 175000 35000 100 655 47.541 NO-PREPAY MI 1103599197 REDUCED XA0605D_ARM 0 0 20800 90 700 44.483 3YR FALSE 1103599199 SISA PA0605DI_ARM-INTONLY 0 425000 85000 100 786 46.115 2YR FALSE 1103599202 SISA XA1605DI_ARM-INTONLY 0 0 5786 42.01 653 42.672 6MO FALSE 1103599203 REDUCED PA0605DI_ARM-INTONLY 0 152400 30480 100 715 34.007 3YR FALSE 1103599204 NINA XA1605DI_ARM-INTONLY 0 0 612 59.01 744 0 1YR FALSE 1103599205 REDUCED PA0605DI_ARM-INTONLY 0 0 0 80 712 34.868 2YR FALSE 1103599206 REDUCED XA1605DI_ARM-INTONLY 0 0 0 70 656 48.724 3YR FALSE 1103599208 REDUCED PA0605DI_ARM-INTONLY 0 0 0 60 724 30.686 3YR FALSE 1103599209 FULL/ALT XA1605D_ARM 0 197645 39529 100 661 29.892 2YR FALSE 1103599211 NINA XA1605D_ARM 0 0 2040 17.01 811 0 6MO FALSE 1103599212 REDUCED XA2605DI_ARM-INTONLY 0 0 500 55 623 45.535 3YR FALSE 1103599213 SISA PA0605DI_ARM-INTONLY 0 312000 62400 100 737 48.833 3YR FALSE 1103599215 REDUCED PA0605DI_ARM-INTONLY 0 0 0 70 744 41.744 NO-PREPAY MI 1103599216 SISA PA0605DI_ARM-INTONLY 0 0 64500 95 762 47.849 3YR FALSE 1103599217 REDUCED PA0605DI_ARM-INTONLY 0 0 26104 86.01 721 22.748 1YR FALSE 1103599218 SISA PA0605DI_ARM-INTONLY 0 269900 53980 100 707 49.963 3YR FALSE 1103599219 SISA PA0605DI_ARM-INTONLY 0 302000 61004 100 685 47.171 3YR FALSE 1103599220 REDUCED XA1605D_ARM 0 0 5415 22.01 678 30.01 3YR FALSE 1103599221 NINA XA1605DI_ARM-INTONLY 0 253157 0 80 703 0 2YR FALSE 1103599222 REDUCED PA0605DI_ARM-INTONLY 0 270000 54000 90 793 48.422 1YR FALSE 1103599224 REDUCED PA0605DI_ARM-INTONLY 0 251000 0 80 767 40.426 1YR FALSE 1103599226 FULL/ALT XA0605D_ARM 0 147000 29400 100 682 48.121 3YR FALSE 1103599228 SISA XA1605DI_ARM-INTONLY 0 0 516 75.01 660 35.163 2YR FALSE 1103599229 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 70 697 44.303 3YR FALSE 1103599230 SISA XA0605D_ARM 0 217000 43400 100 693 45.119 NO-PREPAY MI 1103599231 REDUCED PA0605DI_ARM-INTONLY 0 309000 61800 100 778 45.15 3YR FALSE 1103599233 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 80 653 49.554 3YR FALSE 1103599234 REDUCED XA0605D_ARM 0 206700 41340 100 740 29.665 NO-PREPAY MI 1103599235 SISA PA0605DI_ARM-INTONLY 0 590000 118000 100 728 41.435 3YR FALSE 1103599236 SISA XA1605DI_ARM-INTONLY 0 0 16250 85 667 40.467 1YR FALSE 1103599237 FULL/ALT XA1605DI_ARM-INTONLY 0 0 1062 69.01 662 43.991 1YR FALSE 1103599238 NO RATIO XA1605D_ARM 0 185000 46250 95 670 0 NO-PREPAY MI 1103599239 NINA XA1605DI_ARM-INTONLY 0 0 0 70 671 0 3YR FALSE 1103599240 REDUCED PA0605DI_ARM-INTONLY 0 0 0 80 714 31.802 2YR FALSE 1103599242 REDUCED PA0605DI_ARM-INTONLY 0 183933 27590 95 806 40.071 3YR FALSE 1103599243 REDUCED XA1605DI_ARM-INTONLY 0 495000 99000 100 673 49.671 2YR FALSE 1103599244 REDUCED PA0605DI_ARM-INTONLY 0 340000 34000 90 716 21.38 3YR FALSE 1103599245 REDUCED XA1605DI_ARM-INTONLY 0 304000 60800 100 655 43.962 3YR FALSE 1103599246 NO RATIO XA1605D_ARM 0 583150 0 51.45 651 0 3YR FALSE 1103599249 REDUCED PA0605DI_ARM-INTONLY 0 263000 52600 100 753 25.029 3YR FALSE 1103599250 REDUCED PA0605DI_ARM-INTONLY 0 0 0 80 765 41.067 3YR FALSE 1103599252 REDUCED TB1630_BALLOON 0 0 0 88 642 39.63 3YR FALSE 1103599263 SISA PA0607EI_ARM-INTONLY 0 399000 79800 100 754 43.02 3YR FALSE 1103599273 REDUCED TB0630I_BALLOON-INTONLY 0 512000 0 100 706 50 3YR FALSE 1103599324 REDUCED PF0630_FIXEDRATE 0 0 0 75.93 718 0 NO-PREPAY MI 1103599331 REDUCED PA3605E_ARM 0 0 0 80 610 48.97 1YR FALSE 1103599385 REDUCED PF1630_FIXEDRATE 0 295990 0 80 0 45 1YR FALSE 1103599397 NINA EF0630_FIXEDRATE 25 272595 0 90 719 1 NO-PREPAY MI 1103599421 FULL/ALT PA0605EI_ARM-INTONLY 0 930000 0 65 750 40 1YR FALSE 1103599470 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 669 0 NO-PREPAY MI 1103599486 NINA EA1605EI_ARM-INTONLY 0 0 0 69.14 681 1 3YR FALSE 1103599510 REDUCED PA1605EI_ARM-INTONLY 0 479000 95800 100 654 44.8 2YR FALSE 1103599512 REDUCED TB1630_BALLOON 0 479000 0 100 654 44.8 NO-PREPAY MI 1103599534 REDUCED PA2603EI_ARM-INTONLY 0 175000 35000 100 633 45 2YR FALSE 1103599535 REDUCED TB2630_BALLOON 0 175000 0 100 633 45 2YR FALSE 1103599545 REDUCED PA0605EI_ARM-INTONLY 0 570295 114050 100 784 40.4 NO-PREPAY MI 1103599549 REDUCED TB0630_BALLOON 0 570295 0 100 784 0 NO-PREPAY MI 1103599557 REDUCED PA0605EI_ARM-INTONLY 0 825000 165000 95 784 38.19 5YR TRUE 1103599561 REDUCED PA2603EI_ARM-INTONLY 0 0 70000 100 621 37.21 3YR FALSE 1103599562 REDUCED TF2615I_FIX-INTONLY 0 0 0 100 621 37.21 3YR FALSE 1103599569 NINA SF0630_FIXEDRATE 0 0 0 37.09 788 1 3YR FALSE 1103599606 REDUCED PA2605EI_ARM-INTONLY 0 0 0 67.82 626 39.19 2YR FALSE 1103599629 REDUCED TB1630_BALLOON 0 0 0 87.7 645 0 2YR FALSE 1103599637 FULL/ALT PA0605EI_ARM-INTONLY 0 420000 126000 100 777 43.33 2YR FALSE 1103599663 REDUCED PF0630I_FIX-INTONLY 0 156000 39000 95 730 28.88 NO-PREPAY MI 1103599664 REDUCED TB0630_BALLOON 0 156000 0 95 730 28.88 NO-PREPAY MI 1103599665 REDUCED PA1605EI_ARM-INTONLY 0 0 97500 100 655 38.83 3YR FALSE 1103599666 REDUCED TB1630_BALLOON 0 0 0 100 655 38.84 3YR FALSE 1103599686 REDUCED PA1605EI_ARM-INTONLY 0 215000 43000 100 666 35.99 1YR FALSE 1103599687 REDUCED TF1630_FIXEDRATE 0 215000 0 100 666 35.99 1YR FALSE 1103599693 REDUCED PA0603EI_ARM-INTONLY 0 0 0 73.28 711 19.21 1YR FALSE 1103599729 REDUCED PA1605EI_ARM-INTONLY 0 259000 51800 95 671 35.57 NO-PREPAY MI 1103599730 REDUCED TB1630_BALLOON 0 259000 0 95 671 35.57 NO-PREPAY MI 1103599742 REDUCED PA1402EI_ARM-INTONLY 22 0 0 85 646 49.91 NO-PREPAY MI 1103599752 REDUCED TB1630_BALLOON 0 0 0 90 651 39.39 3YR FALSE 1103599767 REDUCED PF1630_FIXEDRATE 0 285310 57062 100 640 38.06 3YR FALSE 1103599790 REDUCED PA0605EI_ARM-INTONLY 0 119900 23980 95 732 45 1YR FALSE 1103599791 REDUCED TB0630_BALLOON 0 119900 0 95 732 45 NO-PREPAY MI 1103599841 REDUCED PA0605EI_ARM-INTONLY 0 375000 75000 100 790 49.21 3YR FALSE 1103599860 REDUCED TB0630_BALLOON 0 375000 0 100 790 49.21 3YR FALSE 1103599914 REDUCED PA2603EI_ARM-INTONLY 0 460000 92000 100 629 41 3YR FALSE 1103599915 REDUCED TF2615I_FIX-INTONLY 0 460000 0 100 629 40.42 3YR FALSE 1103599920 REDUCED PA0603EI_ARM-INTONLY 0 0 0 73.28 711 19.2 1YR FALSE 1103599924 REDUCED PA0605EI_ARM-INTONLY 0 0 0 62.66 717 39.49 3YR FALSE 1103599934 REDUCED PA0605DI_ARM-INTONLY 0 0 99000 93.38 721 43.286 3YR TRUE 1103599935 FULL/ALT PA0605DI_ARM-INTONLY 0 435000 87000 100 701 47.08 NO-PREPAY MI 1103599936 REDUCED PA0605DI_ARM-INTONLY 0 0 0 59.02 767 43.48 NO-PREPAY MI 1103599937 NO RATIO BA1205DI_ARM-INTONLY 0 0 0 75 692 0 NO-PREPAY MI 1103599938 NO RATIO BA1205DI_ARM-INTONLY 0 0 200000 64.62 650 0 1YR TRUE 1103599939 REDUCED PA0605DI_ARM-INTONLY 0 332900 66580 100 688 47.068 NO-PREPAY MI 1103599940 REDUCED BA1205DI_ARM-INTONLY 0 0 0 80 679 45.34 3YR FALSE 1103599941 NO RATIO BA1205DI_ARM-INTONLY 0 0 50000 94.42 691 0 NO-PREPAY MI 1103599942 REDUCED PA0605DI_ARM-INTONLY 0 278400 55700 100 687 40.13 3YR TRUE 1103599943 REDUCED PA0605DI_ARM-INTONLY 0 0 0 63.87 707 44.96 3YR TRUE 1103599944 NO RATIO BA1205DI_ARM-INTONLY 0 0 0 51.73 749 0 NO-PREPAY MI 1103599945 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 74.39 722 40.385 NO-PREPAY MI 1103599946 NO RATIO BA1205DI_ARM-INTONLY 0 0 0 80 671 0 NO-PREPAY MI 1103599947 REDUCED PA0605DI_ARM-INTONLY 0 0 78000 90 696 46.18 NO-PREPAY MI 1103599948 REDUCED PA0605DI_ARM-INTONLY 0 355000 71000 100 760 30.53 NO-PREPAY MI 1103599949 NO RATIO BA1205DI_ARM-INTONLY 0 674220 140500 95 720 0 NO-PREPAY MI 1103599950 NINA BA1205DI_ARM-INTONLY 0 825000 0 41.1 737 0 NO-PREPAY MI 1103599951 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 57.22 802 47.31 3YR TRUE 1103599952 FULL/ALT PA0605DI_ARM-INTONLY 0 288000 57600 100 780 46.14 NO-PREPAY MI 1103599953 REDUCED BA1205DI_ARM-INTONLY 0 610000 193000 100 660 36.57 3YR TRUE 1103599954 FULL/ALT PA0605DI_ARM-INTONLY 0 0 72500 99.08 743 44.81 3YR TRUE 1103599955 REDUCED BA1205DI_ARM-INTONLY 0 351000 70200 100 675 47.66 3YR TRUE 1103599956 REDUCED BA1205DI_ARM-INTONLY 0 820000 88000 90 651 42.98 NO-PREPAY MI 1103599957 FULL/ALT PA0605DI_ARM-INTONLY 0 580000 145000 90 727 14.13 NO-PREPAY MI 1103599958 NO RATIO BA1205DI_ARM-INTONLY 0 195000 39000 100 646 0 NO-PREPAY MI 1103599963 REDUCED TB0630_BALLOON 0 169900 0 90 739 38.5 3YR FALSE 1103599970 SISA PA1605EI_ARM-INTONLY 0 214685 21500 90 675 49.03 NO-PREPAY MI 1103599995 REDUCED TB1630_BALLOON 0 0 0 90 640 41 3YR FALSE 1103600001 FULL/ALT PA0605EI_ARM-INTONLY 0 132681 0 70 726 45 NO-PREPAY MI 1103600009 REDUCED PA0605EI_ARM-INTONLY 0 0 93750 90 756 45.04 3YR FALSE 1103600010 REDUCED TB0630_BALLOON 0 0 0 90 756 45.04 3YR FALSE 1103600014 REDUCED PA1605EI_ARM-INTONLY 0 269000 26900 90 678 41.58 3YR FALSE 1103600052 FULL/ALT PA0607EI_ARM-INTONLY 0 0 0 59.89 755 53.98 NO-PREPAY MI 1103600093 REDUCED PB3640_BALLOON 0 0 0 57.52 613 43.26 1YR FALSE 1103600112 FULL/ALT PA0605E_ARM 0 0 0 65.37 766 41.28 NO-PREPAY MI 1103600113 REDUCED PA0605EI_ARM-INTONLY 0 575000 123000 100 751 37.02 NO-PREPAY MI 1103600114 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 74.47 635 48.97 NO-PREPAY MI 1103600115 REDUCED PA0605EI_ARM-INTONLY 0 540000 108000 100 780 44.58 NO-PREPAY MI 1103600116 REDUCED PA0605EI_ARM-INTONLY 0 222000 44400 100 725 33.31 NO-PREPAY MI 1103600118 REDUCED PA0605DI_ARM-INTONLY 0 510000 84500 95 720 48.65 NO-PREPAY MI 1103600120 REDUCED PA0605DI_ARM-INTONLY 0 514000 102800 100 806 40.31 NO-PREPAY MI 1103600121 REDUCED PA0605DI_ARM-INTONLY 0 0 56000 90 704 34.91 NO-PREPAY MI 1103600122 REDUCED XA0607DI_ARM-INTONLY 0 654932 130987 100 703 38.14 NO-PREPAY MI 1103600123 NO RATIO XA1607DI_ARM-INTONLY 0 620490 62000 89.98 677 0 NO-PREPAY MI 1103600124 REDUCED XA0607DI_ARM-INTONLY 0 400000 80000 100 690 36.77 NO-PREPAY MI 1103600126 REDUCED XA2607DI_ARM-INTONLY 0 0 0 28.47 628 32.52 NO-PREPAY MI 1103600127 REDUCED PA0605EI_ARM-INTONLY 0 720000 0 72.23 771 37.75 NO-PREPAY MI 1103600128 NO RATIO SA1605EI_ARM-INTONLY 0 604888 120977 100 688 0 3YR TRUE 1103600129 REDUCED PA0605EI_ARM-INTONLY 0 435000 87000 100 767 44.54 3YR TRUE 1103600131 REDUCED PA0605EI_ARM-INTONLY 0 670000 134000 100 774 36.42 3YR TRUE 1103600132 REDUCED PA0605EI_ARM-INTONLY 0 0 33200 88.39 690 38.77 3YR TRUE 1103600133 FULL/ALT PA0607EI_ARM-INTONLY 0 649000 129800 100 682 44.44 3YR TRUE 1103600134 REDUCED PA0607EI_ARM-INTONLY 0 0 0 75 664 39.15 3YR TRUE 1103600135 REDUCED PA0607EI_ARM-INTONLY 0 0 0 63.48 740 37.57 3YR FALSE 1103600136 REDUCED PA0607EI_ARM-INTONLY 0 344000 68800 100 738 44.83 3YR TRUE 1103600137 REDUCED XA0610DI_ARM-INTONLY 0 600000 120000 100 743 39.56 NO-PREPAY MI 1103600138 REDUCED XA1610DI_ARM-INTONLY 0 0 0 56.32 668 39.76 NO-PREPAY MI 1103600141 REDUCED PA2605EI_ARM-INTONLY 0 185000 37000 100 626 41.05 3YR FALSE 1103600204 REDUCED PF1630I_FIX-INTONLY 0 290000 58000 95 672 45.8 3YR FALSE 1103600205 REDUCED TB1630_BALLOON 0 290000 0 95 672 45.8 3YR FALSE 1103600210 REDUCED PA1605EI_ARM-INTONLY 0 0 56000 90 658 39.64 2YR FALSE 1103600230 REDUCED PA0605EI_ARM-INTONLY 0 0 50100 90 685 33.72 NO-PREPAY MI 1103600233 REDUCED PA2605EI_ARM-INTONLY 0 722500 108375 95 632 36 NO-PREPAY MI 1103600236 REDUCED PA0603EI_ARM-INTONLY 0 293550 88065 100 683 35.2 NO-PREPAY MI 1103600237 REDUCED TB0630_BALLOON 0 293550 0 100 683 31 NO-PREPAY MI 1103600240 REDUCED PA0607EI_ARM-INTONLY 0 585000 0 29.92 724 36.19 3YR FALSE 1103600245 FULL/ALT PA0602EI_ARM-INTONLY 0 295000 44250 95 685 45 NO-PREPAY MI 1103600255 REDUCED PA0605DI_ARM-INTONLY 0 639900 127980 100 697 42.44 NO-PREPAY MI 1103600267 REDUCED PA0605E_ARM 0 1100000 0 68.19 723 34.17 NO-PREPAY MI 1103600290 REDUCED TB0630_BALLOON 0 0 0 89.3 701 38.44 NO-PREPAY MI 1103600349 REDUCED TB1630_BALLOON 0 0 0 90 661 35.69 3YR FALSE 1103600364 REDUCED PA0603EI_ARM-INTONLY 0 0 123000 100 813 41.21 NO-PREPAY MI 1103600367 NINA SF2615_FIXEDRATE 0 0 0 14.56 669 1 1YR FALSE 1103600369 REDUCED PF2630I_FIX-INTONLY 0 207000 41400 100 638 49.55 2YR FALSE 1103600371 REDUCED TB2630_BALLOON 0 207000 0 100 638 44 2YR FALSE 1103600391 REDUCED PA0605EI_ARM-INTONLY 0 338303.58 67650 99.99 717 49 3YR FALSE 1103600404 REDUCED TB1630_BALLOON 0 0 0 90 644 39.82 1YR FALSE 1103600407 NINA SA2605EI_ARM-INTONLY 0 0 49800 90 652 0 3YR FALSE 1103600416 REDUCED PA0605EI_ARM-INTONLY 0 0 0 72 746 0 NO-PREPAY MI 1103600442 REDUCED PA0605EI_ARM-INTONLY 0 427368 85400 100 708 37.19 NO-PREPAY MI 1103600444 REDUCED PA1605EI_ARM-INTONLY 0 0 75750 95 664 50 6MO TRUE 1103600457 REDUCED PF0630_FIXEDRATE 0 0 0 68.19 719 33.84 2YR FALSE 1103600471 REDUCED PA0605EI_ARM-INTONLY 0 381243 76250 99.99 681 38.56 3YR FALSE 1103600473 REDUCED PA0605EI_ARM-INTONLY 0 0 400000 95.46 785 44.33 NO-PREPAY MI 1103600487 REDUCED PA0607EI_ARM-INTONLY 0 875000 225000 100 761 44.44 3YR FALSE 1103600488 REDUCED TB0630_BALLOON 0 875000 0 100 761 44.44 1YR FALSE 1103600509 REDUCED PA0605EI_ARM-INTONLY 0 315000 78750 95 709 32.32 1YR TRUE 1103600558 REDUCED XA0605DI_ARM-INTONLY 0 0 108000 90 687 32.44 3YR FALSE 1103600559 FULL/ALT XA1605DI_ARM-INTONLY 0 300000 60000 100 674 40.28 NO-PREPAY MI 1103600560 REDUCED XA1605D_ARM 0 322000 48300 95 672 23.33 NO-PREPAY MI 1103600561 NINA XA0605DI_ARM-INTONLY 0 360000 0 75 789 0 3YR TRUE 1103600562 REDUCED XA0605DI_ARM-INTONLY 0 584386 116877 99.99 721 38.57 3YR TRUE 1103600563 NO RATIO XA0605D_ARM 0 725000 0 80 686 0 NO-PREPAY MI 1103600564 NO RATIO XA1605D_ARM 0 290000 58000 100 675 0 NO-PREPAY MI 1103600565 REDUCED XA0605DI_ARM-INTONLY 0 425000 85000 100 683 43.52 NO-PREPAY MI 1103600566 NO RATIO XA1605DI_ARM-INTONLY 0 370000 74000 100 644 0 3YR TRUE 1103600567 NO RATIO XA1605DI_ARM-INTONLY 0 0 0 70 640 0 NO-PREPAY MI 1103600568 REDUCED XA0605DI_ARM-INTONLY 0 1470000 323400 90 710 40.01 1YR TRUE 1103600569 REDUCED XA1605DI_ARM-INTONLY 0 0 118503 100 673 40.29 NO-PREPAY MI 1103600570 REDUCED XA0605DI_ARM-INTONLY 0 0 0 66.67 735 38.63 NO-PREPAY MI 1103600571 NINA XA1605DI_ARM-INTONLY 0 0 0 78 676 0 3YR TRUE 1103600572 NO RATIO XA0605DI_ARM-INTONLY 0 450931 67640 95 789 0 3YR TRUE 1103600573 FULL/ALT XA2605DI_ARM-INTONLY 0 0 49800 95 635 47.19 1YR TRUE 1103600574 NO RATIO XA2605DI_ARM-INTONLY 0 258500 51700 100 630 0 NO-PREPAY MI 1103600575 REDUCED XA0605DI_ARM-INTONLY 0 0 0 80 724 35.4 NO-PREPAY MI 1103600576 REDUCED XA2605DI_ARM-INTONLY 0 539539 134939 100 636 44.48 3YR TRUE 1103600577 NO RATIO XA1605DI_ARM-INTONLY 0 516000 103200 100 650 0 3YR TRUE 1103600578 NO RATIO XA0605D_ARM 0 0 0 80 681 0 NO-PREPAY MI 1103600579 REDUCED XA1605DI_ARM-INTONLY 0 554000 110800 100 660 34.97 3YR TRUE 1103600580 REDUCED XA0605DI_ARM-INTONLY 0 785000 157000 100 766 42.22 NO-PREPAY MI 1103600581 NO RATIO XA0605DI_ARM-INTONLY 0 530534 113534 100 717 0 NO-PREPAY MI 1103600582 NO RATIO XA0605DI_ARM-INTONLY 0 594074 89111 94.99 791 0 NO-PREPAY MI 1103600590 REDUCED PF0630_FIXEDRATE 0 103181 20636 100 750 33.26 3YR FALSE 1103600593 REDUCED TB0630_BALLOON 0 103181 0 100 750 33.26 NO-PREPAY MI 1103600597 REDUCED PA0605EI_ARM-INTONLY 0 612810 153200 100 729 50.12 NO-PREPAY MI 1103600625 REDUCED PA0605E_ARM 0 2115000 400000 89.84 703 36.36 NO-PREPAY MI 1103600626 REDUCED PA0605EI_ARM-INTONLY 0 565000 197750 100 682 44.49 NO-PREPAY MI 1103600628 REDUCED BA1202EI_ARM-INTONLY 0 460000 161000 100 680 43.29 NO-PREPAY MI 1103600629 FULL/ALT BA1202E_ARM 0 70000 17500 100 669 52.19 1YR TRUE 1103600630 REDUCED PA1602EI_ARM-INTONLY 0 0 187500 100 670 59.53 NO-PREPAY MI 1103600631 REDUCED PL1602E_ARM-BALLOON 0 540750 189263 100 642 42.13 NO-PREPAY MI 1103600632 NO RATIO SA1603EI_ARM-INTONLY 0 412000 123600 95 691 0 NO-PREPAY MI 1103600633 FULL/ALT PA1603EI_ARM-INTONLY 0 0 39750 95 668 55.12 NO-PREPAY MI 1103600635 FULL/ALT PL0603E_ARM-BALLOON 0 380000 76000 100 682 41.47 3YR TRUE 1103600636 NO RATIO SA2603EI_ARM-INTONLY 0 278610 83583 95 667 0 NO-PREPAY MI 1103600639 REDUCED PA1603EI_ARM-INTONLY 0 439000 87800 100 668 54.16 NO-PREPAY MI 1103600642 REDUCED PA2605E_ARM 0 300000 75000 90 627 40.41 NO-PREPAY MI 1103600643 REDUCED BA1205EI_ARM-INTONLY 0 270000 54000 100 666 43.7 2YR TRUE 1103600644 NO RATIO SA2605EI_ARM-INTONLY 0 0 92000 88.09 625 0 NO-PREPAY MI 1103600648 FULL/ALT PL1605E_ARM-BALLOON 0 0 64800 100 683 29.78 3YR TRUE 1103600649 NO RATIO SL2605E_ARM-BALLOON 0 0 86000 100 667 0 NO-PREPAY MI 1103600652 FULL/ALT PA1605EI_ARM-INTONLY 0 785000 196250 90 679 45.87 NO-PREPAY MI 1103600654 NINA BL1205E_ARM-BALLOON 0 384900 76980 100 742 0 NO-PREPAY MI 1103600655 REDUCED PA0605EI_ARM-INTONLY 0 0 128000 85 682 30.48 NO-PREPAY MI 1103600656 REDUCED PL1605E_ARM-BALLOON 0 160000 32000 100 665 42.06 2YR TRUE 1103600659 REDUCED PL1605E_ARM-BALLOON 0 0 90000 93 668 50.46 1YR TRUE 1103600677 REDUCED PF2630_FIXEDRATE 0 0 0 64.89 622 44.16 3YR FALSE 1103600683 REDUCED PA2605EI_ARM-INTONLY 0 139950 35000 99.97 634 31.04 3YR FALSE 1103600684 REDUCED TB2630_BALLOON 0 139950 0 99.97 634 31.04 3YR FALSE 1103600693 REDUCED PA1605EI_ARM-INTONLY 0 389000 58350 90 677 1 1YR FALSE 1103600700 REDUCED PF3630_FIXEDRATE 0 0 0 80 621 48 NO-PREPAY MI 1103600779 SISA PA0605EI_ARM-INTONLY 0 0 0 71.25 745 49.99 1YR FALSE 1103600785 SISA PA0605EI_ARM-INTONLY 0 750000 0 75 788 34.92 3YR TRUE 1103600792 FULL/ALT PF0630_FIXEDRATE 0 0 0 33.34 705 39.03 3YR FALSE 1103600794 NO RATIO SA2602E_ARM 0 0 0 58.14 675 46 NO-PREPAY MI 1103600812 REDUCED PA0605EI_ARM-INTONLY 0 880000 176000 100 702 0 3YR FALSE 1103600856 REDUCED PA1605EI_ARM-INTONLY 0 584000 116800 100 659 44 2YR FALSE 1103600884 REDUCED PF0630_FIXEDRATE 0 0 0 50.34 753 37.13 3YR FALSE 1103600901 REDUCED TB0630_BALLOON 0 0 0 85 749 32.79 3YR FALSE 1103600935 FULL/ALT PA0603EI_ARM-INTONLY 0 650000 130000 95 686 44.07 1YR FALSE 1103601017 REDUCED PA2605EI_ARM-INTONLY 0 0 137500 95 625 40.46 2YR FALSE 1103601043 REDUCED PA1605EI_ARM-INTONLY 0 0 58500 95 657 0 2YR FALSE 1103601050 REDUCED PA1605EI_ARM-INTONLY 0 575000 115000 100 663 42.8 2YR FALSE 1103601052 REDUCED TB1630_BALLOON 0 575000 0 100 663 42.8 2YR FALSE 1103601055 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 78.49 628 40.32 3YR TRUE 1103601060 REDUCED TF0630_FIXEDRATE 0 0 0 84.56 703 39.97 NO-PREPAY MI 1103601073 NINA SA1605EI_ARM-INTONLY 0 0 0 80 710 0 5YR FALSE 1103601100 REDUCED PF0630_FIXEDRATE 0 890000 178000 95 720 36.66 3YR FALSE 1103601103 REDUCED TB0630_BALLOON 0 890000 0 95 720 36.66 NO-PREPAY MI 1103601105 REDUCED PF0630I_FIX-INTONLY 0 1500000 350000 90 717 45.92 5YR TRUE 1103601108 REDUCED PA1605EI_ARM-INTONLY 0 462322.3 0 73.4 673 49 NO-PREPAY MI 1103601139 NINA SF1630_FIXEDRATE 0 0 0 74.08 789 1 1YR FALSE 1103601155 NINA SA1605E_ARM 0 0 0 69.02 693 0 3YR FALSE 1103601164 NINA SF3630_FIXEDRATE 0 0 0 80 621 1 3YR FALSE 1103601181 REDUCED PA0605EI_ARM-INTONLY 0 778978 0 80 693 46.83 NO-PREPAY MI 1103601203 REDUCED PF0630I_FIX-INTONLY 0 0 0 63 796 31.82 1YR TRUE 1103601204 REDUCED PA0603EI_ARM-INTONLY 22 0 0 85 731 42.28 3YR FALSE 1103601213 REDUCED PF0630_FIXEDRATE 0 0 0 71.43 717 28.55 3YR FALSE 1103601219 REDUCED PA2605EI_ARM-INTONLY 0 850000 170000 95 634 43.6 3YR FALSE 1103601258 REDUCED PA2605EI_ARM-INTONLY 0 0 58000 99.87 621 49.46 2YR FALSE 1103601274 REDUCED TF1630_FIXEDRATE 0 581989 0 90 658 38.28 3YR FALSE 1103601277 SISA PA0605EI_ARM-INTONLY 0 222000 66600 100 733 41.42 1YR FALSE 1103601286 REDUCED TB0630_BALLOON 0 0 0 90 682 38.36 3YR FALSE 1103601334 REDUCED PA0605EI_ARM-INTONLY 0 146900 29380 90 756 45 1YR FALSE 1103601335 REDUCED TB0630_BALLOON 0 146900 0 90 756 45 1YR FALSE 1103601361 REDUCED TB2630_BALLOON 0 185000 0 100 626 41.05 3YR FALSE 1103601414 REDUCED PA0605EI_ARM-INTONLY 0 328410 0 80 795 37.49 3YR FALSE 1103601449 FULL/ALT PA1607EI_ARM-INTONLY 0 0 0 70.96 678 30.02 NO-PREPAY MI 1103601451 NINA SA0605EI_ARM-INTONLY 0 0 0 70 710 1 3YR FALSE 1103601465 NINA SA2605EI_ARM-INTONLY 0 0 0 62.97 639 1 1YR FALSE 1103601514 REDUCED PL3605E_ARM-BALLOON 0 0 0 76.99 605 44.54 3YR FALSE 1103601561 REDUCED PA0605EI_ARM-INTONLY 0 570000 114000 95 772 42.21 3YR FALSE 1103601571 REDUCED PF1630_FIXEDRATE 0 420000 0 69.05 662 43 3YR FALSE 1103601603 SISA PA0605E_ARM 0 0 0 45.79 691 41 3YR TRUE 1103601643 SISA PF0630_FIXEDRATE 0 0 0 63.16 702 0 3YR FALSE 1103601676 REDUCED PA0603EI_ARM-INTONLY 0 273990 68497 95 690 48.66 NO-PREPAY MI 1103601677 REDUCED TB0630_BALLOON 0 273990 0 95 690 48.66 NO-PREPAY MI 1103601679 REDUCED PA0605EI_ARM-INTONLY 0 0 99000 100 711 44.47 NO-PREPAY MI 1103601682 REDUCED PA0605EI_ARM-INTONLY 0 395000 79000 100 781 42.91 1YR FALSE 1103601683 REDUCED TB0630I_BALLOON-INTONLY 0 395000 0 100 781 42.91 1YR FALSE 1103601689 NINA EA2605E_ARM 22 195000 0 85 667 1 3YR FALSE 1103601707 REDUCED XA0610E_ARM 0 0 0 45.51 686 18.28 NO-PREPAY MI 1103601708 REDUCED XA0610E_ARM 0 0 0 28.14 686 18.28 NO-PREPAY MI 1103601709 REDUCED XA0610E_ARM 0 0 0 24.96 686 18.02 NO-PREPAY MI 1103601710 REDUCED XA1610EI_ARM-INTONLY 0 0 78000 85.27 652 36.79 NO-PREPAY MI 1103601711 FULL/ALT XA0610EI_ARM-INTONLY 0 0 0 76.93 718 40.93 NO-PREPAY MI 1103601712 REDUCED XA0610EI_ARM-INTONLY 0 1200000 240000 90 717 48.33 NO-PREPAY MI 1103601713 NO RATIO BA0210EI_ARM-INTONLY 0 0 149988 97.24 753 0 NO-PREPAY MI 1103601714 REDUCED XA0607DI_ARM-INTONLY 0 0 0 49.61 780 26.1 NO-PREPAY MI 1103601715 REDUCED XA0607DI_ARM-INTONLY 0 490000 0 80 789 35.49 NO-PREPAY MI 1103601716 REDUCED PA0607E_ARM 0 1035000 0 80 783 33.73 NO-PREPAY MI 1103601717 REDUCED PA0607EI_ARM-INTONLY 0 1250000 0 80 721 47.79 NO-PREPAY MI 1103601718 REDUCED PA0607EI_ARM-INTONLY 0 1052694 200000 98.99 698 35.58 NO-PREPAY MI 1103601719 FULL/ALT PA0607E_ARM 0 715000 150000 89.52 816 20.51 NO-PREPAY MI 1103601721 FULL/ALT PA0607EI_ARM-INTONLY 0 925000 77000 86.71 778 42.28 NO-PREPAY MI 1103601722 REDUCED PA0607EI_ARM-INTONLY 0 0 100000 81.25 771 38.15 NO-PREPAY MI 1103601723 REDUCED PA0607EI_ARM-INTONLY 0 510000 0 80 770 48.29 NO-PREPAY MI 1103601724 REDUCED PA1607EI_ARM-INTONLY 0 770000 0 65 674 36.02 NO-PREPAY MI 1103601730 REDUCED XA0605DI_ARM-INTONLY 0 950054 0 73.69 744 42.08 NO-PREPAY MI 1103601731 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 65.23 694 41.82 NO-PREPAY MI 1103601732 REDUCED PA0605EI_ARM-INTONLY 0 385000 38500 90 735 32.15 NO-PREPAY MI 1103601733 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 703 29.62 NO-PREPAY MI 1103601734 REDUCED PA0605EI_ARM-INTONLY 0 415000 83000 100 691 46.9 NO-PREPAY MI 1103601735 REDUCED PA0605EI_ARM-INTONLY 0 0 0 31.58 714 35.52 NO-PREPAY MI 1103601736 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 27.49 762 0 NO-PREPAY MI 1103601737 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 683 39.9 NO-PREPAY MI 1103601738 SISA PA0605EI_ARM-INTONLY 0 645000 129000 100 731 44.79 NO-PREPAY MI 1103601739 REDUCED PA0605EI_ARM-INTONLY 0 450000 90000 100 691 45.5 NO-PREPAY MI 1103601740 REDUCED PA0605EI_ARM-INTONLY 0 274900 55000 100 681 38.29 NO-PREPAY MI 1103601741 REDUCED PA0605EI_ARM-INTONLY 0 325000 65000 100 715 37.52 NO-PREPAY MI 1103601742 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 28 775 27.23 NO-PREPAY MI 1103601743 REDUCED PA2605EI_ARM-INTONLY 0 0 0 25.13 626 26.1 NO-PREPAY MI 1103601744 FULL/ALT PA1605EI_ARM-INTONLY 0 465000 69750 95 641 45.5 NO-PREPAY MI 1103601745 REDUCED PA0605EI_ARM-INTONLY 0 585000 117000 100 700 39.02 NO-PREPAY MI 1103601746 REDUCED PA0605EI_ARM-INTONLY 0 365000 73000 100 682 43.73 NO-PREPAY MI 1103601747 REDUCED PA1605EI_ARM-INTONLY 0 0 72974 91.77 669 39.48 NO-PREPAY MI 1103601749 REDUCED PA0605EI_ARM-INTONLY 0 0 100000 99.01 747 33.13 NO-PREPAY MI 1103601750 FULL/ALT PA0605EI_ARM-INTONLY 0 400000 80000 100 718 41.83 NO-PREPAY MI 1103601751 FULL/ALT PA0605EI_ARM-INTONLY 0 387000 77400 100 708 41.52 NO-PREPAY MI 1103601752 REDUCED BA1205EI_ARM-INTONLY 0 1229164 245218 99.74 680 37.31 NO-PREPAY MI 1103601753 REDUCED PA0605EI_ARM-INTONLY 0 455000 91000 100 719 38.44 NO-PREPAY MI 1103601773 REDUCED TB1630_BALLOON 0 0 0 87 658 35.16 NO-PREPAY MI 1103601778 REDUCED PA0605EI_ARM-INTONLY 0 1052000 315600 100 692 44 1YR TRUE 1103601779 REDUCED TB0630_BALLOON 0 1052000 0 100 692 38.84 NO-PREPAY MI 1103601840 SISA PF0630I_FIX-INTONLY 0 115000 34500 100 732 20.03 NO-PREPAY MI 1103601920 REDUCED PF0630_FIXEDRATE 0 175000 0 75 693 0 3YR FALSE 1103601944 REDUCED PF0630_FIXEDRATE 0 165000 24750 90 717 1 2YR FALSE 1103601949 REDUCED TB0630_BALLOON 0 778978 0 99.99 693 46.83 NO-PREPAY MI 1103601987 REDUCED PA0605EI_ARM-INTONLY 0 1105000 0 50.19 811 41.98 NO-PREPAY MI 1103602027 REDUCED PA0605EI_ARM-INTONLY 0 1700000 255000 85 708 0 2YR FALSE 1103602031 REDUCED PA0605EI_ARM-INTONLY 0 0 0 63.3 695 42 1YR TRUE 1103602040 REDUCED PA0605EI_ARM-INTONLY 0 660000 0 70 695 50.15 NO-PREPAY MI 1103602057 REDUCED TB1630_BALLOON 0 0 0 90 665 37.79 3YR FALSE 1103602063 NINA SA2607EI_ARM-INTONLY 0 0 0 72.99 664 0 2YR FALSE 1103602065 REDUCED PA1603EI_ARM-INTONLY 0 910000 0 53.3 677 33 6MO FALSE 1103602215 REDUCED TB1630_BALLOON 0 0 0 95 680 40.42 3YR FALSE 1103602221 REDUCED PF0630I_FIX-INTONLY 0 0 39500 93.63 712 32.98 NO-PREPAY MI 1103602222 REDUCED TB0630_BALLOON 0 0 0 93.63 712 32.98 NO-PREPAY MI 1103602264 NINA SA2605EI_ARM-INTONLY 0 0 0 79 650 1 3YR FALSE 1103602276 REDUCED PA1605EI_ARM-INTONLY 0 220000 44000 95 676 32.63 NO-PREPAY MI 1103602277 REDUCED TB1630_BALLOON 0 220000 0 95 676 32.63 NO-PREPAY MI 1103602295 REDUCED PA0605EI_ARM-INTONLY 0 449900 112500 100 784 0 2YR FALSE 1103602299 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 696 42.27 1YR FALSE 1103602334 REDUCED TB0630_BALLOON 0 0 0 90 705 0 3YR FALSE 1103602347 NINA SF0630I_FIX-INTONLY 0 890000 267000 100 682 47.67 NO-PREPAY MI 1103602349 SISA PA0603EI_ARM-INTONLY 0 315000 94500 100 709 43.8 3YR FALSE 1103602372 FULL/ALT PA0605EI_ARM-INTONLY 0 440000 88000 100 786 47.96 1YR FALSE 1103602384 REDUCED PA0605EI_ARM-INTONLY 0 500000 100000 100 717 37.66 2YR FALSE 1103602396 REDUCED TB0630_BALLOON 0 135000 0 90 757 49 NO-PREPAY MI 1103602397 REDUCED TF1630I_FIX-INTONLY 0 0 0 90 646 37.84 3YR FALSE 1103602403 REDUCED PA1605EI_ARM-INTONLY 0 0 62000 95 679 50 1YR FALSE 1103602410 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 678 22.3 NO-PREPAY MI 1103602435 REDUCED PA0605EI_ARM-INTONLY 0 650000 130000 100 756 49.35 3YR FALSE 1103602436 REDUCED TB0630_BALLOON 0 650000 0 100 756 49.19 3YR FALSE 1103602442 REDUCED PF0630_FIXEDRATE 0 0 0 51.86 748 44.53 NO-PREPAY MI 1103602449 REDUCED PA1605EI_ARM-INTONLY 0 530000 106000 100 665 39.57 6MO FALSE 1103602450 REDUCED TB1630_BALLOON 0 530000 0 100 665 40 6MO FALSE 1103602453 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.34 756 31.56 NO-PREPAY MI 1103602454 FULL/ALT TB0630_BALLOON 0 650000 0 95 686 44.7 1YR FALSE 1103602479 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 709 31.35 1YR FALSE 1103602500 REDUCED TB1630_BALLOON 0 0 0 90 658 39.78 3YR FALSE 1103602533 REDUCED PF0630I_FIX-INTONLY 0 0 0 70 702 31.36 1YR FALSE 1103602543 REDUCED PA1605E_ARM 0 0 0 75.64 661 46.44 5YR FALSE 1103602544 NINA XA2605D_ARM 0 0 0 78.23 631 0 3YR FALSE 1103602545 REDUCED PA0605E_ARM 0 274000 54800 100 712 45.68 3YR FALSE 1103602546 REDUCED PA2605EI_ARM-INTONLY 0 234000 46800 100 625 45.107 5YR FALSE 1103602548 REDUCED PA2605EI_ARM-INTONLY 0 185000 37000 100 624 44.94 3YR FALSE 1103602550 FULL/ALT PA2605EI_ARM-INTONLY 0 0 60000 95 625 46.2 3YR FALSE 1103602551 NINA SA0605EI_ARM-INTONLY 0 0 0 69.55 688 0 2YR FALSE 1103602553 REDUCED PA0605EI_ARM-INTONLY 0 550000 137500 95 684 43.88 3YR FALSE 1103602554 REDUCED PA0605EI_ARM-INTONLY 0 0 95000 100 699 41.66 3YR FALSE 1103602555 NO RATIO SA2603EI_ARM-INTONLY 0 450000 90000 100 621 0 3YR FALSE 1103602556 NINA SA1605E_ARM 0 290000 0 67.94 775 35.49 3YR FALSE 1103602558 NO RATIO SA0605EI_ARM-INTONLY 0 257500 51500 100 794 0 3YR FALSE 1103602559 REDUCED PA0605EI_ARM-INTONLY 0 245000 49000 100 745 43.97 3YR FALSE 1103602560 REDUCED PA0607EI_ARM-INTONLY 0 0 0 80 729 28.86 3YR FALSE 1103602561 REDUCED PA0605E_ARM 0 0 0 74.82 785 22.86 3YR FALSE 1103602562 REDUCED PA0605EI_ARM-INTONLY 0 900000 0 77.78 791 35.08 2YR FALSE 1103602563 REDUCED PA0605EI_ARM-INTONLY 0 260000 52000 100 715 43.11 3YR FALSE 1103602564 NINA SA1605EI_ARM-INTONLY 0 404000 0 43.32 788 0 6MO FALSE 1103602565 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 719 40.55 3YR FALSE 1103602566 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 76.48 742 45.25 3YR FALSE 1103602567 REDUCED PA0605EI_ARM-INTONLY 0 0 48900 91.79 750 44.3 3YR FALSE 1103602568 REDUCED PA1605EI_ARM-INTONLY 0 0 0 73.42 675 48.44 3YR FALSE 1103602569 FULL/ALT PA2605EI_ARM-INTONLY 0 765000 153000 100 621 44.22 3YR FALSE 1103602570 REDUCED PA0605EI_ARM-INTONLY 0 0 50000 83.07 751 37.41 3YR FALSE 1103602604 REDUCED PA1605EI_ARM-INTONLY 0 525000 157500 100 668 47.51 3YR FALSE 1103602657 NINA SF2630I_FIX-INTONLY 0 0 0 34.18 621 0 NO-PREPAY MI 1103602764 NO RATIO SA2605EI_ARM-INTONLY 0 470000 94000 100 665 1 5YR FALSE 1103602776 REDUCED TB0630_BALLOON 0 143000 0 100 733 0 1YR FALSE 1103602780 FULL/ALT PF1630_FIXEDRATE 0 240000 0 80 0 40.8 NO-PREPAY MI 1103602796 REDUCED PA0607EI_ARM-INTONLY 0 135000 20250 95 777 19.88 NO-PREPAY MI 1103602801 REDUCED TB0630_BALLOON 0 135000 0 95 777 19.88 NO-PREPAY MI 1103602816 REDUCED TB1630_BALLOON 0 0 0 85 654 39.4 3YR FALSE 1103602821 REDUCED PA2603EI_ARM-INTONLY 0 410000 82000 100 627 36.99 3YR FALSE 1103602837 FULL/ALT XA0605DI_ARM-INTONLY 0 455000 0 80 716 48.31 NO-PREPAY MI 1103602840 FULL/ALT XA0605DI_ARM-INTONLY 0 330000 0 74.25 682 44.53 NO-PREPAY MI 1103602841 REDUCED XA0605DI_ARM-INTONLY 0 0 0 78.65 686 30.16 NO-PREPAY MI 1103602842 REDUCED PA0605EI_ARM-INTONLY 0 567500 0 80 791 44.71 NO-PREPAY MI 1103602843 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 655 31.09 NO-PREPAY MI 1103602844 SISA PA0605EI_ARM-INTONLY 0 289000 57800 100 736 49.07 NO-PREPAY MI 1103602845 REDUCED PA0605EI_ARM-INTONLY 0 405000 81000 100 754 43.79 NO-PREPAY MI 1103602846 REDUCED PA0605EI_ARM-INTONLY 0 420000 84000 100 757 38.54 NO-PREPAY MI 1103602847 REDUCED PA0605EI_ARM-INTONLY 0 0 52000 94.86 756 40.07 NO-PREPAY MI 1103602848 REDUCED PA0605EI_ARM-INTONLY 0 283000 56600 100 708 43.93 NO-PREPAY MI 1103602849 FULL/ALT PA0605EI_ARM-INTONLY 0 475000 95000 100 685 46.45 NO-PREPAY MI 1103602850 REDUCED PA0605EI_ARM-INTONLY 0 510000 51000 90 705 27.7 NO-PREPAY MI 1103602851 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 676 39.94 NO-PREPAY MI 1103602852 REDUCED PA0605EI_ARM-INTONLY 0 369000 18450 85 777 39.02 NO-PREPAY MI 1103602853 NINA SA1605EI_ARM-INTONLY 0 0 0 70 684 0 NO-PREPAY MI 1103602855 SISA PA0605EI_ARM-INTONLY 0 0 0 54.87 735 49.44 NO-PREPAY MI 1103602856 REDUCED PA0605EI_ARM-INTONLY 0 322000 64400 100 780 38.82 NO-PREPAY MI 1103602857 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 628 42.48 3YR FALSE 1103602858 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 75.51 628 44.51 NO-PREPAY MI 1103602859 FULL/ALT PA2605EI_ARM-INTONLY 0 165000 33000 100 650 46.91 NO-PREPAY MI 1103602860 REDUCED PA0605EI_ARM-INTONLY 0 409990 82000 100 700 41.58 NO-PREPAY MI 1103602867 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 633 46.05 3YR FALSE 1103602879 REDUCED PA0605EI_ARM-INTONLY 0 573000 114600 100 688 35.1 1YR FALSE 1103602891 NINA SA1605EI_ARM-INTONLY 0 0 0 65 733 0 NO-PREPAY MI 1103602902 REDUCED TB1630_BALLOON 0 0 0 90 670 0 3YR FALSE 1103602910 REDUCED XA0603DI_ARM-INTONLY 0 0 0 70 741 30.6 NO-PREPAY MI 1103602911 REDUCED XA0603DI_ARM-INTONLY 0 0 0 78.79 731 32.5 NO-PREPAY MI 1103602913 FULL/ALT XA0605DI_ARM-INTONLY 0 1200000 0 65 786 30.49 NO-PREPAY MI 1103602914 FULL/ALT XA0605DI_ARM-INTONLY 0 0 31000 100 695 43.07 NO-PREPAY MI 1103602915 FULL/ALT XA0605DI_ARM-INTONLY 0 107250 25050 100 694 45.1 NO-PREPAY MI 1103602916 FULL/ALT XA0605DI_ARM-INTONLY 0 336785 67385 100 783 43.67 NO-PREPAY MI 1103602917 FULL/ALT XA0605DI_ARM-INTONLY 0 234165 46865 100 681 43.42 NO-PREPAY MI 1103602919 FULL/ALT XA0605DI_ARM-INTONLY 0 209630 46100 99.99 794 36.44 NO-PREPAY MI 1103602920 FULL/ALT XA0605DI_ARM-INTONLY 0 217050 43450 100 738 38.42 NO-PREPAY MI 1103602922 REDUCED XA1607DI_ARM-INTONLY 0 255505 51105 100 679 44.35 NO-PREPAY MI 1103602923 NO RATIO XA2603DI_ARM-INTONLY 0 0 31700 90 624 0 NO-PREPAY MI 1103602924 NO RATIO XA1603DI_ARM-INTONLY 0 0 100000 75 651 0 NO-PREPAY MI 1103602926 NO RATIO XA1605DI_ARM-INTONLY 0 143645 31645 100 660 0 NO-PREPAY MI 1103602927 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 73.65 717 48.8 NO-PREPAY MI 1103602928 REDUCED XA0605DI_ARM-INTONLY 0 0 65700 83.89 756 38.8 1YR TRUE 1103602935 REDUCED PA0605EI_ARM-INTONLY 0 0 0 55.56 768 41.15 1YR FALSE 1103602971 FULL/ALT PA2605EI_ARM-INTONLY 0 0 75500 95.6 628 38.64 3YR FALSE 1103602972 REDUCED PA0603EI_ARM-INTONLY 0 0 42375 85 681 49.43 1YR FALSE 1103602973 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 681 24.88 1YR FALSE 1103602974 REDUCED PA0603EI_ARM-INTONLY 0 279670 83901 100 689 43.305 1YR FALSE 1103602975 REDUCED PA0630EI_ARM-INTONLY 0 374926 112478 100 716 52.2 1YR FALSE 1103602976 REDUCED PA0603EI_ARM-INTONLY 0 0 154500 100 761 43.02 1YR FALSE 1103602977 NINA SA1605EI_ARM-INTONLY 0 814000 162800 80 668 0 3YR FALSE 1103602978 REDUCED PA3605E_ARM 0 0 0 69.33 612 49.41 1YR FALSE 1103602979 REDUCED PA1605EI_ARM-INTONLY 0 640000 128000 100 648 47.7 1YR FALSE 1103602980 REDUCED PA0603EI_ARM-INTONLY 0 342065 85516 95 701 44.348 1YR FALSE 1103602981 REDUCED PA0630EI_ARM-INTONLY 0 534000 160200 100 728 48.72 3YR FALSE 1103602982 REDUCED PA0603EI_ARM-INTONLY 0 225500 67650 100 630 47.86 1YR FALSE 1103603010 NO RATIO XA0605DI_ARM-INTONLY 0 591266 118250 100 780 0 NO-PREPAY MI 1103603011 REDUCED XA0605DI_ARM-INTONLY 0 287050 57400 100 705 45 NO-PREPAY MI 1103603012 REDUCED XA0605DI_ARM-INTONLY 0 194500 38900 100 762 21.12 NO-PREPAY MI 1103603013 REDUCED XA1605DI_ARM-INTONLY 0 415000 83000 100 663 37.38 NO-PREPAY MI 1103603014 NO RATIO XA0605DI_ARM-INTONLY 0 348000 69600 100 755 0 NO-PREPAY MI 1103603015 REDUCED XA1605D_ARM 0 360000 72000 100 652 27.705 NO-PREPAY MI 1103603016 REDUCED XA0605DI_ARM-INTONLY 0 592000 162463 95.02 765 41.3 NO-PREPAY MI 1103603017 NINA BA1205DI_ARM-INTONLY 0 0 0 21.9 642 0 1YR FALSE 1103603018 REDUCED XA0605DI_ARM-INTONLY 0 623661 124750 100 719 43.25 NO-PREPAY MI 1103603019 NINA XA1605DI_ARM-INTONLY 0 367111 36711 90 674 0 NO-PREPAY MI 1103603020 FULL/ALT XA0605DI_ARM-INTONLY 0 0 121500 98.7 708 33.101 NO-PREPAY MI 1103603021 REDUCED XA0605DI_ARM-INTONLY 0 335900 67180 100 697 41.63 NO-PREPAY MI 1103603022 REDUCED XA1605DI_ARM-INTONLY 0 0 0 64.2 641 36.16 3YR TRUE 1103603023 FULL/ALT XA0605DI_ARM-INTONLY 0 390000 58500 95 766 36.44 NO-PREPAY MI 1103603024 REDUCED XA0605DI_ARM-INTONLY 0 0 99000 90 693 31.96 NO-PREPAY MI 1103603025 REDUCED XA0605DI_ARM-INTONLY 0 242880 48576 100 688 29.111 NO-PREPAY MI 1103603026 NINA XA0605DI_ARM-INTONLY 0 249900 0 80 782 0 3YR TRUE 1103603027 NO RATIO XA2605DI_ARM-INTONLY 0 465400 93080 100 628 0 NO-PREPAY MI 1103603028 NO RATIO XA2605DI_ARM-INTONLY 0 226830 45366 100 638 0 NO-PREPAY MI 1103603029 NO RATIO BA0205D_ARM 0 695000 139000 100 752 0 NO-PREPAY MI 1103603030 NO RATIO XA1605DI_ARM-INTONLY 0 409900 61485 95 649 0 NO-PREPAY MI 1103603031 FULL/ALT XA1605DI_ARM-INTONLY 0 365000 75100 100 656 36.56 3YR TRUE 1103603032 REDUCED XA0605DI_ARM-INTONLY 0 365790 73150 99.99 702 37.55 3YR TRUE 1103603033 REDUCED XA1605DI_ARM-INTONLY 0 270000 54000 100 675 36.1 3YR TRUE 1103603034 REDUCED XA1605DI_ARM-INTONLY 0 0 0 79.21 668 42.35 3YR TRUE 1103603035 NO RATIO XA2605DI_ARM-INTONLY 0 171000 34200 100 634 0 1YR TRUE 1103603036 NO RATIO XA1605DI_ARM-INTONLY 0 0 0 80 657 0 3YR TRUE 1103603037 NO RATIO XA0605D_ARM 0 0 0 74.47 708 0 3YR FALSE 1103603038 REDUCED XA1605D_ARM 0 381000 0 80 650 35.27 1YR TRUE 1103603039 NINA XA1605DI_ARM-INTONLY 0 0 0 65 672 0 NO-PREPAY MI 1103603040 NO RATIO BA0205DI_ARM-INTONLY 0 850000 85000 90 682 0 NO-PREPAY MI 1103603057 REDUCED PA0605EI_ARM-INTONLY 0 0 0 58.07 711 43.22 3YR TRUE 1103603058 REDUCED PA0605EI_ARM-INTONLY 0 0 130000 77.9 717 44.49 NO-PREPAY MI 1103603059 REDUCED PA0605EI_ARM-INTONLY 0 332913 66550 99.99 759 33.45 NO-PREPAY MI 1103603060 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 34.49 729 43.53 NO-PREPAY MI 1103603064 FULL/ALT PA0605EI_ARM-INTONLY 0 365000 73000 100 686 39.55 NO-PREPAY MI 1103603066 REDUCED PA0605EI_ARM-INTONLY 0 302500 30200 89.99 744 40.81 NO-PREPAY MI 1103603069 REDUCED PA0605EI_ARM-INTONLY 0 287000 57400 100 790 41.66 1YR FALSE 1103603072 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 75 645 45.34 3YR TRUE 1103603073 FULL/ALT PA1605EI_ARM-INTONLY 0 0 149950 90 660 38.02 NO-PREPAY MI 1103603078 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 671 46.59 1YR FALSE 1103603080 REDUCED PA1605EI_ARM-INTONLY 0 0 0 67.14 673 28.4 3YR TRUE 1103603081 FULL/ALT PA1605E_ARM 0 0 0 75 673 39.88 1YR FALSE 1103603082 REDUCED PA1605E_ARM 0 0 0 80 679 39.25 1YR FALSE 1103603083 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 74.1 690 38.24 NO-PREPAY MI 1103603084 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 695 28.91 NO-PREPAY MI 1103603085 REDUCED PA0605E_ARM 0 0 0 70 698 46.2 1YR TRUE 1103603086 FULL/ALT PA0605EI_ARM-INTONLY 0 0 74000 100 699 44.73 3YR TRUE 1103603087 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 689 46.43 3YR TRUE 1103603088 REDUCED PA0605EI_ARM-INTONLY 0 0 45000 72 701 34.22 1YR FALSE 1103603091 REDUCED PA0605EI_ARM-INTONLY 0 755000 75450 90 713 40.16 NO-PREPAY MI 1103603093 REDUCED PA0605EI_ARM-INTONLY 0 0 0 78.88 715 35.96 NO-PREPAY MI 1103603094 REDUCED PA0605EI_ARM-INTONLY 0 0 0 73.78 717 29.55 3YR TRUE 1103603098 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 734 28.27 1YR FALSE 1103603099 REDUCED PA0605EI_ARM-INTONLY 0 220938 44150 99.99 731 22.6 3YR TRUE 1103603100 REDUCED PA0605E_ARM 0 930000 0 74.55 745 36.49 NO-PREPAY MI 1103603101 REDUCED PA0605EI_ARM-INTONLY 0 0 0 62.5 747 30.7 NO-PREPAY MI 1103603105 FULL/ALT PA0605E_ARM 0 684000 136800 100 763 44.66 3YR TRUE 1103603109 FULL/ALT PA0605EI_ARM-INTONLY 0 260203 52050 100 694 35.53 3YR TRUE 1103603112 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.75 661 40.16 3YR TRUE 1103603113 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 678 40.75 3YR TRUE 1103603114 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 678 41.42 3YR TRUE 1103603122 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 70 747 38.57 NO-PREPAY MI 1103603124 FULL/ALT PA0605DI_ARM-INTONLY 0 200000 0 80 750 41 NO-PREPAY MI 1103603125 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 79.78 651 32.68 NO-PREPAY MI 1103603128 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 76.12 697 43.22 NO-PREPAY MI 1103603129 FULL/ALT PA0605DI_ARM-INTONLY 0 332000 0 80 715 34.1 NO-PREPAY MI 1103603130 REDUCED PA0607EI_ARM-INTONLY 0 0 0 36.5 727 38.54 NO-PREPAY MI 1103603131 REDUCED PA0607EI_ARM-INTONLY 0 1150000 0 56.53 796 29.01 NO-PREPAY MI 1103603134 REDUCED PA0607EI_ARM-INTONLY 0 0 0 76.67 747 48 3YR TRUE 1103603135 REDUCED PA0607EI_ARM-INTONLY 0 0 0 45.31 772 8.47 3YR TRUE 1103603137 REDUCED PA0607EI_ARM-INTONLY 0 185450 37050 99.98 698 49.36 1YR FALSE 1103603138 REDUCED PA0607EI_ARM-INTONLY 0 1275000 100000 77.85 713 28.35 3YR TRUE 1103603140 FULL/ALT PA0630EI_ARM-INTONLY 0 0 0 78.32 770 44.86 NO-PREPAY MI 1103603141 REDUCED PA0630E_ARM 0 0 200000 74.37 699 38.99 3YR TRUE 1103603146 REDUCED PA0630EI_ARM-INTONLY 0 925000 90000 80 730 35.81 NO-PREPAY MI 1103603168 FULL/ALT PF0630_FIXEDRATE 30 174900 0 95 713 47.61 NO-PREPAY MI 1103603181 REDUCED PA1605EI_ARM-INTONLY 0 399950 79990 95 678 48.23 1YR TRUE 1103603187 SISA PA0605EI_ARM-INTONLY 0 0 0 58.34 762 48.05 2YR TRUE 1103603191 REDUCED PF1630_FIXEDRATE 0 179900 35980 100 647 45 1YR FALSE 1103603192 REDUCED TB1630_BALLOON 0 179900 0 100 647 42.8 1YR FALSE 1103603206 REDUCED PF0630_FIXEDRATE 0 179900 35980 100 685 45 1YR FALSE 1103603208 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 80 622 0 3YR FALSE 1103603211 REDUCED PA1605EI_ARM-INTONLY 0 0 67000 95 644 37.89 3YR FALSE 1103603217 REDUCED PA0605E_ARM 0 0 60000 100 690 40.46 2YR FALSE 1103603238 NO RATIO SF0630I_FIX-INTONLY 0 527589 131900 100 685 0 1YR FALSE 1103603246 REDUCED TB0630_BALLOON 0 405000 0 90 690 0 1YR FALSE 1103603250 NO RATIO SF1630I_FIX-INTONLY 0 862500 0 63.77 681 1 1YR FALSE 1103603255 NINA EA0605E_ARM 30 385000 0 95 739 0 NO-PREPAY MI 1103603259 SISA PA1605E_ARM 0 0 0 77.78 649 0 2YR FALSE 1103603287 REDUCED PF0630I_FIX-INTONLY 0 0 0 61.67 768 46.32 3YR FALSE 1103603296 REDUCED PA0605EI_ARM-INTONLY 0 133000 26350 95 684 37.17 3YR FALSE 1103603309 REDUCED PF0630I_FIX-INTONLY 0 395000 79000 100 707 48.92 1YR FALSE 1103603320 REDUCED PA0605EI_ARM-INTONLY 0 835000 167000 95 770 44.4 3YR FALSE 1103603366 REDUCED PA2605EI_ARM-INTONLY 0 0 165000 100 622 48.8 NO-PREPAY MI 1103603371 REDUCED PF0630_FIXEDRATE 0 0 0 57.53 751 28.3 NO-PREPAY MI 1103603375 REDUCED PA2605EI_ARM-INTONLY 0 215000 43000 100 635 49.89 2YR FALSE 1103603391 REDUCED PA1603EI_ARM-INTONLY 0 250000 50000 90 664 30.69 3YR FALSE 1103603415 REDUCED PF0615_FIXEDRATE 0 0 0 80 702 43.59 5YR FALSE 1103603424 REDUCED TB0630_BALLOON 0 0 0 90 685 33.72 NO-PREPAY MI 1103603430 SISA PA1607EI_ARM-INTONLY 0 0 80700 90 677 0 2YR FALSE 1103603456 REDUCED PA1605EI_ARM-INTONLY 0 0 50000 89.96 644 47.19 1YR FALSE 1103603465 NINA SA1605EI_ARM-INTONLY 0 0 0 62.32 766 0 3YR FALSE 1103603468 REDUCED PA2605EI_ARM-INTONLY 0 415000 83000 100 633 36.76 3YR FALSE 1103603501 SISA PA0603EI_ARM-INTONLY 0 475000 118750 100 738 35.69 1YR FALSE 1103603514 FULL/ALT XA0605DI_ARM-INTONLY 0 415000 83000 100 689 44.99 NO-PREPAY MI 1103603515 FULL/ALT XA0605DI_ARM-INTONLY 0 555065 138760 100 699 44.31 NO-PREPAY MI 1103603516 FULL/ALT XA1605DI_ARM-INTONLY 25 0 0 90 677 41.6 NO-PREPAY MI 1103603517 REDUCED XA0605D_ARM 0 462500 92500 100 735 23.48 NO-PREPAY MI 1103603519 REDUCED XA0605DI_ARM-INTONLY 0 410000 102500 100 788 43.42 NO-PREPAY MI 1103603520 REDUCED XA0605DI_ARM-INTONLY 0 415000 83000 100 684 38 NO-PREPAY MI 1103603521 REDUCED XA2605DI_ARM-INTONLY 0 0 45500 88.45 629 37.44 3YR TRUE 1103603522 NO RATIO XA2605DI_ARM-INTONLY 0 305000 61000 100 622 0 NO-PREPAY MI 1103603523 NO RATIO XA1605DI_ARM-INTONLY 0 265000 53000 100 705 0 NO-PREPAY MI 1103603524 REDUCED XA0605DI_ARM-INTONLY 0 525000 131250 100 752 49.96 NO-PREPAY MI 1103603525 REDUCED XA0605DI_ARM-INTONLY 0 710000 142000 100 764 39.61 NO-PREPAY MI 1103603526 NO RATIO XA2605DI_ARM-INTONLY 0 0 81000 90 631 0 NO-PREPAY MI 1103603527 NO RATIO XA1605DI_ARM-INTONLY 0 539000 134750 100 713 0 NO-PREPAY MI 1103603528 FULL/ALT XA0605DI_ARM-INTONLY 0 0 75100 100 690 49.45 3YR TRUE 1103603529 REDUCED XA1605DI_ARM-INTONLY 0 332500 66500 100 648 42.86 3YR TRUE 1103603531 REDUCED XA0605DI_ARM-INTONLY 0 963000 192600 100 797 29.3 NO-PREPAY MI 1103603532 REDUCED XA0605DI_ARM-INTONLY 0 218000 32700 90 692 37.9 NO-PREPAY MI 1103603533 REDUCED XA2605DI_ARM-INTONLY 0 0 52500 88.99 625 49.7 NO-PREPAY MI 1103603534 FULL/ALT XA0605DI_ARM-INTONLY 0 780000 78000 90 733 48.63 NO-PREPAY MI 1103603535 REDUCED XA0605DI_ARM-INTONLY 0 700000 140000 100 684 31.2 NO-PREPAY MI 1103603536 NINA BA2205DI_ARM-INTONLY 0 0 0 26.42 622 0 3YR TRUE 1103603537 REDUCED XA0605DI_ARM-INTONLY 0 1140000 228000 100 773 45 NO-PREPAY MI 1103603538 REDUCED XA1605DI_ARM-INTONLY 0 0 0 73 671 35.9 3YR TRUE 1103603539 REDUCED XA1605DI_ARM-INTONLY 0 500000 75000 95 659 43.53 NO-PREPAY MI 1103603540 REDUCED XA0605DI_ARM-INTONLY 0 580000 116000 100 757 26.44 NO-PREPAY MI 1103603541 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 74.77 659 48.83 3YR TRUE 1103603542 REDUCED XA1605DI_ARM-INTONLY 0 0 0 80 656 33.1 3YR TRUE 1103603543 REDUCED XA0605DI_ARM-INTONLY 0 0 0 70 775 44.51 1YR FALSE 1103603544 REDUCED XA0605DI_ARM-INTONLY 0 0 0 70 684 52.26 1YR TRUE 1103603545 REDUCED XA2605DI_ARM-INTONLY 0 0 0 80 631 43.22 3YR TRUE 1103603546 REDUCED PA1605EI_ARM-INTONLY 0 346000 51900 90 664 0 NO-PREPAY MI 1103603548 NO RATIO XA1605DI_ARM-INTONLY 0 450212 0 77.79 816 0 NO-PREPAY MI 1103603549 SISA PA0605DI_ARM-INTONLY 0 273639 0 80 708 34.754 NO-PREPAY MI 1103603550 SISA PA0605DI_ARM-INTONLY 0 250343 0 79.97 766 13.559 NO-PREPAY MI 1103603551 SISA XA0605A_ARM 0 287259 28726 90 753 39.058 NO-PREPAY MI 1103603552 SISA PA0605DI_ARM-INTONLY 0 355921 0 79.99 733 47.103 NO-PREPAY MI 1103603553 NINA XA1605DI_ARM-INTONLY 0 279315 0 57.04 703 0 NO-PREPAY MI 1103603554 NO RATIO XA1605DI_ARM-INTONLY 0 208342 41668 100 756 0 3YR FALSE 1103603555 SISA PA0605DI_ARM-INTONLY 0 446940 67041 95 726 35.366 NO-PREPAY MI 1103603557 SISA PA0605DI_ARM-INTONLY 0 310968 31097 90 767 15.871 NO-PREPAY MI 1103603558 SISA PA0605DI_ARM-INTONLY 0 667469 0 47.57 791 21.438 NO-PREPAY MI 1103603559 SISA PA0605DI_ARM-INTONLY 0 350000 0 80 719 29.502 NO-PREPAY MI 1103603560 SISA PA0605DI_ARM-INTONLY 0 532192 0 23.49 756 51.446 NO-PREPAY MI 1103603561 SISA PA0605DI_ARM-INTONLY 0 489699 0 80 775 45.691 NO-PREPAY MI 1103603562 SISA PA0605DI_ARM-INTONLY 0 399370 59866 95 721 44.397 NO-PREPAY MI 1103603563 SISA PA0605DI_ARM-INTONLY 0 538883 0 66.6 771 20.209 NO-PREPAY MI 1103603564 NINA XA1605DI_ARM-INTONLY 0 438481 0 31.59 804 0 NO-PREPAY MI 1103603565 SISA XA0605DI_ARM-INTONLY 0 281950 0 80 733 51.825 NO-PREPAY MI 1103603566 FULL/ALT XA0605A_ARM 0 215420 0 80 774 49.9996 NO-PREPAY MI 1103603567 NO RATIO XA1605DI_ARM-INTONLY 0 292500 43875 95 754 0 NO-PREPAY MI 1103603568 NO RATIO XA1605DI_ARM-INTONLY 0 299856 59971 100 733 0 NO-PREPAY MI 1103603569 NINA XA1605DI_ARM-INTONLY 0 315990 47367 94.99 745 0 NO-PREPAY MI 1103603570 SISA PA0605DI_ARM-INTONLY 0 266118 0 79.65 733 39.646 NO-PREPAY MI 1103603571 SISA PA0605DI_ARM-INTONLY 0 466990 70002 94.99 733 47.797 NO-PREPAY MI 1103603573 SISA PA0605DI_ARM-INTONLY 0 619853 61985 90 774 49.699 NO-PREPAY MI 1103603574 NO RATIO XA1605DI_ARM-INTONLY 0 290696 0 80 757 0 NO-PREPAY MI 1103603577 REDUCED PA0605DI_ARM-INTONLY 0 1087000 0 70 797 43.118 NO-PREPAY MI 1103603579 SISA PA0605DI_ARM-INTONLY 0 714000 71400 90 772 45.238 NO-PREPAY MI 1103603580 REDUCED PA0605DI_ARM-INTONLY 0 612814 122502 99.99 751 43.869 NO-PREPAY MI 1103603581 SISA PA0605DI_ARM-INTONLY 0 472490 94498 100 719 44.219 NO-PREPAY MI 1103603582 REDUCED PA0605DI_ARM-INTONLY 0 2396000 400020 84.98 759 41.432 NO-PREPAY MI 1103603584 NINA XA1405DI_ARM-INTONLY 0 322000 0 90 779 0 NO-PREPAY MI 1103603585 NO RATIO XA1605DI_ARM-INTONLY 25 143000 0 90 744 0 NO-PREPAY MI 1103603586 NINA XA1605DI_ARM-INTONLY 25 0 0 90 768 0 NO-PREPAY MI 1103603587 NO RATIO XA1605D_ARM 30 169800 0 94.23 712 0 NO-PREPAY MI 1103603588 SISA XA0405DI_ARM-INTONLY 0 288785 0 90 798 42.337 NO-PREPAY MI 1103603589 REDUCED XA0605DI_ARM-INTONLY 30 466333 0 95 717 45 1YR TRUE 1103603590 REDUCED XA0605DI_ARM-INTONLY 25 0 0 90 733 45 NO-PREPAY MI 1103603591 NO RATIO XA1605DI_ARM-INTONLY 0 280613 56123 100 707 0 NO-PREPAY MI 1103603592 NO RATIO XA1605DI_ARM-INTONLY 0 329852 65970 100 701 0 NO-PREPAY MI 1103603593 NO RATIO XA1605DI_ARM-INTONLY 0 360268 72054 100 737 0 NO-PREPAY MI 1103603594 NO RATIO XA1605DI_ARM-INTONLY 0 336276 67255 100 745 0 NO-PREPAY MI 1103603595 NO RATIO XA1605DI_ARM-INTONLY 0 357500 71500 100 731 0 NO-PREPAY MI 1103603596 NO RATIO XA1605D_ARM 0 285607 57121 100 705 0 NO-PREPAY MI 1103603598 NO RATIO XA1605DI_ARM-INTONLY 0 275140 55028 100 716 0 NO-PREPAY MI 1103603601 SISA PA0605DI_ARM-INTONLY 0 304045 45607 95 744 35.107 NO-PREPAY MI 1103603602 NO RATIO XA1605DI_ARM-INTONLY 0 326500 48975 95 791 0 NO-PREPAY MI 1103603603 REDUCED PA0605DI_ARM-INTONLY 0 295000 44250 95 705 47.211 NO-PREPAY MI 1103603604 SISA PA0605DI_ARM-INTONLY 0 318000 43598 93.71 723 48.863 NO-PREPAY MI 1103603605 NINA XA1605DI_ARM-INTONLY 0 286670 28667 90 714 0 NO-PREPAY MI 1103603606 SISA PA0605DI_ARM-INTONLY 0 662620 66262 90 713 41.064 NO-PREPAY MI 1103603607 REDUCED PA0605DI_ARM-INTONLY 0 312785 31279 90 720 37.992 NO-PREPAY MI 1103603608 SISA PA0605DI_ARM-INTONLY 0 329990 32999 90 767 41.203 NO-PREPAY MI 1103603610 REDUCED PA0605DI_ARM-INTONLY 0 281610 28161 90 770 44.104 NO-PREPAY MI 1103603611 SISA PA0605DI_ARM-INTONLY 0 211473 21147 90 747 43.975 NO-PREPAY MI 1103603612 REDUCED PA0605DI_ARM-INTONLY 0 181900 18190 90 728 42.77 NO-PREPAY MI 1103603613 SISA PA0605DI_ARM-INTONLY 0 292990 29299 90 703 41.757 NO-PREPAY MI 1103603614 REDUCED PA0605DI_ARM-INTONLY 0 195000 19500 90 758 31.382 NO-PREPAY MI 1103603615 NO RATIO XA1605DI_ARM-INTONLY 0 463305 46284 89.99 718 0 NO-PREPAY MI 1103603616 NO RATIO XA1605DI_ARM-INTONLY 0 206817 20661 89.99 707 0 NO-PREPAY MI 1103603618 REDUCED PA0605DI_ARM-INTONLY 0 266990 0 80 739 48.191 NO-PREPAY MI 1103603619 SISA PA0605DI_ARM-INTONLY 0 340855 0 80 776 44.634 NO-PREPAY MI 1103603620 REDUCED PA0605DI_ARM-INTONLY 0 438380 0 80 739 17.534 NO-PREPAY MI 1103603621 REDUCED PA0605DI_ARM-INTONLY 0 280990 0 80 760 46.662 NO-PREPAY MI 1103603622 SISA PA0605DI_ARM-INTONLY 0 0 0 80 704 37.999 NO-PREPAY MI 1103603623 REDUCED PA0605DI_ARM-INTONLY 0 246000 0 80 792 36.785 NO-PREPAY MI 1103603624 REDUCED PA0605DI_ARM-INTONLY 0 304900 0 80 713 31.79 NO-PREPAY MI 1103603625 SISA XA0605D_ARM 0 319900 0 80 774 42.638 NO-PREPAY MI 1103603626 SISA PA0605DI_ARM-INTONLY 0 447000 0 80 733 46.839 NO-PREPAY MI 1103603627 REDUCED XA0605D_ARM 0 689900 0 80 759 45 NO-PREPAY MI 1103603628 SISA PA0605DI_ARM-INTONLY 0 264565 0 80 713 22.803 NO-PREPAY MI 1103603629 NO RATIO XA1605DI_ARM-INTONLY 0 432490 86498 100 721 0 NO-PREPAY MI 1103603630 NO RATIO XA1605DI_ARM-INTONLY 0 354789 70958 100 712 0 NO-PREPAY MI 1103603631 REDUCED XA0605DI_ARM-INTONLY 0 359107 71821 100 772 51.901 NO-PREPAY MI 1103603632 NO RATIO XA1605DI_ARM-INTONLY 0 492531 98506 100 736 0 NO-PREPAY MI 1103603633 NO RATIO XA1605DI_ARM-INTONLY 0 332784 66557 100 718 0 NO-PREPAY MI 1103603634 NO RATIO XA1605DI_ARM-INTONLY 0 216771 43354 100 756 0 NO-PREPAY MI 1103603635 NO RATIO XA1605DI_ARM-INTONLY 0 439918 87984 100 790 0 NO-PREPAY MI 1103603636 NO RATIO XA1605DI_ARM-INTONLY 0 871488 174298 100 721 0 NO-PREPAY MI 1103603637 NO RATIO XA1605DI_ARM-INTONLY 0 356405 71245 99.99 768 0 NO-PREPAY MI 1103603638 SISA PA0605DI_ARM-INTONLY 0 433148 64972 95 736 42.584 NO-PREPAY MI 1103603639 SISA PA0605DI_ARM-INTONLY 0 345753 51863 95 754 42.612 NO-PREPAY MI 1103603640 NO RATIO XA1605DI_ARM-INTONLY 0 409866 61480 95 721 0 NO-PREPAY MI 1103603641 NINA XA1605DI_ARM-INTONLY 0 225571 33836 95 749 0 NO-PREPAY MI 1103603642 SISA PA0605DI_ARM-INTONLY 0 220254 22025 90 766 36.895 NO-PREPAY MI 1103603643 SISA PA0605DI_ARM-INTONLY 0 410598 41060 90 805 33.651 NO-PREPAY MI 1103603644 NINA XA1605DI_ARM-INTONLY 0 246828 0 80 724 0 NO-PREPAY MI 1103603645 REDUCED PA0605DI_ARM-INTONLY 0 189460 0 80 716 30.358 NO-PREPAY MI 1103603646 SISA PA0605DI_ARM-INTONLY 0 327997 0 80 751 43.191 NO-PREPAY MI 1103603647 SISA XA0605A_ARM 0 187062 0 80 797 22.398 NO-PREPAY MI 1103603648 SISA PA0605DI_ARM-INTONLY 0 318883 0 80 732 36.01 NO-PREPAY MI 1103603649 SISA PA0605DI_ARM-INTONLY 0 271509 0 80 727 34.002 NO-PREPAY MI 1103603650 SISA XA0605A_ARM 0 299990 0 80 727 44.99 NO-PREPAY MI 1103603651 REDUCED PA0605DI_ARM-INTONLY 0 0 0 79.32 781 34.5873 1YR FALSE 1103603652 NINA XA1605DI_ARM-INTONLY 0 345000 0 75 705 0 NO-PREPAY MI 1103603653 SISA PA0605DI_ARM-INTONLY 0 270990 0 75 748 25.151 NO-PREPAY MI 1103603654 REDUCED PA0605DI_ARM-INTONLY 0 0 0 74.86 720 21.082 NO-PREPAY MI 1103603655 REDUCED PA0605DI_ARM-INTONLY 0 0 0 74.08 728 34.51 NO-PREPAY MI 1103603656 NINA XA1605DI_ARM-INTONLY 0 297670 0 68.87 766 0 NO-PREPAY MI 1103603657 REDUCED PA0605DI_ARM-INTONLY 0 0 0 66.67 763 49.835 NO-PREPAY MI 1103603658 NINA XA1605DI_ARM-INTONLY 0 600000 0 66.67 741 0 NO-PREPAY MI 1103603659 NINA XA1605DI_ARM-INTONLY 0 0 0 65 737 0 NO-PREPAY MI 1103603661 NINA XA1605DI_ARM-INTONLY 0 0 0 61.71 776 0 NO-PREPAY MI 1103603662 NO RATIO XA1605DI_ARM-INTONLY 0 0 0 55.91 730 0 NO-PREPAY MI 1103603663 REDUCED PA0605DI_ARM-INTONLY 0 829480 0 55.64 785 45 NO-PREPAY MI 1103603664 NINA XA1605D_ARM 0 596145 0 16.78 710 0 NO-PREPAY MI 1103603690 REDUCED PA0605EI_ARM-INTONLY 0 514532 77150 94.99 707 35.47 5YR FALSE 1103603718 SISA PA0607E_ARM 0 700000 0 80 742 14.69 3YR FALSE 1103603737 REDUCED PA0605EI_ARM-INTONLY 0 0 106500 100 694 44.3 3YR FALSE 1103603746 REDUCED PA0605EI_ARM-INTONLY 0 850000 170000 95 704 45 NO-PREPAY MI 1103603789 REDUCED PA0607EI_ARM-INTONLY 0 0 0 62.5 762 22.03 3YR FALSE 1103603824 FULL/ALT PA1605EI_ARM-INTONLY 0 295000 88500 100 645 42.97 3YR FALSE 1103603923 REDUCED PF3630_FIXEDRATE 0 117000 0 80 617 45.77 3YR FALSE 1103603953 REDUCED PA0605EI_ARM-INTONLY 0 409900 81950 89.99 734 49.07 3YR FALSE 1103603960 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 56.81 724 1 3YR FALSE 1103603961 NINA SF0630_FIXEDRATE 0 0 0 54.53 682 1 3YR FALSE 1103603981 REDUCED PA0605E_ARM 0 0 0 75 718 43.25 1YR FALSE 1103604108 FULL/ALT PA0607E_ARM 0 799950 0 75 803 27.81 NO-PREPAY MI 1103604134 REDUCED PL1605E_ARM-BALLOON 0 334000 50100 95 679 43.9 NO-PREPAY MI 1103604153 REDUCED PA0605EI_ARM-INTONLY 0 160000 32000 90 795 16.13 3YR FALSE 1103604167 REDUCED PA1602EI_ARM-INTONLY 0 0 142500 90 662 24.11 NO-PREPAY MI 1103604183 NO RATIO SA0605EI_ARM-INTONLY 0 628000 128000 100 684 0 3YR FALSE 1103604184 REDUCED PA0605EI_ARM-INTONLY 0 666200 166500 94.99 795 22.53 3YR TRUE 1103604185 REDUCED TB0630_BALLOON 0 666200 0 94.99 795 25.39 NO-PREPAY MI 1103604189 SISA PA0605EI_ARM-INTONLY 0 0 0 51.53 755 39.1 2YR TRUE 1103604190 REDUCED PA1605EI_ARM-INTONLY 0 542000 108400 100 641 45.04 2YR FALSE 1103604192 REDUCED PA0605EI_ARM-INTONLY 0 380000 0 80 691 48.71 3YR FALSE 1103604197 FULL/ALT PF0630_FIXEDRATE 0 0 0 73.73 684 39.26 NO-PREPAY MI 1103604201 REDUCED PA0605EI_ARM-INTONLY 0 550000 110000 100 736 41.63 3YR FALSE 1103604227 REDUCED PA1602E_ARM 0 254000 50800 100 640 41.62 2YR FALSE 1103604233 REDUCED PA0605E_ARM 0 370000 74000 100 745 35.82 NO-PREPAY MI 1103604234 REDUCED PA0605EI_ARM-INTONLY 0 690500 138100 100 736 38.4 NO-PREPAY MI 1103604235 NINA SA2605EI_ARM-INTONLY 0 0 0 65 672 0 NO-PREPAY MI 1103604236 REDUCED PA0605EI_ARM-INTONLY 0 0 0 44.31 706 43 NO-PREPAY MI 1103604237 REDUCED PA1605EI_ARM-INTONLY 0 544600 127491 99.98 678 47.89 NO-PREPAY MI 1103604238 REDUCED PA0605EI_ARM-INTONLY 0 460000 92000 100 698 33.07 NO-PREPAY MI 1103604239 REDUCED PA0605EI_ARM-INTONLY 0 410000 41000 90 734 31.42 3YR TRUE 1103604240 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 734 34.59 NO-PREPAY MI 1103604241 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 72.17 637 49.55 NO-PREPAY MI 1103604242 NINA SA2605EI_ARM-INTONLY 0 0 0 58.67 674 0 NO-PREPAY MI 1103604243 SISA PA1605EI_ARM-INTONLY 0 0 0 75 745 0 NO-PREPAY MI 1103604244 FULL/ALT PA1605EI_ARM-INTONLY 0 678000 67800 90 669 44.13 NO-PREPAY MI 1103604245 NO RATIO SA2605E_ARM 0 0 0 78.66 627 0 NO-PREPAY MI 1103604246 REDUCED PA0605EI_ARM-INTONLY 0 429991 85998 99.99 702 46.88 NO-PREPAY MI 1103604247 REDUCED PA0605EI_ARM-INTONLY 0 398900 79630 99.79 712 46.47 NO-PREPAY MI 1103604248 FULL/ALT PA0605EI_ARM-INTONLY 0 1043081 66027 74.12 798 45.59 NO-PREPAY MI 1103604249 REDUCED PA0605EI_ARM-INTONLY 0 900000 135000 95 765 38.22 NO-PREPAY MI 1103604250 REDUCED PA0605EI_ARM-INTONLY 0 500000 75000 95 739 41.91 NO-PREPAY MI 1103604251 REDUCED PA0605EI_ARM-INTONLY 0 0 64500 90 713 35.59 NO-PREPAY MI 1103604260 FULL/ALT PA0603E_ARM 0 365000 73000 100 786 42.78 5YR FALSE 1103604261 REDUCED PA0605E_ARM 0 0 104004 96.3 731 38.53 NO-PREPAY MI 1103604262 REDUCED PA1605E_ARM 0 0 0 69.95 675 49.1 3YR FALSE 1103604263 REDUCED PA0605EI_ARM-INTONLY 0 570000 114000 100 745 47.08 NO-PREPAY MI 1103604264 REDUCED PA1605EI_ARM-INTONLY 0 353110 106004 100 677 44.72 NO-PREPAY MI 1103604265 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 35.72 807 48.88 NO-PREPAY MI 1103604267 REDUCED PA0605EI_ARM-INTONLY 0 0 0 78.71 720 38.62 NO-PREPAY MI 1103604268 FULL/ALT PA0605EI_ARM-INTONLY 0 0 86250 100 750 30.72 1YR FALSE 1103604269 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.17 691 33.36 5YR FALSE 1103604270 FULL/ALT PA1605EI_ARM-INTONLY 0 383000 114900 100 680 34.67 3YR TRUE 1103604271 REDUCED PA0605EI_ARM-INTONLY 0 540000 135000 100 765 39.72 NO-PREPAY MI 1103604272 REDUCED PA1605EI_ARM-INTONLY 0 433000 108250 100 671 48.28 1YR FALSE 1103604273 REDUCED PA1607EI_ARM-INTONLY 0 500000 125000 100 670 37.79 NO-PREPAY MI 1103604274 NO RATIO SA2607E_ARM 0 0 99973 89.45 627 0 NO-PREPAY MI 1103604275 NO RATIO SA1605EI_ARM-INTONLY 0 325000 65000 100 695 0 2YR TRUE 1103604286 FULL/ALT PA0605EI_ARM-INTONLY 0 0 190000 95 795 49.97 3YR FALSE 1103604326 REDUCED PA0605EI_ARM-INTONLY 0 0 51000 90 690 44.75 1YR FALSE 1103604337 REDUCED PF0630I_FIX-INTONLY 0 0 0 31.54 699 26.75 3YR FALSE 1103604379 FULL/ALT PA0605EI_ARM-INTONLY 0 270000 40500 95 685 45 NO-PREPAY MI 1103604386 REDUCED PF8630_FIXEDRATE 0 0 0 65 521 53.83 1YR FALSE 1103604451 NINA SA1605EI_ARM-INTONLY 0 0 0 63.71 688 1 1YR FALSE 1103604455 REDUCED PA0605E_ARM 0 179900 44975 95 723 40.65 1YR FALSE 1103604456 REDUCED TB0630_BALLOON 0 179900 0 95 723 40.65 1YR FALSE 1103604533 REDUCED PA1605EI_ARM-INTONLY 0 1200000 180000 90 666 43.92 1YR FALSE 1103604547 REDUCED PF0630I_FIX-INTONLY 0 227900 68370 100 723 47.22 1YR TRUE 1103604563 REDUCED PA1605EI_ARM-INTONLY 0 119500 29875 95 665 32.33 3YR FALSE 1103604571 NO RATIO SF0630I_FIX-INTONLY 0 800000 160000 100 746 0 2YR FALSE 1103604574 NINA SF1615_FIXEDRATE 0 0 0 30.75 702 1 1YR FALSE 1103604686 REDUCED PA0605EI_ARM-INTONLY 0 525000 105000 90 775 48.22 2YR FALSE 1103604713 FULL/ALT PA1603EI_ARM-INTONLY 0 0 156000 97.73 668 45.5 3YR FALSE 1103604732 REDUCED TB0630_BALLOON 0 0 0 88.5 732 38.09 3YR FALSE 1103604740 REDUCED PA1605E_ARM 0 325000 65000 100 648 48.05 NO-PREPAY MI 1103604806 REDUCED PA0605EI_ARM-INTONLY 0 620000 124000 100 794 0 NO-PREPAY MI 1103604851 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 736 1 3YR TRUE 1103604859 REDUCED PA2605EI_ARM-INTONLY 0 0 0 65 638 47.24 1YR FALSE 1103604886 FULL/ALT XA0605DI_ARM-INTONLY 0 230000 0 80 767 44.75 NO-PREPAY MI 1103604887 SISA XA0607DI_ARM-INTONLY 0 124000 0 80 734 44.92 NO-PREPAY MI 1103604888 FULL/ALT XA0607DI_ARM-INTONLY 0 270000 0 80 691 45.97 NO-PREPAY MI 1103604889 NO RATIO XA0605D_ARM 0 292000 58400 100 692 0 3YR FALSE 1103604890 NINA XA0605D_ARM 0 0 0 72.81 774 0 3YR FALSE 1103604891 REDUCED XA2605D_ARM 0 0 28293 94.97 621 42.74 3YR FALSE 1103604892 REDUCED XA1605D_ARM 0 0 0 75 650 43.13 1YR FALSE 1103604893 REDUCED XA1605DI_ARM-INTONLY 0 236900 47285 99.96 658 40.47 NO-PREPAY MI 1103604894 SISA XA0605DI_ARM-INTONLY 0 215000 0 80 784 25.74 3YR FALSE 1103604895 REDUCED XA0605DI_ARM-INTONLY 0 496596 99319 100 704 36.71 3YR FALSE 1103604896 REDUCED XA0605DI_ARM-INTONLY 0 490000 98000 100 695 37.89 2YR FALSE 1103604897 REDUCED XA0605DI_ARM-INTONLY 0 0 0 80 700 37.99 5YR FALSE 1103604898 REDUCED XA0605DI_ARM-INTONLY 0 371270 55691 95 765 29.89 3YR FALSE 1103604899 REDUCED XA1605DI_ARM-INTONLY 0 224714 0 79.97 673 32.47 6MO FALSE 1103604900 REDUCED XA0605DI_ARM-INTONLY 0 435000 87000 100 702 43.89 5YR FALSE 1103604901 REDUCED XA1605DI_ARM-INTONLY 0 0 61743 94.97 653 35.14 5YR FALSE 1103604902 SISA XA0605DI_ARM-INTONLY 0 610000 122000 100 686 42.78 3YR FALSE 1103604903 NO RATIO XA0605DI_ARM-INTONLY 0 430000 64328 94.78 696 0 3YR FALSE 1103604904 FULL/ALT BA0203DI_ARM-INTONLY 0 0 0 80 718 46.09 NO-PREPAY MI 1103604905 SISA XA0605DI_ARM-INTONLY 0 0 0 58.37 776 36.73 NO-PREPAY MI 1103604906 REDUCED XA1605DI_ARM-INTONLY 0 305000 61000 100 665 36.22 3YR FALSE 1103604908 REDUCED XA1605DI_ARM-INTONLY 0 325000 48685 94.98 666 43.92 2YR FALSE 1103604909 REDUCED XA0605DI_ARM-INTONLY 0 459900 92026 100 707 43.71 3YR FALSE 1103604911 REDUCED XA0605DI_ARM-INTONLY 0 273000 54600 90 782 24.91 NO-PREPAY MI 1103604912 SISA XA0605DI_ARM-INTONLY 0 0 57981 100 688 22.2 3YR FALSE 1103604913 REDUCED XA2605DI_ARM-INTONLY 0 0 61000 90 626 44.68 3YR FALSE 1103604914 SISA XA0605DI_ARM-INTONLY 0 153000 30600 100 745 44.82 NO-PREPAY MI 1103604915 REDUCED XA0605DI_ARM-INTONLY 0 0 7733 77.77 681 39.1 2YR FALSE 1103604916 REDUCED XA2605DI_ARM-INTONLY 0 247500 24750 90 636 41.46 1YR FALSE 1103604918 REDUCED XA2605DI_ARM-INTONLY 0 0 54000 90 627 44.88 5YR FALSE 1103604919 REDUCED XA1605DI_ARM-INTONLY 0 300000 60000 100 654 38.99 3YR FALSE 1103604920 NINA XA0605DI_ARM-INTONLY 0 557500 0 80 772 0 2YR FALSE 1103604921 REDUCED XA0605DI_ARM-INTONLY 0 329900 32693 89.91 717 44.6 2YR FALSE 1103604922 FULL/ALT XA1605DI_ARM-INTONLY 0 0 11197 80 676 45.16 3YR FALSE 1103604923 FULL/ALT XA1605DI_ARM-INTONLY 0 311500 31088 89.99 641 40.77 1YR FALSE 1103604924 REDUCED XA0605DI_ARM-INTONLY 0 440000 66000 95 689 36.45 3YR FALSE 1103604925 NO RATIO XA0605DI_ARM-INTONLY 0 244900 49004 100 736 0 3YR FALSE 1103604926 REDUCED XA1605DI_ARM-INTONLY 0 465000 93000 100 673 44.25 3YR FALSE 1103604927 REDUCED XA2605DI_ARM-INTONLY 0 400000 80000 100 626 44.58 3YR FALSE 1103604928 REDUCED XA2605DI_ARM-INTONLY 0 379900 75942 99.99 628 43.44 3YR FALSE 1103604929 NO RATIO XA1605DI_ARM-INTONLY 0 405000 0 80 662 0 3YR FALSE 1103604930 REDUCED XA0605DI_ARM-INTONLY 0 0 0 67.26 790 44.08 3YR FALSE 1103604931 NO RATIO XA0605DI_ARM-INTONLY 0 251450 0 79.94 722 0 2YR FALSE 1103604941 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.02 654 41.97 2YR FALSE 1103604972 REDUCED PA2605EI_ARM-INTONLY 0 369128 71800 97.29 631 45 3YR FALSE 1103604991 NINA SF1630_FIXEDRATE 0 0 0 52.33 748 0 2YR FALSE 1103604993 REDUCED PF2630I_FIX-INTONLY 0 0 132500 95 634 49.03 2YR FALSE 1103604996 REDUCED PF0630I_FIX-INTONLY 0 0 0 48.89 788 45.16 3YR FALSE 1103605001 REDUCED PA0605EI_ARM-INTONLY 0 0 60000 95 682 31.24 3YR FALSE 1103605039 REDUCED PA2605EI_ARM-INTONLY 0 440000 88000 100 622 0 2YR FALSE 1103605042 REDUCED PF0630_FIXEDRATE 0 165000 24750 90 717 22.93 2YR FALSE 1103605140 REDUCED PA0605EI_ARM-INTONLY 0 122990 24400 95 693 50 NO-PREPAY MI 1103605145 REDUCED PA0605EI_ARM-INTONLY 0 699000 174750 100 745 35 3YR FALSE 1103605150 REDUCED PL3605E_ARM-BALLOON 0 0 0 73.18 605 34.85 3YR FALSE 1103605221 REDUCED PF0630I_FIX-INTONLY 0 0 0 74 776 31 5YR FALSE 1103605269 REDUCED PA1605EI_ARM-INTONLY 0 410000 61500 90 660 36.4 1YR FALSE 1103605270 REDUCED TB1630_BALLOON 0 410000 0 90 660 36.4 1YR FALSE 1103605319 REDUCED TB0630_BALLOON 0 0 0 90 683 39.14 6MO FALSE 1103605321 REDUCED PA0605EI_ARM-INTONLY 0 298500 0 75 692 27.91 2YR FALSE 1103605325 REDUCED PA2605EI_ARM-INTONLY 0 265000 53000 100 626 49.16 3YR FALSE 1103605345 REDUCED PA1605EI_ARM-INTONLY 0 0 52050 95 673 38.88 NO-PREPAY MI 1103605346 REDUCED PA1605EI_ARM-INTONLY 0 312000 62400 100 672 38.463 3YR FALSE 1103605347 REDUCED PA1605EI_ARM-INTONLY 0 395000 39500 90 646 37.05 3YR FALSE 1103605349 NO RATIO SA1603EI_ARM-INTONLY 0 823347 173397 100 721 0 NO-PREPAY MI 1103605352 REDUCED PA0603EI_ARM-INTONLY 0 913750 182750 100 779 43.57 NO-PREPAY MI 1103605354 REDUCED PA0603EI_ARM-INTONLY 0 575000 86250 95 681 56.14 3YR FALSE 1103605357 REDUCED PA0603EI_ARM-INTONLY 0 0 0 60.91 692 40.44 3YR FALSE 1103605361 REDUCED PA1603EI_ARM-INTONLY 0 0 0 80 668 40.35 NO-PREPAY MI 1103605362 REDUCED PA1602EI_ARM-INTONLY 0 215000 43000 100 652 39.34 2YR FALSE 1103605364 NO RATIO SA1602EI_ARM-INTONLY 0 0 0 63.55 685 0 NO-PREPAY MI 1103605365 REDUCED PA0603E_ARM 0 119000 25000 100 711 42.21 NO-PREPAY MI 1103605366 FULL/ALT PA0602E_ARM 0 225000 45000 100 747 52.76 3YR FALSE 1103605367 NO RATIO SA1605EI_ARM-INTONLY 0 0 70992 99.72 703 0 3YR FALSE 1103605437 NO RATIO BA2205E_ARM 0 365000 73000 100 628 0 NO-PREPAY MI 1103605438 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 70 654 42.36 NO-PREPAY MI 1103605439 NINA BA1205EI_ARM-INTONLY 0 0 0 71.45 658 0 NO-PREPAY MI 1103605441 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 71.84 742 40.27 NO-PREPAY MI 1103605442 FULL/ALT XA0603DI_ARM-INTONLY 0 0 93750 95 726 54.66 NO-PREPAY MI 1103605443 NINA SA2605EI_ARM-INTONLY 0 0 359650 66.56 674 0 NO-PREPAY MI 1103605444 NO RATIO SA0605EI_ARM-INTONLY 0 402800 80560 100 755 0 NO-PREPAY MI 1103605445 REDUCED PA0605EI_ARM-INTONLY 0 0 0 78.38 775 27.61 NO-PREPAY MI 1103605446 NINA BA0205EI_ARM-INTONLY 0 203000 40600 100 803 0 NO-PREPAY MI 1103605448 NINA XA0605EI_ARM-INTONLY 0 0 101000 77.42 698 0 NO-PREPAY MI 1103605449 REDUCED PA0603EI_ARM-INTONLY 0 0 0 66.72 709 25.04 NO-PREPAY MI 1103605452 REDUCED PA1605EI_ARM-INTONLY 0 325000 48750 95 642 35.6 NO-PREPAY MI 1103605455 REDUCED PA0605EI_ARM-INTONLY 0 485000 97000 100 802 44.49 NO-PREPAY MI 1103605456 REDUCED XA0610EI_ARM-INTONLY 0 0 0 70 795 40 3YR TRUE 1103605457 REDUCED PA0605EI_ARM-INTONLY 0 0 64940 82.64 777 38.81 3YR TRUE 1103605458 NO RATIO XA0605D_ARM 0 579000 115800 90 774 0 NO-PREPAY MI 1103605459 REDUCED PA0605EI_ARM-INTONLY 0 505000 100000 99.81 770 44.12 NO-PREPAY MI 1103605461 REDUCED PA0605EI_ARM-INTONLY 0 0 0 79.73 767 42.95 3YR TRUE 1103605462 REDUCED PA0605EI_ARM-INTONLY 0 340000 68000 100 766 25.41 3YR TRUE 1103605463 REDUCED XA0605DI_ARM-INTONLY 0 409000 81800 100 764 36 NO-PREPAY MI 1103605464 REDUCED PA0605EI_ARM-INTONLY 0 447865 0 80 753 43.368 NO-PREPAY MI 1103605465 REDUCED PA0605EI_ARM-INTONLY 0 535000 107000 100 752 43.84 3YR TRUE 1103605466 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 74.6 751 34.065 3YR TRUE 1103605467 REDUCED PA0605EI_ARM-INTONLY 0 444981 88996 100 750 42.89 NO-PREPAY MI 1103605468 REDUCED XA0605DI_ARM-INTONLY 0 325000 65000 100 748 43.01 NO-PREPAY MI 1103605469 REDUCED XA0605DI_ARM-INTONLY 0 917110 221115 94.99 737 38.35 NO-PREPAY MI 1103605470 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 734 33.24 3YR TRUE 1103605472 REDUCED PA0605E_ARM 0 450000 21750 80 733 36.66 NO-PREPAY MI 1103605473 REDUCED PA0605EI_ARM-INTONLY 0 569000 113800 100 731 40.67 3YR TRUE 1103605474 REDUCED PA0605EI_ARM-INTONLY 0 290000 58000 100 729 38 3YR TRUE 1103605475 REDUCED PA0605EI_ARM-INTONLY 0 535000 107000 100 725 37.478 3YR TRUE 1103605476 REDUCED PA0605EI_ARM-INTONLY 0 310000 62000 100 722 36.14 NO-PREPAY MI 1103605477 REDUCED XA0610EI_ARM-INTONLY 0 440000 88000 100 722 44.28 NO-PREPAY MI 1103605478 REDUCED XA0610EI_ARM-INTONLY 0 0 0 80 721 24.3 3YR TRUE 1103605479 REDUCED PA0605EI_ARM-INTONLY 22 590000 88500 95.82 721 35.93 3YR TRUE 1103605480 REDUCED PA0605EI_ARM-INTONLY 0 510000 102000 100 720 42.29 3YR TRUE 1103605481 REDUCED PA0605EI_ARM-INTONLY 0 465000 93000 100 720 45.51 3YR TRUE 1103605482 REDUCED PA0605EI_ARM-INTONLY 0 294000 58800 100 717 42.44 NO-PREPAY MI 1103605483 REDUCED PA0605EI_ARM-INTONLY 0 410000 82000 100 717 43.41 3YR TRUE 1103605484 REDUCED PA0605EI_ARM-INTONLY 0 0 30000 88.96 716 25.12 3YR TRUE 1103605485 REDUCED XA0605DI_ARM-INTONLY 0 270000 54000 100 713 40.26 NO-PREPAY MI 1103605486 REDUCED PA0605EI_ARM-INTONLY 0 530000 106000 100 709 44.27 3YR TRUE 1103605487 REDUCED PA0605EI_ARM-INTONLY 0 775000 155000 100 708 43.3 NO-PREPAY MI 1103605488 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 705 30 3YR TRUE 1103605489 REDUCED PA0605EI_ARM-INTONLY 0 267000 53400 100 705 36.42 3YR TRUE 1103605490 REDUCED PA0603EI_ARM-INTONLY 0 357000 71400 100 704 34.3 NO-PREPAY MI 1103605492 REDUCED XA0605DI_ARM-INTONLY 0 595428 119086 100 703 40.08 NO-PREPAY MI 1103605494 REDUCED PA0605EI_ARM-INTONLY 0 0 25970 84.9 699 38.785 3YR TRUE 1103605495 SISA PA0605EI_ARM-INTONLY 0 0 104250 90 699 29.15 NO-PREPAY MI 1103605496 REDUCED XA0605D_ARM 0 0 0 70 698 27.638 NO-PREPAY MI 1103605497 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 695 42 NO-PREPAY MI 1103605498 REDUCED PA0605EI_ARM-INTONLY 0 580000 116000 100 693 44.33 3YR TRUE 1103605499 REDUCED PA0607EI_ARM-INTONLY 0 700748 140150 100 690 34.39 3YR TRUE 1103605500 REDUCED PA0605EI_ARM-INTONLY 0 243000 48600 100 690 37.39 NO-PREPAY MI 1103605501 SISA XA0607DI_ARM-INTONLY 0 291400 29150 90 686 43.86 NO-PREPAY MI 1103605502 FULL/ALT PA0605EI_ARM-INTONLY 0 335000 67000 100 686 36.89 NO-PREPAY MI 1103605503 REDUCED PA0605EI_ARM-INTONLY 0 540000 108000 100 683 43.71 3YR TRUE 1103605504 REDUCED PA1605EI_ARM-INTONLY 0 370000 74000 100 680 43.45 NO-PREPAY MI 1103605506 FULL/ALT PA1603EI_ARM-INTONLY 0 569000 152000 100 671 39.78 NO-PREPAY MI 1103605507 FULL/ALT PA1605EI_ARM-INTONLY 0 436000 87200 100 664 42.95 3YR TRUE 1103605508 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 663 40.82 3YR TRUE 1103605509 FULL/ALT PA1605EI_ARM-INTONLY 0 520000 104000 100 653 44.21 NO-PREPAY MI 1103605510 REDUCED XA1605DI_ARM-INTONLY 0 0 0 67.72 652 48 NO-PREPAY MI 1103605569 REDUCED PA0605EI_ARM-INTONLY 0 365000 91250 100 792 42.63 1YR FALSE 1103605639 REDUCED PA0605EI_ARM-INTONLY 0 404000 80800 100 691 48.41 NO-PREPAY MI 1103605701 NINA SA0607EI_ARM-INTONLY 0 0 0 57.95 692 31.11 NO-PREPAY MI 1103605708 SISA PA0605EI_ARM-INTONLY 0 333000 66500 91.46 717 35.36 3YR TRUE 1103605712 FULL/ALT PA0605EI_ARM-INTONLY 0 125000 25000 95 762 42.66 3YR FALSE 1103605713 REDUCED PA0605EI_ARM-INTONLY 0 400000 80000 100 691 0 3YR FALSE 1103605744 SISA PA0605EI_ARM-INTONLY 0 0 77250 95 690 42.03 NO-PREPAY MI 1103605778 REDUCED PA2605EI_ARM-INTONLY 0 995000 149250 90 638 0 NO-PREPAY MI 1103605790 REDUCED PA0605EI_ARM-INTONLY 0 0 113000 100 743 44.84 1YR FALSE 1103605807 REDUCED PA0605EI_ARM-INTONLY 0 0 72000 80.67 685 42 3YR FALSE 1103605867 FULL/ALT PF1630_FIXEDRATE 0 175000 35000 95 642 46.66 3YR FALSE 1103605905 SISA PA2605EI_ARM-INTONLY 0 0 0 52.73 620 35.6 3YR FALSE 1103605908 FULL/ALT PA1605EI_ARM-INTONLY 0 510000 76500 95 665 47.84 5YR TRUE 1103605961 SISA PA0605EI_ARM-INTONLY 0 0 0 73.77 769 43.89 NO-PREPAY MI 1103606020 REDUCED PF0630_FIXEDRATE 0 604000 100000 79.97 691 45 1YR FALSE 1103606022 NO RATIO SA1605EI_ARM-INTONLY 0 425000 0 52.95 740 0 2YR FALSE 1103606026 REDUCED PA1602E_ARM 0 283000 56600 100 658 37.94 2YR FALSE 1103606027 REDUCED PA0607EI_ARM-INTONLY 0 385000 57750 95 693 49.03 3YR FALSE 1103606050 SISA PA2605EI_ARM-INTONLY 0 0 0 68.48 626 34.05 NO-PREPAY MI 1103606065 REDUCED PF0630I_FIX-INTONLY 0 0 0 42.86 773 16.19 3YR FALSE 1103606085 FULL/ALT PA1605EI_ARM-INTONLY 0 148900 37225 95 665 48 2YR FALSE 1103606118 SISA PA1605EI_ARM-INTONLY 0 0 0 55.24 665 49.91 5YR FALSE 1103606132 REDUCED PA1605EI_ARM-INTONLY 0 0 0 66.95 658 54 3YR FALSE 1103606133 REDUCED PA1605EI_ARM-INTONLY 0 190000 28500 95 676 35.82 2YR FALSE 1103606150 SISA PA0605EI_ARM-INTONLY 0 305000 61000 100 699 47.61 2YR FALSE 1103606162 REDUCED PA0605EI_ARM-INTONLY 0 0 50000 90 752 40.33 3YR FALSE 1103606301 REDUCED PA2605EI_ARM-INTONLY 0 0 73500 100 633 41.5 2YR FALSE 1103606324 REDUCED TB0630_BALLOON 0 202490 0 95 682 48 NO-PREPAY MI 1103606332 NINA SA2605EI_ARM-INTONLY 0 0 0 52.58 672 1 3YR FALSE 1103606432 REDUCED PA0605EI_ARM-INTONLY 0 940000 150000 85.11 719 23.2 5YR TRUE 1103606455 REDUCED PA0605EI_ARM-INTONLY 0 283551 70888 95 742 45.04 3YR FALSE 1103606496 REDUCED PA1605EI_ARM-INTONLY 0 575000 115000 100 677 48 3YR FALSE 1103606508 REDUCED PA0605EI_ARM-INTONLY 0 0 132000 77.05 768 48.66 NO-PREPAY MI 1103606509 REDUCED PA1605E_ARM 0 530000 0 80 655 38.83 NO-PREPAY MI 1103606510 REDUCED PA0605EI_ARM-INTONLY 0 510000 102000 100 747 37.61 NO-PREPAY MI 1103606511 FULL/ALT PA0605EI_ARM-INTONLY 0 530000 0 33.4 782 14 NO-PREPAY MI 1103606513 NINA SA1605E_ARM 0 0 0 65 686 0 NO-PREPAY MI 1103606514 REDUCED PA0605EI_ARM-INTONLY 0 283000 56600 100 705 44.19 NO-PREPAY MI 1103606516 REDUCED PA0605EI_ARM-INTONLY 0 340000 73000 100 684 33.23 NO-PREPAY MI 1103606517 NINA XA1605EI_ARM-INTONLY 0 319227 0 80 765 0 NO-PREPAY MI 1103606518 FULL/ALT PA1605EI_ARM-INTONLY 0 475000 47500 90 662 46.18 NO-PREPAY MI 1103606519 REDUCED PA0605EI_ARM-INTONLY 0 560000 112000 100 772 43.23 NO-PREPAY MI 1103606520 NINA BA2205EI_ARM-INTONLY 0 0 0 65 645 0 NO-PREPAY MI 1103606523 FULL/ALT PA0605EI_ARM-INTONLY 0 250000 50000 100 683 33.51 NO-PREPAY MI 1103606524 REDUCED PA1605EI_ARM-INTONLY 0 344000 68800 100 679 43.5 NO-PREPAY MI 1103606525 REDUCED PA0605EI_ARM-INTONLY 0 499000 99800 100 714 49.78 NO-PREPAY MI 1103606526 FULL/ALT PA1605EI_ARM-INTONLY 0 599000 120000 100.16 666 38.87 NO-PREPAY MI 1103606527 SISA PA1605EI_ARM-INTONLY 0 0 0 41.24 680 31.99 NO-PREPAY MI 1103606528 REDUCED PA0605EI_ARM-INTONLY 0 0 380000 90 708 34.73 NO-PREPAY MI 1103606529 REDUCED PA0605EI_ARM-INTONLY 0 455000 91000 100 688 38.78 NO-PREPAY MI 1103606531 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 755 43 NO-PREPAY MI 1103606544 REDUCED PA0603EI_ARM-INTONLY 0 0 65000 90 684 32.64 1YR FALSE 1103606548 REDUCED PA0605EI_ARM-INTONLY 0 187500 37500 94.99 697 30.66 2YR FALSE 1103606597 NINA SA0605EI_ARM-INTONLY 0 0 0 68.43 729 1 1YR FALSE 1103606637 REDUCED PA1605EI_ARM-INTONLY 0 0 134000 95 668 0 3YR FALSE 1103606738 FULL/ALT PA0605EI_ARM-INTONLY 0 0 30000 90 704 43.14 3YR FALSE 1103606920 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 61.52 701 1 1YR FALSE 1103606961 SISA PF1630_FIXEDRATE 35 215000 0 90 652 23.59 NO-PREPAY MI 1103606965 REDUCED PF0630_FIXEDRATE 0 907500 181500 95 720 29.79 3YR FALSE 1103607075 REDUCED PF1630I_FIX-INTONLY 0 0 0 63.34 666 19.67 3YR FALSE 1103607142 REDUCED PA2605EI_ARM-INTONLY 0 210000 51000 99.29 621 42.88 3YR FALSE 1103607162 SISA PA1605EI_ARM-INTONLY 0 0 31200 90 655 48.82 3YR FALSE 1103607193 NO RATIO SF1630I_FIX-INTONLY 0 0 0 41.9 704 1 3YR FALSE 1103607209 NINA SF2615_FIXEDRATE 0 0 0 49.86 623 0 1YR FALSE 1103607326 REDUCED PA1605EI_ARM-INTONLY 0 0 55500 100 649 36.27 3YR FALSE 1103607333 REDUCED PF2630I_FIX-INTONLY 0 200000 40000 100 624 36.27 2YR FALSE 1103607342 REDUCED PA0605EI_ARM-INTONLY 0 0 58500 90 681 19.99 2YR FALSE 1103607355 SISA PA0605EI_ARM-INTONLY 0 750000 0 75 690 40.74 NO-PREPAY MI 1103607363 REDUCED PF0630_FIXEDRATE 0 0 0 62.75 681 50 3YR FALSE 1103607401 REDUCED PF3630_FIXEDRATE 0 0 0 69.54 601 24 NO-PREPAY MI 1103607413 REDUCED PA0605EI_ARM-INTONLY 0 529500 105900 100 707 38.63 1YR FALSE 1103607420 REDUCED PA0605E_ARM 0 230000 46000 90 749 38 NO-PREPAY MI 1103607421 REDUCED PA2607E_ARM 0 0 0 68.58 631 26.29 1YR FALSE 1103607422 SISA PA0603EI_ARM-INTONLY 0 488000 146400 100 759 37.68 NO-PREPAY MI 1103607423 FULL/ALT PA1603EI_ARM-INTONLY 0 715000 143000 100 679 37.15 NO-PREPAY MI 1103607424 REDUCED PA1603EI_ARM-INTONLY 0 505000 151500 100 654 47 1YR FALSE 1103607425 SISA PA0603EI_ARM-INTONLY 0 753000 149998 94.63 789 44.9 1YR FALSE 1103607427 REDUCED PA0605EI_ARM-INTONLY 0 0 100000 78.95 691 43.85 NO-PREPAY MI 1103607428 REDUCED PA0605EI_ARM-INTONLY 0 0 0 56.4 732 23.05 NO-PREPAY MI 1103607429 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 674 37.98 NO-PREPAY MI 1103607430 SISA PA0605EI_ARM-INTONLY 0 200000 40000 90 706 38.25 NO-PREPAY MI 1103607431 REDUCED PA1605EI_ARM-INTONLY 0 368500 73700 100 650 44.64 1YR FALSE 1103607432 REDUCED PA0605EI_ARM-INTONLY 0 0 180000 88.34 695 42.82 1YR FALSE 1103607433 REDUCED PA0605EI_ARM-INTONLY 0 600000 120000 100 717 46.25 2YR FALSE 1103607434 SISA XA0605DI_ARM-INTONLY 0 875000 0 80 766 43.84 NO-PREPAY MI 1103607435 SISA XA0607DI_ARM-INTONLY 0 550000 0 80 805 30.23 NO-PREPAY MI 1103607436 SISA XA0607DI_ARM-INTONLY 0 696000 0 78.45 801 51.26 NO-PREPAY MI 1103607437 SISA XA0607DI_ARM-INTONLY 0 0 0 66.67 706 35.62 NO-PREPAY MI 1103607438 SISA PA0605EI_ARM-INTONLY 0 449900 90000 100 746 49.77 2YR FALSE 1103607439 REDUCED PA1605EI_ARM-INTONLY 0 540000 135000 100 662 30.09 1YR FALSE 1103607440 REDUCED PA1605EI_ARM-INTONLY 0 735000 147000 100 678 48.34 NO-PREPAY MI 1103607441 REDUCED PA0605EI_ARM-INTONLY 0 370000 92500 100 690 41.9 1YR FALSE 1103607443 REDUCED PA0607EI_ARM-INTONLY 0 0 0 69.6 721 36.63 3YR TRUE 1103607444 NO RATIO SA1603EI_ARM-INTONLY 0 560730 0 80 679 0 NO-PREPAY MI 1103607446 NINA SA1605EI_ARM-INTONLY 0 0 0 75 667 0 3YR FALSE 1103607447 NINA SA0605EI_ARM-INTONLY 0 0 0 75 707 0 3YR TRUE 1103607449 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 67.78 641 42 NO-PREPAY MI 1103607450 SISA XA0607D_ARM 0 0 0 49.04 736 36.65 NO-PREPAY MI 1103607451 SISA XA0610DI_ARM-INTONLY 0 0 37000 90 718 45.33 NO-PREPAY MI 1103607462 SISA PL1603E_ARM-BALLOON 0 0 0 70 651 42.13 1YR FALSE 1103607470 FULL/ALT PA3605E_ARM 0 0 46000 90 608 53.51 NO-PREPAY MI 1103607471 REDUCED PA3605E_ARM 0 0 0 78.58 609 35.47 NO-PREPAY MI 1103607472 NO RATIO BA1205EI_ARM-INTONLY 0 199900 29950 94.98 646 0 NO-PREPAY MI 1103607476 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 80 626 0 2YR FALSE 1103607478 NO RATIO SA3605EI_ARM-INTONLY 0 0 18900 95 672 0 2YR FALSE 1103607480 NO RATIO SA0605EI_ARM-INTONLY 0 242000 48400 100 698 0 2YR FALSE 1103607491 REDUCED PA0603EI_ARM-INTONLY 0 687500 137500 100 686 39.29 3YR FALSE 1103607492 REDUCED PA1602EI_ARM-INTONLY 0 315000 63000 100 644 46.16 2YR FALSE 1103607494 SISA PA0605EI_ARM-INTONLY 0 0 0 66.4 704 12.04 3YR FALSE 1103607496 NINA SA0605EI_ARM-INTONLY 0 300000 0 80 728 0 NO-PREPAY MI 1103607498 SISA PA0602EI_ARM-INTONLY 0 450000 90000 100 818 49.8 2YR FALSE 1103607501 REDUCED PA0603EI_ARM-INTONLY 0 137900 27580 100 699 33.16 NO-PREPAY MI 1103607503 NINA SA0605EI_ARM-INTONLY 0 0 0 65.98 698 0 NO-PREPAY MI 1103607504 REDUCED PA0603EI_ARM-INTONLY 0 235000 47000 100 758 40.9 3YR FALSE 1103607505 REDUCED PA1605EI_ARM-INTONLY 0 0 27000 95 676 30.27 3YR FALSE 1103607506 REDUCED PA0603EI_ARM-INTONLY 0 308000 61600 100 768 37.45 1YR FALSE 1103607507 REDUCED PA0603EI_ARM-INTONLY 0 640000 128000 100 698 48.01 3YR FALSE 1103607508 NO RATIO SL1605E_ARM-BALLOON 0 0 0 70 656 0 3YR FALSE 1103607509 FULL/ALT PA0603EI_ARM-INTONLY 0 724950 144990 100 740 49.93 3YR FALSE 1103607510 REDUCED PA0603E_ARM 0 357000 60690 97 730 48.98 3YR FALSE 1103607511 REDUCED PA1603EI_ARM-INTONLY 0 0 60000 100 668 46 3YR FALSE 1103607512 NINA SA0603EI_ARM-INTONLY 0 399000 0 62.66 723 0 NO-PREPAY MI 1103607513 REDUCED PA0602EI_ARM-INTONLY 0 558000 111600 100 775 43.98 2YR FALSE 1103607514 FULL/ALT PA2603EI_ARM-INTONLY 0 0 0 59.58 620 25.29 3YR FALSE 1103607515 REDUCED PA0605EI_ARM-INTONLY 0 433000 83800 100 712 44.8 NO-PREPAY MI 1103607517 REDUCED PA2603E_ARM 0 320000 64000 100 639 51.06 3YR FALSE 1103607518 NINA SA0605EI_ARM-INTONLY 0 329999 0 80 755 0 3YR FALSE 1103607519 REDUCED PA0603EI_ARM-INTONLY 0 435000 87000 100 693 48.97 1YR FALSE 1103607520 REDUCED PA0605E_ARM 0 0 0 61.12 694 32.61 3YR FALSE 1103607521 REDUCED PA0605EI_ARM-INTONLY 0 335000 67000 100 803 47.9 NO-PREPAY MI 1103607523 REDUCED PA0603EI_ARM-INTONLY 0 335000 67000 100 735 46.16 3YR FALSE 1103607597 NINA SA1605EI_ARM-INTONLY 0 0 0 65.69 724 1 1YR FALSE 1103607635 REDUCED PA0605EI_ARM-INTONLY 0 0 95000 100 684 43.78 2YR FALSE 1103607649 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 79.55 679 47.58 NO-PREPAY MI 1103607650 REDUCED PA0605EI_ARM-INTONLY 0 416567 0 74.9 735 47.54 NO-PREPAY MI 1103607651 FULL/ALT PA1605EI_ARM-INTONLY 0 0 76043.9 92.99 659 43.85 NO-PREPAY MI 1103607652 NO RATIO EA2605EI_ARM-INTONLY 0 0 190000 74.46 632 0 NO-PREPAY MI 1103607653 NO RATIO EA1605EI_ARM-INTONLY 0 314900 63000 100 702 0 NO-PREPAY MI 1103607654 REDUCED PA0605EI_ARM-INTONLY 0 0 0 58.99 753 34.19 NO-PREPAY MI 1103607655 REDUCED PA0605EI_ARM-INTONLY 0 231000 46200 100 684 39.32 NO-PREPAY MI 1103607656 NINA EA1605EI_ARM-INTONLY 0 488293 48782.26 89.99 692 0 NO-PREPAY MI 1103607657 REDUCED PA0605EI_ARM-INTONLY 0 388500 77700 100 757 48.83 NO-PREPAY MI 1103607658 SISA PA0605EI_ARM-INTONLY 0 768000 153600 100 705 44.86 NO-PREPAY MI 1103607660 REDUCED PA0605EI_ARM-INTONLY 0 1132908 0 80 683 38.42 NO-PREPAY MI 1103607661 NO RATIO EA1605EI_ARM-INTONLY 0 0 0 42.5 704 0 NO-PREPAY MI 1103607662 NO RATIO EA1605EI_ARM-INTONLY 0 864908 172996.6 100 702 0 NO-PREPAY MI 1103607663 REDUCED PA1605EI_ARM-INTONLY 0 0 157500 95 665 35.05 NO-PREPAY MI 1103607664 SISA BA1605EI_ARM-INTONLY 0 0 270000 85 680 33.82 3YR TRUE 1103607665 REDUCED PA0605EI_ARM-INTONLY 0 565000 113000 100 799 34.9 NO-PREPAY MI 1103607666 FULL/ALT PA0605EI_ARM-INTONLY 0 589000 117800 100 688 49.96 NO-PREPAY MI 1103607667 REDUCED PA0605EI_ARM-INTONLY 0 779000 155800 100 696 37.6 NO-PREPAY MI 1103607734 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.3 661 39.43 1YR FALSE 1103607756 REDUCED PA1607EI_ARM-INTONLY 0 0 0 70 661 39.43 3YR FALSE 1103607860 REDUCED PA1605EI_ARM-INTONLY 0 880000 176000 100 673 48.04 NO-PREPAY MI 1103607881 REDUCED TB1630I_BALLOON-INTONLY 0 880000 0 100 673 48.04 NO-PREPAY MI 1103607911 REDUCED PA0605EI_ARM-INTONLY 0 299000 29900 90 743 44.49 NO-PREPAY MI 1103607941 NINA SA2602EI_ARM-INTONLY 30 315000 0 95 662 35 NO-PREPAY MI 1103608029 REDUCED PA0605EI_ARM-INTONLY 0 0 0 60.61 696 20.98 NO-PREPAY MI 1103608042 NO RATIO SF2615_FIXEDRATE 0 0 0 58.75 653 1 3YR FALSE 1103608082 REDUCED PA0603EI_ARM-INTONLY 0 0 0 59.28 735 48.76 NO-PREPAY MI 1103608093 SISA PF0630I_FIX-INTONLY 0 0 0 80 681 18.14 3YR FALSE 1103608101 REDUCED PB2640_BALLOON 0 650000 130000 100 627 44.8 NO-PREPAY MI 1103608160 REDUCED PA0605EI_ARM-INTONLY 0 159000 39750 95 688 42.13 NO-PREPAY MI 1103608163 REDUCED PA0605EI_ARM-INTONLY 0 234875 46975 95 688 42.65 3YR TRUE 1103608191 FULL/ALT PA0607EI_ARM-INTONLY 0 0 50000 64.88 799 30.26 2YR FALSE 1103608279 NINA SA0605EI_ARM-INTONLY 0 0 0 64.81 696 1 1YR FALSE 1103608323 REDUCED PA0603E_ARM 0 265000 0 80 684 29.29 3YR FALSE 1103608388 REDUCED PA1605E_ARM 0 0 74500 86.75 677 44.91 3YR FALSE 1103608402 REDUCED PF1630I_FIX-INTONLY 0 379000 75800 100 672 47.65 NO-PREPAY MI 1103608410 REDUCED PA1605EI_ARM-INTONLY 0 290000 87000 100 640 48.77 1YR FALSE 1103608438 FULL/ALT XA1605DI_ARM-INTONLY 0 0 96000 95 644 37.86 NO-PREPAY MI 1103608439 NO RATIO XA1605DI_ARM-INTONLY 0 0 0 65 644 0 1YR TRUE 1103608440 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 46.39 647 38.74 1YR TRUE 1103608441 FULL/ALT XA1605DI_ARM-INTONLY 0 0 49500 95 671 42.16 NO-PREPAY MI 1103608443 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 80 687 42.03 3YR TRUE 1103608444 FULL/ALT XA0605DI_ARM-INTONLY 0 350000 70000 100 688 35.76 NO-PREPAY MI 1103608445 FULL/ALT XA0605D_ARM 0 0 46000 100 694 43.07 NO-PREPAY MI 1103608446 FULL/ALT XA0605DI_ARM-INTONLY 0 345000 49500 94.35 703 40.44 NO-PREPAY MI 1103608447 FULL/ALT XA0605DI_ARM-INTONLY 0 565000 56500 90 705 43.14 NO-PREPAY MI 1103608448 FULL/ALT XA0605DI_ARM-INTONLY 0 354510 88600 99.99 718 38.52 NO-PREPAY MI 1103608449 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 43.48 725 38.05 NO-PREPAY MI 1103608450 FULL/ALT XA0605DI_ARM-INTONLY 0 0 37200 95 741 35.97 NO-PREPAY MI 1103608451 REDUCED XA0605DI_ARM-INTONLY 0 0 38100 90 745 36.34 NO-PREPAY MI 1103608452 FULL/ALT XA0605DI_ARM-INTONLY 0 520000 104000 100 752 32.99 NO-PREPAY MI 1103608453 NO RATIO XA1605D_ARM 0 0 0 75 788 0 3YR TRUE 1103608454 FULL/ALT XA0605DI_ARM-INTONLY 0 175000 17500 90 795 42.03 3YR TRUE 1103608455 REDUCED XA0605DI_ARM-INTONLY 0 820000 163918 89.99 801 28.53 NO-PREPAY MI 1103608457 REDUCED XA1605DI_ARM-INTONLY 0 0 0 74.99 643 46.61 3YR TRUE 1103608459 NO RATIO XA1605DI_ARM-INTONLY 0 293447 72750 100 655 0 NO-PREPAY MI 1103608460 REDUCED XA1605DI_ARM-INTONLY 0 500000 100000 100 664 40.86 NO-PREPAY MI 1103608462 FULL/ALT XA1605DI_ARM-INTONLY 0 355000 71000 100 673 44.86 NO-PREPAY MI 1103608464 REDUCED XA1605DI_ARM-INTONLY 0 0 48200 85 675 42.17 1YR TRUE 1103608465 NO RATIO XA1605DI_ARM-INTONLY 0 730000 146000 100 667 0 NO-PREPAY MI 1103608466 REDUCED XA0605DI_ARM-INTONLY 0 0 0 77.67 682 47.45 NO-PREPAY MI 1103608469 REDUCED XA0605DI_ARM-INTONLY 0 135000 27000 100 694 43.69 NO-PREPAY MI 1103608470 REDUCED XA1605DI_ARM-INTONLY 0 0 30500 85.98 649 44.51 3YR TRUE 1103608471 FULL/ALT XA0605D_ARM 0 233000 46600 100 697 40.49 NO-PREPAY MI 1103608473 REDUCED XA0605DI_ARM-INTONLY 0 0 108750 90 714 49.04 NO-PREPAY MI 1103608474 FULL/ALT XA0605DI_ARM-INTONLY 0 0 110000 90 717 31.23 NO-PREPAY MI 1103608475 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 62.07 728 42.74 NO-PREPAY MI 1103608476 NO RATIO XA1605DI_ARM-INTONLY 0 0 90988 99.78 738 0 NO-PREPAY MI 1103608477 NO RATIO XA2605DI_ARM-INTONLY 0 0 115650 80 620 0 NO-PREPAY MI 1103608478 NO RATIO XA1605DI_ARM-INTONLY 0 759000 151800 100 756 0 3YR TRUE 1103608479 FULL/ALT BA0205DI_ARM-INTONLY 0 159000 39750 100 747 45 NO-PREPAY MI 1103608480 NO RATIO XA1605DI_ARM-INTONLY 0 430000 86000 100 777 0 3YR TRUE 1103608484 NO RATIO XA1605DI_ARM-INTONLY 0 760000 74936 89.86 703 0 3YR TRUE 1103608485 NO RATIO XA1605DI_ARM-INTONLY 0 178725 35745 100 661 0 NO-PREPAY MI 1103608486 NO RATIO XA1605DI_ARM-INTONLY 0 223000 33450 90 716 0 1YR TRUE 1103608487 REDUCED XA0605DI_ARM-INTONLY 0 265000 53000 100 776 44.86 NO-PREPAY MI 1103608488 REDUCED XA1605DI_ARM-INTONLY 0 0 76000 100 671 41.35 NO-PREPAY MI 1103608489 REDUCED XA0605DI_ARM-INTONLY 0 0 175000 100 692 30.21 3YR TRUE 1103608490 REDUCED XA0605DI_ARM-INTONLY 0 220000 44000 100 707 42 NO-PREPAY MI 1103608491 NINA XA1605DI_ARM-INTONLY 0 0 25150 73.44 665 0 3YR TRUE 1103608492 REDUCED XA1605DI_ARM-INTONLY 0 709532 141835 99.93 670 43.47 NO-PREPAY MI 1103608493 REDUCED XA1605DI_ARM-INTONLY 0 0 0 65 665 20.23 3YR TRUE 1103608494 REDUCED XA1605DI_ARM-INTONLY 0 254200 50840 100 667 46.65 NO-PREPAY MI 1103608495 NO RATIO XA1605DI_ARM-INTONLY 0 252380 63120 100 646 0 NO-PREPAY MI 1103608496 NO RATIO XA1605DI_ARM-INTONLY 0 160000 32000 100 724 0 NO-PREPAY MI 1103608497 FULL/ALT XA1605DI_ARM-INTONLY 0 899000 179800 100 662 41.78 NO-PREPAY MI 1103608498 REDUCED XA0605DI_ARM-INTONLY 0 194500 38900 100 738 33.78 NO-PREPAY MI 1103608499 REDUCED XA0605DI_ARM-INTONLY 0 877075 139367 90 790 38.76 1YR TRUE 1103608500 NO RATIO XA1605DI_ARM-INTONLY 0 439000 87800 100 704 0 3YR TRUE 1103608501 REDUCED XA0605D_ARM 0 210000 42000 100 738 34 NO-PREPAY MI 1103608502 REDUCED XA0605DI_ARM-INTONLY 0 725000 145000 100 739 40.6 NO-PREPAY MI 1103608503 REDUCED XA0605DI_ARM-INTONLY 0 715000 143000 100 683 41.55 NO-PREPAY MI 1103608504 NO RATIO XA1605DI_ARM-INTONLY 0 218000 43600 100 658 0 3YR TRUE 1103608505 REDUCED XA0605DI_ARM-INTONLY 0 820044 0 63.41 793 15.69 NO-PREPAY MI 1103608506 REDUCED XA0605DI_ARM-INTONLY 0 0 46400 100 746 42.44 3YR TRUE 1103608509 REDUCED XA0605DI_ARM-INTONLY 0 600000 120000 100 795 29.5 NO-PREPAY MI 1103608510 REDUCED XA1605DI_ARM-INTONLY 0 580000 145000 100 675 42.62 NO-PREPAY MI 1103608511 NO RATIO XA1605D_ARM 0 0 0 77.74 678 0 NO-PREPAY MI 1103608513 REDUCED XA1605D_ARM 0 188498 37681 99.99 667 39 NO-PREPAY MI 1103608516 REDUCED PA2605EI_ARM-INTONLY 0 375000 75000 100 623 44.26 3YR FALSE 1103608522 REDUCED PA0605EI_ARM-INTONLY 0 630000 189000 100 720 42.16 NO-PREPAY MI 1103608536 FULL/ALT PF0630I_FIX-INTONLY 0 0 208000 99.93 695 49.28 3YR FALSE 1103608565 NINA SA0605EI_ARM-INTONLY 0 0 90000 90 726 1 3YR FALSE 1103608579 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 74.63 634 1 NO-PREPAY MI 1103608600 REDUCED PA0605EI_ARM-INTONLY 0 0 145000 93.36 710 43.96 NO-PREPAY MI 1103608613 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 638 35.75 1YR FALSE 1103608638 FULL/ALT PA0607EI_ARM-INTONLY 0 0 55750 62.54 745 36.89 3YR FALSE 1103608700 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 711 37.3 NO-PREPAY MI 1103608703 REDUCED PA0605EI_ARM-INTONLY 0 435000 108750 100 706 40.47 3YR TRUE 1103608726 NINA SF0630_FIXEDRATE 0 0 0 48.47 683 0 3YR FALSE 1103608759 REDUCED PA0605EI_ARM-INTONLY 0 200000 50000 95 782 39.99 1YR FALSE 1103608774 NINA SA5602E_ARM 0 150000 0 80 580 41.55 NO-PREPAY MI 1103608787 REDUCED PA1605EI_ARM-INTONLY 0 182500 0 72.61 666 35.95 NO-PREPAY MI 1103608844 REDUCED PA2605EI_ARM-INTONLY 0 304980 91494 100 635 45.87 NO-PREPAY MI 1103608867 REDUCED PA1605EI_ARM-INTONLY 0 335000 67000 95 666 37.84 NO-PREPAY MI 1103608873 REDUCED PA0605EI_ARM-INTONLY 0 240000 48000 95 753 22.88 NO-PREPAY MI 1103608962 REDUCED PA0605EI_ARM-INTONLY 0 355000 71000 100 681 44.67 NO-PREPAY MI 1103609096 REDUCED PF0630I_FIX-INTONLY 0 225000 67500 100 751 38.31 2YR FALSE 1103609171 NINA SB0630_BALLOON 0 0 0 64.17 691 1 3YR FALSE 1103609216 REDUCED PA1605EI_ARM-INTONLY 0 150000 30000 100 646 33.13 2YR TRUE 1103609222 REDUCED PA2605EI_ARM-INTONLY 0 250000 20000 52 620 36.75 2YR FALSE 1103609387 SISA PA1605EI_ARM-INTONLY 0 0 0 76.37 677 38.07 1YR FALSE 1103609418 REDUCED PL0605E_ARM-BALLOON 0 0 0 80 688 49 2YR FALSE 1103609529 REDUCED PA0605EI_ARM-INTONLY 0 405000 81000 100 692 46.23 3YR FALSE 1103609545 REDUCED PA0605EI_ARM-INTONLY 0 387000 96750 95 719 49.62 1YR FALSE 1103609609 REDUCED PA0605EI_ARM-INTONLY 0 653000 0 75 758 33.71 1YR FALSE 1103609644 NINA SF0630_FIXEDRATE 0 0 0 39.74 760 1 NO-PREPAY MI 1103609709 NINA BA0605E_ARM 0 750000 150000 100 706 0 3YR TRUE 1103609710 NINA SA0605EI_ARM-INTONLY 0 562000 112400 100 717 0 NO-PREPAY MI 1103609711 NINA SA2605EI_ARM-INTONLY 0 407400 81500 100 693 0 NO-PREPAY MI 1103609712 REDUCED PA0605EI_ARM-INTONLY 0 0 56175 94.98 734 37.05 NO-PREPAY MI 1103609713 REDUCED PA0605EI_ARM-INTONLY 0 427500 85500 100 721 40.64 1YR FALSE 1103609716 REDUCED PA1605EI_ARM-INTONLY 0 620000 124000 100 665 35.72 1YR FALSE 1103609718 REDUCED PA2605E_ARM 0 441234 44124 90 620 36.52 1YR FALSE 1103609721 NO RATIO SA0603EI_ARM-INTONLY 0 0 106500 95 736 0 3YR FALSE 1103609723 NO RATIO XA0605EI_ARM-INTONLY 0 635000 127000 100 753 0 3YR TRUE 1103609724 NO RATIO SA0605EI_ARM-INTONLY 0 309000 61800 100 721 0 3YR TRUE 1103609725 NINA XA0605EI_ARM-INTONLY 0 180990 27148 95 755 0 NO-PREPAY MI 1103609726 NO RATIO SA1605EI_ARM-INTONLY 0 440000 88000 100 734 0 3YR TRUE 1103609727 NO RATIO SA1605EI_ARM-INTONLY 0 559000 55900 89.97 692 0 NO-PREPAY MI 1103609728 NO RATIO XA1605E_ARM 0 0 0 65.12 647 0 1YR FALSE 1103609729 NINA SA2605E_ARM 0 860000 124000 90 673 0 NO-PREPAY MI 1103609730 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 79.6 654 0 3YR TRUE 1103609731 NO RATIO SA2605EI_ARM-INTONLY 0 520000 104000 100 671 0 3YR TRUE 1103609732 NO RATIO SA2605E_ARM 0 382000 76400 100 671 0 2YR FALSE 1103609733 NO RATIO SA2605EI_ARM-INTONLY 0 0 30000 88.12 639 0 NO-PREPAY MI 1103609734 NO RATIO SA2605EI_ARM-INTONLY 0 273186 40977 95 652 0 1YR FALSE 1103609735 NO RATIO SA2605EI_ARM-INTONLY 0 455000 91000 100 672 0 3YR TRUE 1103609860 FULL/ALT PA0605E_ARM 0 385000 77000 100 703 41.61 NO-PREPAY MI 1103609973 REDUCED PA2605EI_ARM-INTONLY 0 379115 75000 99.78 631 42.9 2YR FALSE 1103610016 REDUCED PF0630I_FIX-INTONLY 0 0 0 32.08 696 50.53 NO-PREPAY MI 1103610048 REDUCED PA0607EI_ARM-INTONLY 0 579900 0 77.6 735 43.23 1YR FALSE 1103610096 REDUCED PA0605EI_ARM-INTONLY 0 565000 113000 100 749 36.127 3YR FALSE 1103610097 REDUCED PA0605EI_ARM-INTONLY 0 295000 59000 100 772 31.902 3YR FALSE 1103610098 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 754 37.64 NO-PREPAY MI 1103610099 REDUCED PA0605EI_ARM-INTONLY 0 0 93000 90 748 36.89 NO-PREPAY MI 1103610391 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 53.05 725 29.42 NO-PREPAY MI 1103610395 REDUCED PA0605EI_ARM-INTONLY 0 600000 60000 90 693 37.3 NO-PREPAY MI 1103610398 REDUCED PA0605DI_ARM-INTONLY 0 565000 113000 100 700 40.69 3YR TRUE 1103610399 FULL/ALT PA1605EI_ARM-INTONLY 0 625000 125000 100 666 49.14 NO-PREPAY MI 1103610400 REDUCED PA0605DI_ARM-INTONLY 0 0 52000 90 701 32.94 3YR TRUE 1103610401 REDUCED PA0605EI_ARM-INTONLY 0 169900 33900 99.95 696 42.19 NO-PREPAY MI 1103610402 FULL/ALT PA0605DI_ARM-INTONLY 0 0 0 75 738 43.1 3YR TRUE 1103610406 REDUCED PA0605EI_ARM-INTONLY 0 543005 108600 99.99 743 44.75 NO-PREPAY MI 1103610408 REDUCED PA0605EI_ARM-INTONLY 0 490000 98000 100 726 44.97 NO-PREPAY MI 1103610409 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 663 26.88 3YR TRUE 1103610410 REDUCED PA0605DI_ARM-INTONLY 0 0 0 64.09 723 38.76 3YR TRUE 1103610411 REDUCED PA0605DI_ARM-INTONLY 0 369900 74000 100 696 42.39 3YR TRUE 1103610431 REDUCED PF1630_FIXEDRATE 0 0 0 63.4 645 48.41 NO-PREPAY MI 1103610487 SISA PF0630_FIXEDRATE 0 0 0 33.34 773 57 NO-PREPAY MI 1103610488 REDUCED PA0605EI_ARM-INTONLY 0 282500 70650 100 701 45.37 1YR FALSE 1103610621 FULL/ALT XA0605DI_ARM-INTONLY 0 1800000 360180 89.46 715 45 NO-PREPAY MI 1103610622 REDUCED XA0605DI_ARM-INTONLY 0 160000 40000 90 681 45 NO-PREPAY MI 1103610623 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 59.09 644 45 1YR TRUE 1103610624 NO RATIO SA2605EI_ARM-INTONLY 0 389910 58448 95 680 0 NO-PREPAY MI 1103610625 NO RATIO SA2605EI_ARM-INTONLY 0 364065 72813 100 662 0 NO-PREPAY MI 1103610626 REDUCED XA1605DI_ARM-INTONLY 0 573165 114633 89.79 656 45 NO-PREPAY MI 1103610627 NO RATIO SA2605EI_ARM-INTONLY 0 412008.2 41201 90 637 0 NO-PREPAY MI 1103610628 REDUCED XA2605DI_ARM-INTONLY 0 397343 39734 90 638 45 NO-PREPAY MI 1103610632 NO RATIO SA2605EI_ARM-INTONLY 0 336759 67352 100 642 0 NO-PREPAY MI 1103610633 NO RATIO SA1605EI_ARM-INTONLY 0 1018100 203620 100 712 0 NO-PREPAY MI 1103610634 NINA SA1605EI_ARM-INTONLY 0 190434 38087 100 695 0 NO-PREPAY MI 1103610635 FULL/ALT PA2605EI_ARM-INTONLY 0 0 35989 90 629 45 NO-PREPAY MI 1103610637 REDUCED PA2605EI_ARM-INTONLY 0 371203 74241 100 638 45 NO-PREPAY MI 1103610638 NO RATIO SA2605EI_ARM-INTONLY 0 379351 75870 100 675 0 NO-PREPAY MI 1103610639 NO RATIO SA2605EI_ARM-INTONLY 0 710340 142068 100 679 0 NO-PREPAY MI 1103610640 NO RATIO SA1605EI_ARM-INTONLY 0 531565 106313 100 725 0 NO-PREPAY MI 1103610642 FULL/ALT XA2605DI_ARM-INTONLY 0 784900 0 52.88 632 45 NO-PREPAY MI 1103610643 FULL/ALT XA0605D_ARM 0 239000 0 74.9 777 45 NO-PREPAY MI 1103610644 FULL/ALT XA1605DI_ARM-INTONLY 0 589615 0 80 650 45 NO-PREPAY MI 1103610645 NINA XA0605DI_ARM-INTONLY 0 492954 0 51.33 685 0 NO-PREPAY MI 1103610646 REDUCED XA1605DI_ARM-INTONLY 0 0 0 71.24 660 45 NO-PREPAY MI 1103610647 FULL/ALT XA0605DI_ARM-INTONLY 0 1690000 169000 90 746 45 NO-PREPAY MI 1103610648 REDUCED XA1605D_ARM 0 0 33991 89.8 669 45 NO-PREPAY MI 1103610649 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 79.95 644 45 NO-PREPAY MI 1103610650 FULL/ALT XA1605DI_ARM-INTONLY 0 0 0 80 640 45 NO-PREPAY MI 1103610651 REDUCED XA1605DI_ARM-INTONLY 25 0 0 90 666 45 NO-PREPAY MI 1103610652 NO RATIO PA0605EI_ARM-INTONLY 0 284825 56965 100 778 0 NO-PREPAY MI 1103610656 REDUCED PA1605EI_ARM-INTONLY 0 845000 0 80 667 32.082 NO-PREPAY MI 1103610657 REDUCED XA1610EI_ARM-INTONLY 0 574000 114800 100 679 36.79 NO-PREPAY MI 1103610658 REDUCED XA1610EI_ARM-INTONLY 0 615000 123000 100 678 32.888 NO-PREPAY MI 1103610659 REDUCED PA0605EI_ARM-INTONLY 0 690000 103500 95 764 27.052 NO-PREPAY MI 1103610660 REDUCED PA0605EI_ARM-INTONLY 0 740000 74000 90 776 32.922 NO-PREPAY MI 1103610661 REDUCED PA0605EI_ARM-INTONLY 0 660000 132000 100 705 38.966 NO-PREPAY MI 1103610663 REDUCED PA1605EI_ARM-INTONLY 0 565000 0 80 678 40.848 NO-PREPAY MI 1103610664 REDUCED PA0605EI_ARM-INTONLY 0 865000 129700 95 754 34.646 NO-PREPAY MI 1103610665 REDUCED PA0605EI_ARM-INTONLY 0 0 58000 86.18 727 38.62 NO-PREPAY MI 1103610666 REDUCED PA0605EI_ARM-INTONLY 0 425000 42500 90 696 39.565 NO-PREPAY MI 1103610667 REDUCED PA0605EI_ARM-INTONLY 0 349000 52300 94.99 748 34.117 NO-PREPAY MI 1103610668 FULL/ALT PA0607EI_ARM-INTONLY 0 400000 80000 100 777 22.853 NO-PREPAY MI 1103610672 REDUCED XA0610EI_ARM-INTONLY 0 755000 75500 90 751 37.01 3YR FALSE 1103610673 REDUCED PA0605EI_ARM-INTONLY 0 0 90000 94.76 692 39.41 NO-PREPAY MI 1103610674 REDUCED XA0610EI_ARM-INTONLY 0 565000 0 80 709 37.08 NO-PREPAY MI 1103610676 REDUCED PA1605EI_ARM-INTONLY 0 400000 80000 100 680 34.503 NO-PREPAY MI 1103610677 REDUCED PA0605EI_ARM-INTONLY 0 409000 81800 100 725 35.28 NO-PREPAY MI 1103610678 REDUCED PA0605EI_ARM-INTONLY 0 240000 36000 95 745 38.212 3YR FALSE 1103610679 REDUCED PA0605EI_ARM-INTONLY 0 505000 101000 100 771 33.736 NO-PREPAY MI 1103610680 REDUCED PA0605EI_ARM-INTONLY 0 0 73600 94.99 700 36.914 NO-PREPAY MI 1103610681 REDUCED PA1605EI_ARM-INTONLY 0 280000 28000 90 676 28.87 NO-PREPAY MI 1103610682 REDUCED PA0605EI_ARM-INTONLY 0 330000 66000 100 697 22.45 NO-PREPAY MI 1103610683 REDUCED PA0607EI_ARM-INTONLY 0 565000 84750 95 687 31.994 NO-PREPAY MI 1103610684 REDUCED PA1605EI_ARM-INTONLY 0 0 50100 87.96 680 36.53 3YR FALSE 1103610685 REDUCED PA0605EI_ARM-INTONLY 0 800000 120000 95 757 34.912 NO-PREPAY MI 1103610687 REDUCED BA1205EI_ARM-INTONLY 0 940000 188000 100 665 33.3 NO-PREPAY MI 1103610688 REDUCED PA0605EI_ARM-INTONLY 0 665000 0 80 687 33.001 NO-PREPAY MI 1103610689 REDUCED PA0605EI_ARM-INTONLY 0 650000 130000 100 691 38.12 NO-PREPAY MI 1103610692 REDUCED PA0605EI_ARM-INTONLY 0 697460 139500 100 732 38.72 3YR FALSE 1103610693 REDUCED PA0605EI_ARM-INTONLY 0 259205 51800 99.98 694 38.456 NO-PREPAY MI 1103610694 REDUCED PA0605EI_ARM-INTONLY 0 1000100 100000 90 779 36.591 NO-PREPAY MI 1103610695 REDUCED PA0605EI_ARM-INTONLY 0 433800 43000 89.91 812 28.788 NO-PREPAY MI 1103610696 REDUCED PA0605EI_ARM-INTONLY 0 340412 68000 99.97 711 39.14 NO-PREPAY MI 1103610697 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.18 671 23.37 NO-PREPAY MI 1103610698 REDUCED PA0605EI_ARM-INTONLY 0 249900 49800 99.64 759 43.29 3YR FALSE 1103610699 REDUCED PA0605EI_ARM-INTONLY 0 0 0 79.63 686 29.607 NO-PREPAY MI 1103610700 REDUCED PA0605EI_ARM-INTONLY 0 0 32000 85.72 753 38.261 NO-PREPAY MI 1103610701 REDUCED PA0605EI_ARM-INTONLY 0 535000 118000 100 728 37.08 NO-PREPAY MI 1103610702 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.79 693 36.74 NO-PREPAY MI 1103610703 REDUCED PA1605EI_ARM-INTONLY 0 0 0 73.16 675 37.94 NO-PREPAY MI 1103610704 REDUCED PA0605EI_ARM-INTONLY 0 1390000 320500 95 723 39.71 NO-PREPAY MI 1103610705 REDUCED PA0605EI_ARM-INTONLY 0 1390000 250085 89.94 802 26.29 NO-PREPAY MI 1103610706 REDUCED PA1605EI_ARM-INTONLY 0 1050000 210000 90 673 28.381 3YR TRUE 1103610707 REDUCED PA1605EI_ARM-INTONLY 0 0 0 70 652 32.823 3YR FALSE 1103610708 REDUCED PA1605EI_ARM-INTONLY 0 0 56000 89.48 679 41.81 NO-PREPAY MI 1103610710 REDUCED PA0605EI_ARM-INTONLY 0 0 0 67.23 682 34.668 NO-PREPAY MI 1103610711 REDUCED PA1605EI_ARM-INTONLY 0 1010000 0 65.35 680 34.61 NO-PREPAY MI 1103610720 NO RATIO SA1605EI_ARM-INTONLY 0 406529 81306 100 766 0 NO-PREPAY MI 1103610721 NO RATIO SA1605EI_ARM-INTONLY 0 404265 80853 100 710 0 3YR TRUE 1103610722 NO RATIO SA1605EI_ARM-INTONLY 0 429990 85998 100 719 0 NO-PREPAY MI 1103610743 FULL/ALT PA0605EI_ARM-INTONLY 0 320000 96000 100 724 43.28 3YR FALSE 1103610802 NO RATIO SA0605EI_ARM-INTONLY 0 239900 0 80 744 0 NO-PREPAY MI 1103610828 REDUCED PA0605E_ARM 0 0 0 77.78 698 44.81 NO-PREPAY MI 1103610866 NINA SF0630_FIXEDRATE 0 0 0 69.67 754 26.37 1YR FALSE 1103610922 REDUCED PA0605E_ARM 0 155900 38975 95 772 33.7 2YR FALSE 1103610933 REDUCED PA1605EI_ARM-INTONLY 0 0 0 65 669 44.76 1YR FALSE 1103610952 REDUCED PF1630I_FIX-INTONLY 0 0 0 80 651 37.61 1YR FALSE 1103611025 REDUCED XA0605DI_ARM-INTONLY 0 762500 152500 100 794 32.21 NO-PREPAY MI 1103611027 REDUCED PA0605EI_ARM-INTONLY 0 0 50000 58.32 789 42.52 NO-PREPAY MI 1103611028 REDUCED XA0605DI_ARM-INTONLY 0 305000 61000 100 784 33.72 NO-PREPAY MI 1103611029 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 777 38.3 NO-PREPAY MI 1103611030 REDUCED PA0605EI_ARM-INTONLY 0 412000 82400 100 774 38.84 3YR TRUE 1103611031 FULL/ALT PA0605E_ARM 0 0 0 61.02 773 30 3YR TRUE 1103611032 REDUCED PA0605EI_ARM-INTONLY 0 0 65969 96.09 773 44.77 3YR TRUE 1103611034 REDUCED PA0605EI_ARM-INTONLY 0 610000 122000 100 770 38.62 3YR TRUE 1103611035 FULL/ALT PA0603EI_ARM-INTONLY 0 0 92000 100 768 36 NO-PREPAY MI 1103611036 REDUCED XA0605DI_ARM-INTONLY 0 505000 0 80 766 34.73 NO-PREPAY MI 1103611037 REDUCED PA0605EI_ARM-INTONLY 0 640000 128000 100 766 42.67 3YR TRUE 1103611038 REDUCED XA0605DI_ARM-INTONLY 0 269000 53800 100 763 44.68 NO-PREPAY MI 1103611039 REDUCED PA0605EI_ARM-INTONLY 0 470000 94000 100 763 31.16 NO-PREPAY MI 1103611041 REDUCED PA0605EI_ARM-INTONLY 0 0 34500 90 759 34.93 3YR TRUE 1103611042 REDUCED PA0605EI_ARM-INTONLY 0 560000 112000 100 753 34.72 NO-PREPAY MI 1103611043 REDUCED PA0605EI_ARM-INTONLY 0 94000 18800 100 768 42.56 NO-PREPAY MI 1103611044 NO RATIO XA0605DI_ARM-INTONLY 0 477940 0 71.98 751 0 NO-PREPAY MI 1103611045 REDUCED PA0603EI_ARM-INTONLY 0 360000 72000 90 750 48.51 3YR TRUE 1103611046 REDUCED XA0605DI_ARM-INTONLY 0 535000 107000 100 748 49.99 NO-PREPAY MI 1103611047 REDUCED PA0605EI_ARM-INTONLY 0 520000 104000 100 747 44.77 NO-PREPAY MI 1103611048 REDUCED PA0605EI_ARM-INTONLY 0 500000 100000 100 744 30 NO-PREPAY MI 1103611049 REDUCED PA0605EI_ARM-INTONLY 0 765000 114750 95 743 40.35 NO-PREPAY MI 1103611050 REDUCED PA0605EI_ARM-INTONLY 0 290000 58000 100 740 35 3YR TRUE 1103611051 REDUCED PA0605EI_ARM-INTONLY 0 615000 123000 100 738 25.47 NO-PREPAY MI 1103611052 REDUCED XA0605DI_ARM-INTONLY 0 512000 102400 100 738 41 NO-PREPAY MI 1103611053 REDUCED PA0405EI_ARM-INTONLY 25 0 0 89.88 738 45.36 NO-PREPAY MI 1103611054 REDUCED XA0605DI_ARM-INTONLY 0 330000 66000 100 736 42.39 NO-PREPAY MI 1103611055 SISA PA0605EI_ARM-INTONLY 0 0 112500 100 732 43.79 3YR FALSE 1103611056 REDUCED PA0605EI_ARM-INTONLY 0 0 0 55.76 730 34.68 NO-PREPAY MI 1103611057 REDUCED PA0605EI_ARM-INTONLY 0 321600 64320 100 729 41.23 NO-PREPAY MI 1103611058 REDUCED PA0605EI_ARM-INTONLY 0 659000 98850 95 727 43.52 3YR TRUE 1103611059 REDUCED PA0607EI_ARM-INTONLY 0 0 97500 95 727 44 NO-PREPAY MI 1103611061 REDUCED XA0605DI_ARM-INTONLY 0 0 0 73.92 726 53.6 NO-PREPAY MI 1103611062 REDUCED PA0605EI_ARM-INTONLY 0 350000 70000 100 723 31.21 NO-PREPAY MI 1103611064 NINA SA1605E_ARM 0 0 0 64.52 717 0 NO-PREPAY MI 1103611065 REDUCED XA0605DI_ARM-INTONLY 0 448000 89600 100 716 42.67 NO-PREPAY MI 1103611066 REDUCED PA0605EI_ARM-INTONLY 0 0 0 72.5 711 36 NO-PREPAY MI 1103611067 REDUCED XA0607DI_ARM-INTONLY 0 0 0 70 756 51.96 NO-PREPAY MI 1103611068 REDUCED XA0605DI_ARM-INTONLY 0 0 0 70 720 32 NO-PREPAY MI 1103611069 REDUCED PA0603EI_ARM-INTONLY 0 0 0 74.92 701 49.53 NO-PREPAY MI 1103611070 REDUCED PA0607EI_ARM-INTONLY 0 0 43463 86.77 692 44.03 NO-PREPAY MI 1103611072 NO RATIO SA1605EI_ARM-INTONLY 0 850000 200005 100 690 0 3YR TRUE 1103611073 REDUCED PA0605EI_ARM-INTONLY 0 499000 99800 100 688 44.72 3YR TRUE 1103611074 REDUCED PA0605EI_ARM-INTONLY 0 540000 108000 100 686 41.16 NO-PREPAY MI 1103611075 FULL/ALT PA0603E_ARM 0 0 0 14.63 686 13.49 3YR TRUE 1103611076 REDUCED PA0605EI_ARM-INTONLY 0 489000 97800 100 683 45.84 1YR FALSE 1103611077 REDUCED XA0605DI_ARM-INTONLY 0 525000 0 80 683 26 NO-PREPAY MI 1103611078 REDUCED PA0605EI_ARM-INTONLY 0 365000 73000 100 682 45 NO-PREPAY MI 1103611085 REDUCED XA1605DI_ARM-INTONLY 0 0 0 75.05 678 34.87 NO-PREPAY MI 1103611087 REDUCED XA1605DI_ARM-INTONLY 0 0 0 80 677 38.83 NO-PREPAY MI 1103611089 REDUCED PA1605EI_ARM-INTONLY 0 766000 114900 90 674 36.74 NO-PREPAY MI 1103611091 REDUCED PA1605EI_ARM-INTONLY 0 0 0 72.27 674 44.12 3YR TRUE 1103611092 REDUCED PA1605EI_ARM-INTONLY 0 0 0 73.43 674 44.42 3YR TRUE 1103611093 REDUCED XA1605DI_ARM-INTONLY 0 0 0 73.25 673 35 NO-PREPAY MI 1103611094 REDUCED PA1605EI_ARM-INTONLY 0 0 120000 100 671 48.64 NO-PREPAY MI 1103611095 REDUCED XA1605DI_ARM-INTONLY 0 0 0 79.43 671 38.71 NO-PREPAY MI 1103611096 REDUCED XA1607DI_ARM-INTONLY 0 0 0 80 671 54.01 NO-PREPAY MI 1103611097 REDUCED PA1603EI_ARM-INTONLY 0 409000 81800 100 663 40.7 3YR FALSE 1103611098 REDUCED PA1605EI_ARM-INTONLY 0 855000 128250 95 660 34.12 3YR TRUE 1103611099 REDUCED PA1605EI_ARM-INTONLY 0 535000 107000 100 659 37.68 3YR FALSE 1103611100 REDUCED XA1605DI_ARM-INTONLY 0 0 0 56.48 656 39.8 NO-PREPAY MI 1103611101 REDUCED PA1605EI_ARM-INTONLY 0 0 0 65.67 656 18 3YR TRUE 1103611102 REDUCED PA1603EI_ARM-INTONLY 0 315000 63000 90 653 41.76 NO-PREPAY MI 1103611103 SISA XA1607DI_ARM-INTONLY 0 110000 0 80 651 23 NO-PREPAY MI 1103611104 REDUCED PA1603EI_ARM-INTONLY 0 409950 102528 100 651 42.77 NO-PREPAY MI 1103611105 REDUCED PA1603EI_ARM-INTONLY 0 0 61516 90.01 650 44.97 NO-PREPAY MI 1103611112 REDUCED PA1605EI_ARM-INTONLY 0 0 0 60.27 669 44.77 1YR FALSE 1103611123 REDUCED XA1605DI_ARM-INTONLY 0 392500 78500 100 661 42.18 NO-PREPAY MI 1103611124 REDUCED XA0605DI_ARM-INTONLY 0 251480 37722 95 755 34.2 NO-PREPAY MI 1103611127 REDUCED XA0605DI_ARM-INTONLY 0 302450 60490 100 727 41.32 NO-PREPAY MI 1103611128 REDUCED XA0605DI_ARM-INTONLY 0 950000 95000 90 791 32.17 NO-PREPAY MI 1103611129 REDUCED XA2605DI_ARM-INTONLY 0 354000 88500 100 629 48.79 NO-PREPAY MI 1103611130 FULL/ALT XA0605DI_ARM-INTONLY 0 0 0 63.27 755 35 NO-PREPAY MI 1103611131 NO RATIO XA1605DI_ARM-INTONLY 0 481280 48128 90 770 0 NO-PREPAY MI 1103611140 FULL/ALT XA0605DI_ARM-INTONLY 0 175000 35000 100 719 37.93 NO-PREPAY MI 1103611287 REDUCED PA1605EI_ARM-INTONLY 0 355000 71000 100 669 40.39 1YR FALSE 1103611502 REDUCED PF0630_FIXEDRATE 0 0 0 79.73 692 36.49 NO-PREPAY MI 1103611506 REDUCED PF0630I_FIX-INTONLY 0 0 0 51.54 687 42.59 NO-PREPAY MI 1103611509 REDUCED PF0630_FIXEDRATE 0 0 163508 90.01 683 44.52 NO-PREPAY MI 1103611511 NO RATIO SF1630_FIXEDRATE 0 0 0 53.68 681 0 NO-PREPAY MI 1103611513 REDUCED PF1630_FIXEDRATE 0 0 47000 88.13 676 35.68 NO-PREPAY MI 1103611514 REDUCED PF1630_FIXEDRATE 0 0 156780 79.51 673 34.49 NO-PREPAY MI 1103611515 NO RATIO SF2630_FIXEDRATE 0 520000 0 80 672 0 NO-PREPAY MI 1103611520 FULL/ALT PF1630_FIXEDRATE 0 0 0 74.62 652 35.16 NO-PREPAY MI 1103611522 REDUCED PF1630_FIXEDRATE 0 0 0 68.16 647 41.4 NO-PREPAY MI 1103611523 SISA PF1630_FIXEDRATE 0 0 0 52.84 642 30 NO-PREPAY MI 1103611537 FULL/ALT XA1603DI_ARM-INTONLY 0 0 0 79.37 668 30.78 NO-PREPAY MI 1103611538 FULL/ALT XA1603DI_ARM-INTONLY 0 143000 28600 100 641 34.61 NO-PREPAY MI 1103611539 FULL/ALT XA0605D_ARM 0 0 0 43.6 759 40.38 NO-PREPAY MI 1103611540 FULL/ALT XA0605DI_ARM-INTONLY 0 218950 43800 100 768 43.66 NO-PREPAY MI 1103611541 FULL/ALT XA0605DI_ARM-INTONLY 0 258200 56850 100 731 42.81 NO-PREPAY MI 1103611542 FULL/ALT XA1605DI_ARM-INTONLY 0 287340 57450 99.99 673 40.46 NO-PREPAY MI 1103611543 FULL/ALT XA0607DI_ARM-INTONLY 0 209180 41880 100 724 31.18 NO-PREPAY MI 1103611544 FULL/ALT XA0607DI_ARM-INTONLY 0 221247 44297 100 721 43.39 NO-PREPAY MI 1103611545 REDUCED XA1605DI_ARM-INTONLY 0 374850 75000 100 676 34.3 NO-PREPAY MI 1103611546 NINA BA2230EI_ARM-INTONLY 0 0 0 39.03 632 0 NO-PREPAY MI 1103611547 NO RATIO XA1603DI_ARM-INTONLY 0 264145 58145 100 648 0 NO-PREPAY MI 1103611617 NINA SA0603EI_ARM-INTONLY 0 370000 55500 95 781 0 NO-PREPAY MI 1103611620 REDUCED PA0603EI_ARM-INTONLY 0 398910 79782 100 719 43 NO-PREPAY MI 1103611623 FULL/ALT PA2605EI_ARM-INTONLY 0 261907.73 52400 100 623 42.88 NO-PREPAY MI 1103611624 REDUCED PA0603EI_ARM-INTONLY 0 401000 80200 100 728 18.24 NO-PREPAY MI 1103611625 SISA PA0603EI_ARM-INTONLY 0 427347 85470 100 687 39.01 NO-PREPAY MI 1103611627 FULL/ALT PA0605EI_ARM-INTONLY 0 170800 34160 100 694 37.28 NO-PREPAY MI 1103611631 NO RATIO EA1605EI_ARM-INTONLY 0 660000 132000 100 721 0 3YR FALSE 1103611633 REDUCED PA0605EI_ARM-INTONLY 0 99510 19902 100 705 44.23 NO-PREPAY MI 1103611634 REDUCED PA0605EI_ARM-INTONLY 0 100690 20138 100 705 38.71 NO-PREPAY MI 1103611635 FULL/ALT PA0605EI_ARM-INTONLY 0 210000 42000 100 714 41.53 3YR TRUE 1103611640 REDUCED PA0605EI_ARM-INTONLY 0 249000 49800 100 759 33.48 3YR TRUE 1103611646 SISA PA0605EI_ARM-INTONLY 0 0 0 80 691 21.13 3YR TRUE 1103611647 REDUCED PA1605EI_ARM-INTONLY 0 393337 78660 100 660 38.78 NO-PREPAY MI 1103611651 REDUCED PA1605EI_ARM-INTONLY 0 520000 104000 100 663 40.89 3YR TRUE 1103611657 REDUCED PA0605EI_ARM-INTONLY 0 0 0 63.59 709 36.13 3YR TRUE 1103611666 SISA PF0630I_FIX-INTONLY 0 370000 55500 95 660 43.81 NO-PREPAY MI 1103611668 REDUCED PF0630_FIXEDRATE 0 257500 51500 100 701 34.58 NO-PREPAY MI 1103611669 REDUCED PF0630_FIXEDRATE 0 495000 99000 100 699 44.78 NO-PREPAY MI 1103611671 REDUCED PA0605EI_ARM-INTONLY 0 265000 53000 100 753 34.87 NO-PREPAY MI 1103611674 REDUCED PA1605EI_ARM-INTONLY 0 0 103400 95 644 43.94 3YR TRUE 1103611678 REDUCED PA0605E_ARM 0 133333.33 26653 89.97 759 34.27 3YR FALSE 1103611679 REDUCED PA0605E_ARM 0 133333.33 26653 89.97 759 34.27 3YR FALSE 1103611759 NINA SF1630_FIXEDRATE 0 0 0 67.13 698 1 3YR FALSE 1103612119 SISA PF0630_FIXEDRATE 0 0 0 51.16 696 41 5YR FALSE 1103612182 REDUCED PA0605EI_ARM-INTONLY 0 236310 47000 99.87 716 18.26 NO-PREPAY MI 1103612184 REDUCED PA0607EI_ARM-INTONLY 0 0 0 80 768 32.32 NO-PREPAY MI 1103612185 REDUCED PA0605EI_ARM-INTONLY 0 0 132700 95 740 37.41 1YR TRUE 1103612188 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 681 41 NO-PREPAY MI 1103612189 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74 683 39.99 NO-PREPAY MI 1103612190 REDUCED PA0605EI_ARM-INTONLY 0 425000 85000 100 696 36.95 NO-PREPAY MI 1103612191 REDUCED PA0605EI_ARM-INTONLY 0 615000 123000 100 686 36.06 NO-PREPAY MI 1103612192 REDUCED PA1605EI_ARM-INTONLY 0 0 0 35.63 654 29 NO-PREPAY MI 1103612193 REDUCED PA0605EI_ARM-INTONLY 0 415000 41450 89.99 775 33.8 NO-PREPAY MI 1103612194 REDUCED PA0605EI_ARM-INTONLY 0 320000 0 80 686 34.04 NO-PREPAY MI 1103612195 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 57.45 680 26.65 NO-PREPAY MI 1103612196 REDUCED PA1605EI_ARM-INTONLY 0 800000 120000 95 659 38 NO-PREPAY MI 1103612267 REDUCED PA0602E_ARM 0 799000 159800 100 780 40 NO-PREPAY MI 1103612269 NO RATIO PA2605EI_ARM-INTONLY 0 0 0 80 636 0 NO-PREPAY MI 1103612270 FULL/ALT PA0605EI_ARM-INTONLY 0 425000 0 80 752 23 NO-PREPAY MI 1103612271 FULL/ALT PA1605EI_ARM-INTONLY 0 0 104000 94.86 657 35.871 NO-PREPAY MI 1103612272 REDUCED PA0602EI_ARM-INTONLY 0 698178 139635 100 746 39 NO-PREPAY MI 1103612273 NINA XA0605EI_ARM-INTONLY 0 0 0 63.85 723 0 NO-PREPAY MI 1103612275 FULL/ALT PA0605EI_ARM-INTONLY 0 542000 108400 100 758 34 NO-PREPAY MI 1103612276 REDUCED PA1605EI_ARM-INTONLY 0 0 0 78.39 668 36 NO-PREPAY MI 1103612277 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 78.47 654 49 NO-PREPAY MI 1103612278 REDUCED PA0605EI_ARM-INTONLY 0 342000 68400 100 684 37 NO-PREPAY MI 1103612279 NO RATIO PA0605EI_ARM-INTONLY 0 0 0 51.5 790 0 NO-PREPAY MI 1103612281 REDUCED PA0605EI_ARM-INTONLY 0 209500 42006 100 758 41 NO-PREPAY MI 1103612282 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65.12 777 42 NO-PREPAY MI 1103612283 REDUCED PA0605EI_ARM-INTONLY 0 360000 0 72.23 738 41 NO-PREPAY MI 1103612285 REDUCED PA0605EI_ARM-INTONLY 0 560864 112855 100 686 44 NO-PREPAY MI 1103612286 REDUCED PA1605EI_ARM-INTONLY 0 0 59000 87.05 641 28 NO-PREPAY MI 1103612287 REDUCED PA0605EI_ARM-INTONLY 0 0 68554 90.67 691 44 NO-PREPAY MI 1103612288 REDUCED PA1605EI_ARM-INTONLY 0 0 29000 90 671 25 NO-PREPAY MI 1103612289 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 62.5 700 39 NO-PREPAY MI 1103612290 NO RATIO PA1605EI_ARM-INTONLY 0 559900 111989 100 679 0 NO-PREPAY MI 1103612291 NINA PA0605EI_ARM-INTONLY 0 692500 69250 90 753 0 NO-PREPAY MI 1103612292 REDUCED PA0605EI_ARM-INTONLY 0 1340625 0 47.79 746 21 NO-PREPAY MI 1103612293 REDUCED PA0605EI_ARM-INTONLY 0 451000 90200 100 698 47 NO-PREPAY MI 1103612294 FULL/ALT PA0605EI_ARM-INTONLY 0 0 76600 100 709 49 3YR TRUE 1103612295 FULL/ALT XA0605D_ARM 0 840000 168000 100 746 49.957 NO-PREPAY MI 1103612296 REDUCED PA0605EI_ARM-INTONLY 0 0 0 73.27 773 23 NO-PREPAY MI 1103612297 REDUCED PA0605EI_ARM-INTONLY 0 737467 147475 99.99 738 38 NO-PREPAY MI 1103612298 REDUCED PA0605EI_ARM-INTONLY 0 645000 129000 100 802 38 NO-PREPAY MI 1103612299 REDUCED PA0605EI_ARM-INTONLY 0 880000 176000 100 736 35.038 NO-PREPAY MI 1103612300 REDUCED PA0605EI_ARM-INTONLY 0 523000 106015 100 720 36 NO-PREPAY MI 1103612301 REDUCED PA0605EI_ARM-INTONLY 0 738000 147600 100 694 36 NO-PREPAY MI 1103612302 REDUCED PA0605EI_ARM-INTONLY 0 419442 83856 100 703 34 NO-PREPAY MI 1103612303 REDUCED PA0605EI_ARM-INTONLY 0 411654 82294 99.99 753 38 NO-PREPAY MI 1103612394 REDUCED PF0630_FIXEDRATE 0 0 0 18.4 693 44.68 NO-PREPAY MI 1103612395 REDUCED PF0630I_FIX-INTONLY 0 0 57750 95 698 44.63 NO-PREPAY MI 1103612396 FULL/ALT PF0630I_FIX-INTONLY 0 1500000 0 73.34 753 20.45 NO-PREPAY MI 1103612397 FULL/ALT PF1630_FIXEDRATE 0 741000 148200 100 645 48.47 NO-PREPAY MI 1103612398 REDUCED PF1630I_FIX-INTONLY 0 0 0 24.6 656 27.17 NO-PREPAY MI 1103612400 REDUCED PF0630I_FIX-INTONLY 0 0 0 75 751 44.77 NO-PREPAY MI 1103612402 FULL/ALT PF0630I_FIX-INTONLY 0 481000 96200 100 704 48.4 NO-PREPAY MI 1103612403 FULL/ALT PF0630_FIXEDRATE 0 0 58013 87.74 723 43.89 NO-PREPAY MI 1103612404 REDUCED PF0630I_FIX-INTONLY 0 379950 0 73.16 753 30.25 NO-PREPAY MI 1103612407 FULL/ALT PF0630_FIXEDRATE 0 777500 0 80 766 33.54 NO-PREPAY MI 1103612408 REDUCED PF0630I_FIX-INTONLY 0 0 42000 90 737 37.07 NO-PREPAY MI 1103612410 REDUCED PF0630I_FIX-INTONLY 0 605000 85971 94.21 772 35.42 NO-PREPAY MI 1103612411 NINA XF1630_FIXEDRATE 0 0 0 19.06 682 0 NO-PREPAY MI 1103612413 REDUCED PF0630I_FIX-INTONLY 0 510000 0 64.71 808 49.64 NO-PREPAY MI 1103612416 REDUCED PF0630I_FIX-INTONLY 0 420000 63000 95 751 35.1 NO-PREPAY MI 1103612420 REDUCED PF0630I_FIX-INTONLY 0 415000 83000 100 783 33.06 NO-PREPAY MI 1103612424 FULL/ALT PF0630I_FIX-INTONLY 0 429000 85800 100 686 43.76 NO-PREPAY MI 1103612425 REDUCED PF0630I_FIX-INTONLY 0 0 140943 89.52 706 41.29 NO-PREPAY MI 1103612432 NO RATIO XF1630I_FIX-INTONLY 0 0 0 24 775 0 NO-PREPAY MI 1103612433 REDUCED PF0630I_FIX-INTONLY 0 665000 66500 90 794 37.32 NO-PREPAY MI 1103612434 REDUCED PF0630I_FIX-INTONLY 0 0 0 74.02 760 45.88 NO-PREPAY MI 1103612445 REDUCED PA1605EI_ARM-INTONLY 0 635000 127000 100 674 38.26 NO-PREPAY MI 1103612446 REDUCED PA0605EI_ARM-INTONLY 0 0 31200 90 720 30.45 NO-PREPAY MI 1103612449 REDUCED PA0605EI_ARM-INTONLY 0 293000 0 70 722 38.93 NO-PREPAY MI 1103612450 REDUCED PA0605EI_ARM-INTONLY 0 379900 76000 100 706 37.46 NO-PREPAY MI 1103612451 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75.93 691 43.14 NO-PREPAY MI 1103612454 REDUCED PA0605EI_ARM-INTONLY 0 507500 101500 100 727 35.64 NO-PREPAY MI 1103612456 NINA SA2605EI_ARM-INTONLY 0 0 0 18.83 668 0 NO-PREPAY MI 1103612457 REDUCED PA0605EI_ARM-INTONLY 0 618000 123600 100 693 37.3 NO-PREPAY MI 1103612458 SISA PA0605EI_ARM-INTONLY 0 0 75100 99.77 726 40.73 NO-PREPAY MI 1103612459 FULL/ALT PA0605EI_ARM-INTONLY 0 335000 0 40.3 799 43.8 NO-PREPAY MI 1103612460 REDUCED PA1605EI_ARM-INTONLY 0 0 96950 89.37 668 45.5 NO-PREPAY MI 1103612461 REDUCED PA0605EI_ARM-INTONLY 0 399000 49800 92.49 791 38.66 NO-PREPAY MI 1103612462 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 75 733 27.42 NO-PREPAY MI 1103612466 REDUCED PA1605EI_ARM-INTONLY 0 0 100000 65.68 645 40.29 NO-PREPAY MI 1103612467 REDUCED PA0605EI_ARM-INTONLY 0 400000 80000 100 716 43.67 NO-PREPAY MI 1103612469 REDUCED PA1605EI_ARM-INTONLY 0 0 0 74.63 668 40.51 NO-PREPAY MI 1103612470 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 652 49.37 NO-PREPAY MI 1103612471 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 75 632 41.79 3YR TRUE 1103612473 REDUCED PA0605EI_ARM-INTONLY 0 360000 72000 100 765 39.67 NO-PREPAY MI 1103612476 REDUCED PA0605EI_ARM-INTONLY 0 535000 118000 100 791 44.17 NO-PREPAY MI 1103612477 SISA PA0605EI_ARM-INTONLY 0 0 54677 94.98 757 35.3 NO-PREPAY MI 1103612478 NO RATIO SA1605EI_ARM-INTONLY 0 440000 44000 90 689 0 NO-PREPAY MI 1103612480 REDUCED PA1605EI_ARM-INTONLY 0 350000 70000 100 675 36.25 NO-PREPAY MI 1103612481 REDUCED PA0605EI_ARM-INTONLY 0 570000 114000 100 704 41.96 NO-PREPAY MI 1103612482 REDUCED PA0605EI_ARM-INTONLY 0 254000 50800 100 725 37.7 NO-PREPAY MI 1103612484 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 672 49.18 NO-PREPAY MI 1103612485 REDUCED PA0605EI_ARM-INTONLY 0 0 34000 90 687 37.72 NO-PREPAY MI 1103612486 REDUCED PA1605EI_ARM-INTONLY 0 845000 170000 100 675 46.38 NO-PREPAY MI 1103612487 REDUCED PA0605E_ARM 0 681000 0 70.64 749 40.5 NO-PREPAY MI 1103612488 REDUCED PA0605EI_ARM-INTONLY 0 622605 62261 90 777 38.3 NO-PREPAY MI 1103612493 REDUCED PA0605EI_ARM-INTONLY 0 570000 114000 100 711 40.28 NO-PREPAY MI 1103612494 SISA PA0605EI_ARM-INTONLY 0 320000 64000 100 742 40.68 NO-PREPAY MI 1103612495 REDUCED PA0605EI_ARM-INTONLY 0 630000 126000 100 687 40.21 NO-PREPAY MI 1103612496 FULL/ALT PA1605EI_ARM-INTONLY 0 259000 32000 92.36 643 34.59 NO-PREPAY MI 1103612663 REDUCED XA0610EI_ARM-INTONLY 0 0 78000 89.93 729 31.8 NO-PREPAY MI 1103612664 FULL/ALT PA1607EI_ARM-INTONLY 0 0 80000 90 641 49.42 NO-PREPAY MI 1103612665 REDUCED XA0610EI_ARM-INTONLY 0 720000 108000 80 749 39.67 NO-PREPAY MI 1103612666 FULL/ALT XA1610AI_ARM-INTONLY 0 0 0 69.82 648 44.61 NO-PREPAY MI 1103612669 REDUCED PA0607EI_ARM-INTONLY 0 1175000 0 80 700 36.87 NO-PREPAY MI 1103612670 REDUCED PA0607EI_ARM-INTONLY 0 950000 0 68.43 776 40.39 NO-PREPAY MI 1103612671 REDUCED XA0607AI_ARM-INTONLY 0 999000 0 75 688 38.36 NO-PREPAY MI 1103612672 REDUCED PA0607EI_ARM-INTONLY 0 710000 142000 100 748 38.9 NO-PREPAY MI 1103612673 REDUCED XA0610E_ARM 0 865000 0 76.88 692 37.66 NO-PREPAY MI 1103612674 FULL/ALT PA0607EI_ARM-INTONLY 0 1075000 112000 90 755 33.12 NO-PREPAY MI 1103612680 SISA PF0630_FIXEDRATE 0 0 0 46.8 693 48.97 1YR FALSE 1103612681 REDUCED PF0630_FIXEDRATE 0 0 0 54.68 791 54.96 1YR FALSE 1103612682 NO RATIO SF1630I_FIX-INTONLY 0 0 67900 89.98 673 0 1YR FALSE 1103612683 FULL/ALT PF0630_FIXEDRATE 0 0 33000 100 696 40 1YR FALSE 1103612684 FULL/ALT PF1630I_FIX-INTONLY 0 0 27500 89.97 657 44.58 3YR FALSE 1103612685 SISA PF0630I_FIX-INTONLY 0 877500 131625 95 783 38.37 3YR FALSE 1103612686 FULL/ALT PF0630I_FIX-INTONLY 0 0 31000 74.31 727 29.3 1YR FALSE 1103612689 SISA PA0603EI_ARM-INTONLY 0 518000 155400 100 749 47.74 1YR FALSE 1103612690 SISA PA0605EI_ARM-INTONLY 0 275000 55000 100 685 46.27 1YR FALSE 1103612691 SISA PA0605EI_ARM-INTONLY 22 0 0 82.39 720 40 NO-PREPAY MI 1103612692 SISA PA0603EI_ARM-INTONLY 0 320000 80000 95 757 48.41 1YR FALSE 1103612693 SISA PA0605EI_ARM-INTONLY 0 0 67120 85.91 699 44.92 3YR FALSE 1103612694 SISA PA2605EI_ARM-INTONLY 0 0 32468 70 620 47.17 2YR FALSE 1103612695 SISA PA0605EI_ARM-INTONLY 0 0 0 64.71 747 42.93 3YR FALSE 1103612696 SISA PA1603EI_ARM-INTONLY 0 0 0 80 640 41.74 3YR FALSE 1103612697 FULL/ALT PA0605EI_ARM-INTONLY 0 275900 82770 100 633 48.96 3YR FALSE 1103612698 SISA PA1605E_ARM 0 0 0 57.49 662 54.86 1YR FALSE 1103612699 SISA PA2605E_ARM 0 0 99000 89.9 624 44.94 3YR FALSE 1103612700 SISA PA0605EI_ARM-INTONLY 0 0 99000 100 717 42.55 1YR FALSE 1103612701 SISA PA0605EI_ARM-INTONLY 0 410000 102500 95 748 40.59 1YR FALSE 1103612702 SISA PA0605EI_ARM-INTONLY 0 0 159000 100 730 46.49 1YR FALSE 1103612703 SISA XA0605D_ARM 0 0 118000 100 736 48.88 1YR FALSE 1103613100 REDUCED PA0605EI_ARM-INTONLY 0 500000 100000 95 722 0 2YR FALSE 1103613279 REDUCED PF1630I_FIX-INTONLY 0 655000 131000 100 640 40.33 6MO FALSE 1103613353 REDUCED PA0605EI_ARM-INTONLY 0 0 46000 90 732 35.53 NO-PREPAY MI 1103613354 REDUCED PA0605EI_ARM-INTONLY 0 296900 59380 100 798 36.67 NO-PREPAY MI 1103613355 REDUCED XA0605DI_ARM-INTONLY 0 650000 130000 100 725 40 3YR TRUE 1103613356 REDUCED XA0605DI_ARM-INTONLY 0 669000 133800 100 709 38.92 3YR TRUE 1103613357 NO RATIO SA1605E_ARM 0 353000 70600 100 780 0 NO-PREPAY MI 1103613358 REDUCED XA0605DI_ARM-INTONLY 0 0 0 79.2 770 36.35 NO-PREPAY MI 1103613359 REDUCED PA0605EI_ARM-INTONLY 0 302995 60600 99.99 698 41.34 NO-PREPAY MI 1103613361 REDUCED PA0605EI_ARM-INTONLY 0 400000 40000 90 750 47.98 NO-PREPAY MI 1103613363 REDUCED PA2605EI_ARM-INTONLY 0 549000 137250 100 637 42.8 3YR TRUE 1103613364 REDUCED PA0605EI_ARM-INTONLY 0 0 100000 100 719 36.38 3YR TRUE 1103613365 FULL/ALT XA1605DI_ARM-INTONLY 0 342023 68400 100 729 38.45 NO-PREPAY MI 1103613366 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 657 45 3YR TRUE 1103613368 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 42.69 799 34.32 1YR TRUE 1103613369 REDUCED PA0605EI_ARM-INTONLY 0 500000 125000 100 744 41.94 NO-PREPAY MI 1103613370 NO RATIO SA2605EI_ARM-INTONLY 0 530000 0 59.44 659 0 NO-PREPAY MI 1103613372 FULL/ALT PA0605EI_ARM-INTONLY 0 370000 72750 99.67 720 41.18 NO-PREPAY MI 1103613374 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 729 41.33 NO-PREPAY MI 1103613376 REDUCED PA0605EI_ARM-INTONLY 0 700000 140000 100 702 34.89 3YR TRUE 1103613377 REDUCED PA0605EI_ARM-INTONLY 0 383000 76600 100 733 38.45 NO-PREPAY MI 1103613378 REDUCED PA0605EI_ARM-INTONLY 0 510000 102000 100 728 45 NO-PREPAY MI 1103613480 SISA PA0605EI_ARM-INTONLY 0 555000 138750 100 758 40.16 3YR FALSE 1103614288 FULL/ALT XA0605DI_ARM-INTONLY 0 243265 48650 100 751 27.46 NO-PREPAY MI 2503118180 REDUCED PA0605EI_ARM-INTONLY 0 239700 59910 95 750 49.95 1YR FALSE 2503141790 REDUCED PA0605EI_ARM-INTONLY 0 604896 151200 100 721 47.33 3YR TRUE 2503147887 REDUCED TB1630I_BALLOON-INTONLY 0 465000 0 100 648 50 1YR FALSE 2503149273 REDUCED TB1630I_BALLOON-INTONLY 0 639000 0 100 665 44.15 NO-PREPAY MI 2503149577 REDUCED PA0605EI_ARM-INTONLY 0 669000 80280 87 747 45 1YR FALSE 2503149663 REDUCED TB1630I_BALLOON-INTONLY 0 0 0 100 665 41 3YR FALSE 2503150764 REDUCED PA1605EI_ARM-INTONLY 0 0 202500 100 647 46.83 NO-PREPAY MI 2503151022 REDUCED TB1630_BALLOON 0 0 0 100 647 46.83 NO-PREPAY MI 2503151120 REDUCED TF1630I_FIX-INTONLY 0 372000 0 99.49 648 40.1 NO-PREPAY MI 2503151638 REDUCED PF1630I_FIX-INTONLY 0 219900 0 57.64 640 31.96 3YR TRUE 2503152253 REDUCED PA1605EI_ARM-INTONLY 0 171400 25700 94.99 664 32.52 1YR TRUE 2503152254 REDUCED TB1630_BALLOON 0 171400 0 94.99 664 32.52 NO-PREPAY MI 2503153061 REDUCED PA0605EI_ARM-INTONLY 0 835176 195000 99.98 684 33.3 2YR TRUE 2503153062 REDUCED TB0630I_BALLOON-INTONLY 0 835176 0 99.98 684 33.3 NO-PREPAY MI 2503153776 REDUCED TB1630I_BALLOON-INTONLY 0 0 0 100 641 32.36 2YR FALSE 2503154935 REDUCED PF2630I_FIX-INTONLY 0 720000 144000 100 625 40.1 1YR FALSE 2503155448 REDUCED PA0605EI_ARM-INTONLY 0 427000 85400 95 703 43.5 NO-PREPAY MI 2503155449 REDUCED TB0630_BALLOON 0 427000 0 95 703 43.5 NO-PREPAY MI 2503155614 REDUCED PF0630_FIXEDRATE 0 215000 43000 100 761 29.56 1YR FALSE 2503156392 REDUCED PF1630I_FIX-INTONLY 0 0 0 75 642 33.54 5YR FALSE 2503156818 REDUCED TB1630_BALLOON 0 0 0 90 646 39.6 2YR FALSE 2503156996 NINA SF2630I_FIX-INTONLY 0 0 0 80 647 1 NO-PREPAY MI 2503157387 REDUCED PA0607EI_ARM-INTONLY 0 587000 88050 95 742 34.03 3YR FALSE 2503157629 REDUCED PF0630I_FIX-INTONLY 0 200000 30000 90 681 35.87 5YR TRUE 2503157696 REDUCED PF2630_FIXEDRATE 0 0 0 80 638 39.46 NO-PREPAY MI 2503157865 REDUCED PF1630I_FIX-INTONLY 0 255000 51000 100 656 44.41 2YR FALSE 2503157978 REDUCED PF1630_FIXEDRATE 0 338900 0 80 0 11.63 NO-PREPAY MI 2503158152 REDUCED PA0605EI_ARM-INTONLY 0 0 0 52.91 740 34.65 1YR FALSE 2503158267 REDUCED PF0630_FIXEDRATE 0 254600 0 80 742 21.28 3YR TRUE 2503158325 REDUCED PF1630_FIXEDRATE 0 650000 162500 95 667 38.9 NO-PREPAY MI 2503158662 REDUCED PA1605EI_ARM-INTONLY 0 142490 21350 94.96 675 34.98 2YR FALSE 2503158680 REDUCED PF0630I_FIX-INTONLY 0 0 0 75 716 34.77 2YR FALSE 2503158881 REDUCED TB0630_BALLOON 0 691000 0 100 704 47.74 NO-PREPAY MI 2503158955 REDUCED PF0630_FIXEDRATE 0 155000 31000 100 691 46.75 3YR FALSE 2503159256 REDUCED PA2605EI_ARM-INTONLY 0 244900 0 74.99 620 41.73 2YR FALSE 2503159388 REDUCED PF1630I_FIX-INTONLY 0 125000 25000 95 643 41.02 2YR FALSE 2503159463 REDUCED PF1630I_FIX-INTONLY 0 0 20000 90 671 42.33 NO-PREPAY MI 2503159590 REDUCED PF0630I_FIX-INTONLY 0 0 103750 100 683 42.27 NO-PREPAY MI 2503159591 REDUCED TB0630_BALLOON 0 0 0 100 683 41.8 NO-PREPAY MI 2503159603 REDUCED PF1630I_FIX-INTONLY 0 0 24500 100 664 36.43 NO-PREPAY MI 2503159821 REDUCED PA0605E_ARM 0 630000 157500 100 709 49.43 NO-PREPAY MI 2503159822 REDUCED TB0630_BALLOON 0 630000 0 100 709 48.72 NO-PREPAY MI 2503159991 REDUCED PF0630I_FIX-INTONLY 0 449000 67350 90 744 28.8 NO-PREPAY MI 2503160015 REDUCED PA0605EI_ARM-INTONLY 0 419000 62850 90 694 37.54 NO-PREPAY MI 2503160085 REDUCED PF1630I_FIX-INTONLY 0 0 74000 100 668 44.06 3YR TRUE 2503160086 REDUCED TB1630_BALLOON 0 0 0 100 668 44.06 NO-PREPAY MI 2503160236 REDUCED PF1630_FIXEDRATE 0 0 0 45 657 34.13 3YR FALSE 2503160238 FULL/ALT PF1630_FIXEDRATE 0 0 0 80 665 36.07 NO-PREPAY MI 2503160591 REDUCED PA0605E_ARM 0 0 97500 100 746 37.2 1YR FALSE 2503160805 REDUCED PF3630_FIXEDRATE 0 385000 0 80 603 49.33 3YR FALSE 2503161092 REDUCED PF2630I_FIX-INTONLY 0 419900 0 80 620 6.03 NO-PREPAY MI 2503161153 REDUCED PB3640_BALLOON 0 0 0 69.34 605 42.56 3YR FALSE 2503161306 REDUCED PA0603EI_ARM-INTONLY 0 1125000 262500 90 694 42.53 NO-PREPAY MI 2503161318 FULL/ALT AF1630I_FIX-INTONLY 0 0 70000 95 642 43.18 NO-PREPAY MI 2503161434 FULL/ALT PF1630_FIXEDRATE 0 117000 23400 100 660 35.02 NO-PREPAY MI 2503161440 REDUCED PF0630I_FIX-INTONLY 0 216000 21600 90 698 45.6 1YR FALSE 2503161541 REDUCED PF0630I_FIX-INTONLY 0 467777 116900 99.99 773 29.93 1YR FALSE 2503161580 REDUCED PF3630_FIXEDRATE 0 273000 0 70 608 43.31 1YR FALSE 3900014045 NINA SF1630_FIXEDRATE 30 0 0 94.83 695 1 5YR TRUE 3900014169 NINA SF2630_FIXEDRATE 0 98000 19600 90 659 0 5YR FALSE 2503161736 NO RATIO EF2630_FIXEDRATE 30 315000 0 95 638 1 NO-PREPAY MI 2503161811 REDUCED PF2630I_FIX-INTONLY 0 354082 35400 90 637 46.08 1YR FALSE 2503161840 REDUCED PF2630I_FIX-INTONLY 0 0 20000 90 621 47.53 2YR FALSE 2503161960 REDUCED PF1630_FIXEDRATE 0 220000 0 80 640 48.83 3YR FALSE 2503162023 REDUCED PF0615_FIXEDRATE 0 0 0 80 691 24.86 2YR FALSE 2503162025 REDUCED PF2630I_FIX-INTONLY 0 157400 31450 94.99 632 41.99 1YR FALSE 2503162185 REDUCED TB0630_BALLOON 0 450000 0 95 680 48.65 1YR FALSE 2503162206 REDUCED PF0630I_FIX-INTONLY 0 0 0 63.7 699 47.82 1YR FALSE 2503162248 REDUCED PA0605EI_ARM-INTONLY 0 315900 47385 95 765 45.08 NO-PREPAY MI 2503162280 REDUCED PF1630I_FIX-INTONLY 0 0 56250 95 641 40.53 5YR FALSE 2503162334 REDUCED PF2630I_FIX-INTONLY 0 0 0 30.77 627 30.21 1YR FALSE 2503162388 SISA PF1630I_FIX-INTONLY 0 0 0 72.91 643 28.09 1YR FALSE 2503162434 REDUCED PA1605EI_ARM-INTONLY 0 0 27500 90 657 45.26 3YR FALSE 2503162441 REDUCED PA1605EI_ARM-INTONLY 0 184990 27750 94.98 648 48.21 3YR FALSE 2503162504 REDUCED PF1630I_FIX-INTONLY 0 177000 26500 94.98 648 39.78 5YR TRUE 2503162552 REDUCED PF0630I_FIX-INTONLY 0 129900 25950 94.96 733 44.28 1YR FALSE 2503162576 REDUCED PF1630_FIXEDRATE 0 0 0 76.67 668 42.98 2YR FALSE 2503162641 REDUCED PF1630_FIXEDRATE 0 0 0 51.86 648 32.99 2YR FALSE 2503162644 REDUCED PF1630I_FIX-INTONLY 0 365000 73000 100 666 36.46 1YR FALSE 2503162658 REDUCED PF1630_FIXEDRATE 0 0 0 67.05 649 33.24 5YR FALSE 2503162709 REDUCED PF1630I_FIX-INTONLY 0 0 300000 78.32 660 40.38 NO-PREPAY MI 2503162711 REDUCED PF0630I_FIX-INTONLY 0 0 0 36.34 680 39.66 NO-PREPAY MI 2503163088 REDUCED PF1630I_FIX-INTONLY 0 0 62000 94.91 640 43.25 1YR FALSE 2503163127 REDUCED PF1630I_FIX-INTONLY 0 635000 158750 100 663 49.3 1YR FALSE 2503163128 REDUCED TB1630_BALLOON 0 635000 0 100 663 49.3 NO-PREPAY MI 2503163166 REDUCED PF0630I_FIX-INTONLY 0 0 0 80 720 31.18 NO-PREPAY MI 2503163204 REDUCED PA0605EI_ARM-INTONLY 0 567100 141750 100 713 41.86 1YR FALSE 2503163306 REDUCED PA0605E_ARM 0 320000 64000 95 690 49.85 NO-PREPAY MI 2503163307 REDUCED TB0630_BALLOON 0 320000 0 95 690 49.85 NO-PREPAY MI 2503163321 REDUCED PF1630I_FIX-INTONLY 0 0 115000 95 646 41.03 3YR FALSE 2503163392 REDUCED PA0605EI_ARM-INTONLY 0 279900 55950 99.99 753 36.02 NO-PREPAY MI 2503163403 REDUCED PF0630I_FIX-INTONLY 0 168000 33600 95 754 23.76 1YR FALSE 2503163597 REDUCED PF1630I_FIX-INTONLY 0 209000 41800 100 644 38.04 2YR FALSE 2503163646 FULL/ALT PF0630_FIXEDRATE 0 325000 48750 95 682 32.99 2YR FALSE 2503163658 REDUCED PF1630I_FIX-INTONLY 0 0 0 68 653 29.46 3YR FALSE 2503163695 REDUCED TB1630_BALLOON 0 0 0 95 673 36.39 2YR FALSE 2503163743 REDUCED PF0630I_FIX-INTONLY 0 312000 46800 95 762 47.43 3YR TRUE 2503163763 REDUCED PA1605EI_ARM-INTONLY 0 243264 0 80 640 21.11 3YR FALSE 2503163764 REDUCED PF1630_FIXEDRATE 0 215900 43150 99.98 657 42.7 1YR FALSE 2503163809 SISA PA0605E_ARM 0 100000 0 80 742 22.9 NO-PREPAY MI 2503163825 REDUCED PF2630_FIXEDRATE 0 0 0 67.15 633 54.4 1YR FALSE 2503163919 REDUCED PF0630I_FIX-INTONLY 0 130000 26000 90 733 41.55 NO-PREPAY MI 2503163940 REDUCED PA1605EI_ARM-INTONLY 0 0 138550 93.73 679 46.16 2YR FALSE 2503164445 REDUCED PA0603EI_ARM-INTONLY 0 926151 183000 90 702 44.58 1YR FALSE 2503164507 REDUCED PA0605EI_ARM-INTONLY 0 0 0 31.25 745 31.93 3YR FALSE 2503164514 REDUCED TB1630_BALLOON 0 435000 0 100 644 48.88 2YR FALSE 2503164563 REDUCED PF1630I_FIX-INTONLY 0 96000 21200 95 643 44.47 NO-PREPAY MI 2503164564 REDUCED TB1630_BALLOON 0 96000 0 95 643 44.47 NO-PREPAY MI 2503164591 REDUCED PF0630_FIXEDRATE 0 173900 34750 99.98 700 47.08 2YR FALSE 2503164592 REDUCED PA0605EI_ARM-INTONLY 0 350000 70000 100 713 35.81 1YR FALSE 2503164634 REDUCED PA1605EI_ARM-INTONLY 0 700000 140000 100 675 49.08 2YR FALSE 2503164727 FULL/ALT PF0630I_FIX-INTONLY 0 0 0 70 753 37.52 3YR TRUE 2503164752 REDUCED PA0603EI_ARM-INTONLY 0 560000 112000 95 749 48.59 3YR TRUE 2503164847 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 689 32.58 3YR TRUE 2503164853 REDUCED PA1605EI_ARM-INTONLY 0 0 82000 91.4 662 46.66 1YR FALSE 2503164875 REDUCED PF0630_FIXEDRATE 0 283000 56600 100 747 43.66 NO-PREPAY MI 2503164877 REDUCED PB1640_BALLOON 0 0 108000 95 652 32.55 2YR FALSE 2503164907 FULL/ALT PA1605EI_ARM-INTONLY 0 0 45000 100 677 37.87 NO-PREPAY MI 2503164919 REDUCED PF1630_FIXEDRATE 0 110000 27500 95 655 26.27 NO-PREPAY MI 2503164948 REDUCED PF0630_FIXEDRATE 0 226500 0 80 793 21.66 1YR FALSE 2503164953 REDUCED PA0605EI_ARM-INTONLY 0 332500 66500 90 735 42.21 1YR FALSE 2503164999 REDUCED PA1605E_ARM 0 200000 40000 95 661 42.88 3YR TRUE 2503165039 REDUCED PA0605EI_ARM-INTONLY 0 490000 122500 100 709 42.1 1YR FALSE 2503165098 REDUCED PF0630_FIXEDRATE 0 110000 22000 90 705 44.91 1YR FALSE 2503165099 REDUCED TB0630_BALLOON 0 110000 0 90 705 44.91 1YR FALSE 2503165100 REDUCED PF0630I_FIX-INTONLY 0 0 0 74.78 716 46.94 NO-PREPAY MI 2503165133 REDUCED PF1630I_FIX-INTONLY 0 439900 110000 100 659 37.03 NO-PREPAY MI 2503165197 REDUCED PF2630_FIXEDRATE 0 377503.94 75500 100 620 45.51 NO-PREPAY MI 2503165216 FULL/ALT PF1630I_FIX-INTONLY 0 173000 25950 95 672 32.73 NO-PREPAY MI 2503165226 NO RATIO SF2630_FIXEDRATE 0 0 0 44.89 635 0 NO-PREPAY MI 2503165264 REDUCED PF1630I_FIX-INTONLY 0 219000 32850 95 643 49.78 3YR TRUE 2503165268 REDUCED TB1630_BALLOON 0 219000 0 95 643 38.2 NO-PREPAY MI 2503165282 REDUCED PF0630I_FIX-INTONLY 0 0 48000 100 706 38.4 3YR FALSE 2503165286 REDUCED PF0630I_FIX-INTONLY 0 710000 142000 100 706 43.72 3YR FALSE 2503165341 NO RATIO SF0630I_FIX-INTONLY 0 0 0 79.85 764 0 NO-PREPAY MI 2503165371 REDUCED PF0630I_FIX-INTONLY 0 300000 45000 95 737 34.77 NO-PREPAY MI 2503165376 REDUCED PF0630_FIXEDRATE 0 0 35300 90 702 35.5 5YR TRUE 2503165389 REDUCED PA2605EI_ARM-INTONLY 0 0 0 77.49 628 46.19 2YR FALSE 2503165435 REDUCED PA2605E_ARM 0 439000 109750 100 622 49.47 NO-PREPAY MI 2503165456 NO RATIO SA1605EI_ARM-INTONLY 0 0 0 70 659 0 3YR TRUE 2503165478 REDUCED PB1640_BALLOON 0 0 72000 100 648 43.67 3YR FALSE 2503165498 REDUCED PA1605EI_ARM-INTONLY 0 470000 117500 100 656 38.81 NO-PREPAY MI 2503165499 REDUCED TB1630_BALLOON 0 470000 0 100 656 38.35 NO-PREPAY MI 2503165537 REDUCED TB1630_BALLOON 0 249000 0 95 660 34.93 NO-PREPAY MI 2503165582 NINA SF2615_FIXEDRATE 0 0 0 56.46 646 0 1YR FALSE 2503165583 REDUCED PF0630_FIXEDRATE 0 302900 75700 99.99 754 41.95 2YR FALSE 2503165611 REDUCED PF2630_FIXEDRATE 0 0 0 68.06 628 42.66 3YR FALSE 2503165613 NINA SF0630_FIXEDRATE 0 0 0 40.55 739 0 3YR FALSE 2503165619 REDUCED PA2607EI_ARM-INTONLY 0 320000 64000 100 627 43.26 2YR FALSE 2503165621 REDUCED PF1630_FIXEDRATE 0 115000 23000 90 649 33.95 3YR FALSE 2503165653 REDUCED PF0630_FIXEDRATE 0 0 20000 90 719 42.83 NO-PREPAY MI 2503165664 NO RATIO SF2630I_FIX-INTONLY 0 0 0 58.78 620 0 NO-PREPAY MI 2503165667 FULL/ALT PF0630I_FIX-INTONLY 0 750000 0 46.67 747 31.57 3YR FALSE 2503165675 REDUCED PA0605EI_ARM-INTONLY 0 238500 0 40.68 802 38.84 NO-PREPAY MI 2503165798 REDUCED PF0630I_FIX-INTONLY 0 420000 105000 100 758 30.81 3YR TRUE 2503165861 REDUCED PA2605EI_ARM-INTONLY 0 2330000 0 80 621 0 5YR TRUE 2503165878 SISA PB2640_BALLOON 0 0 0 70 638 40.52 2YR FALSE 2503165916 REDUCED PF0630I_FIX-INTONLY 0 444140 111000 100 710 46.09 1YR FALSE 2503165932 REDUCED PA1605EI_ARM-INTONLY 0 420000 105000 100 669 41.94 NO-PREPAY MI 2503165952 REDUCED PA0605EI_ARM-INTONLY 0 152115 30400 94.97 707 36.03 3YR FALSE 2503165975 SISA PF0630I_FIX-INTONLY 0 0 0 80 716 23.57 3YR FALSE 2503165976 NO RATIO SF3615_FIXEDRATE 0 159900 0 69 618 1 3YR TRUE 2503166032 REDUCED PF1630_FIXEDRATE 0 209900 41900 99.96 662 38.74 3YR FALSE 2503166140 REDUCED PA0605EI_ARM-INTONLY 0 400000 100000 100 705 48.08 1YR FALSE 2503166153 REDUCED PF2630I_FIX-INTONLY 0 0 46000 100 636 44.13 3YR FALSE 2503166160 REDUCED PA1405E_ARM 25 78000 0 90 676 48.35 NO-PREPAY MI 2503166185 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.14 657 32.93 2YR FALSE 2503166211 REDUCED PL4603E_ARM-BALLOON 0 275000 13750 85 586 49.85 3YR FALSE 2503166268 FULL/ALT PF1630I_FIX-INTONLY 0 175000 0 80 670 30.66 2YR TRUE 2503166269 FULL/ALT PF1630I_FIX-INTONLY 0 155000 0 80 670 30.66 2YR TRUE 2503166273 REDUCED PA0605EI_ARM-INTONLY 0 135500 27100 94.99 722 37.57 2YR FALSE 2503166282 REDUCED PA0605EI_ARM-INTONLY 0 550000 165000 100 718 38.03 1YR FALSE 2503166289 FULL/ALT PA1605EI_ARM-INTONLY 0 158000 0 80 670 17.37 2YR FALSE 2503166290 REDUCED PF2630I_FIX-INTONLY 0 324000 0 80 629 49.52 3YR FALSE 2503166296 REDUCED PA0605EI_ARM-INTONLY 0 800000 120000 90 701 46.81 1YR FALSE 2503166299 SISA PF1630I_FIX-INTONLY 0 341180 0 79.73 665 20.21 5YR TRUE 2503166302 REDUCED TB1630_BALLOON 0 0 0 95 671 36.52 NO-PREPAY MI 2503166319 REDUCED PA1605EI_ARM-INTONLY 0 393950 59050 94.99 655 38.84 3YR TRUE 2503166320 REDUCED TB1630_BALLOON 0 393950 0 94.99 655 38.95 NO-PREPAY MI 2503166366 FULL/ALT PF0630_FIXEDRATE 0 0 50000 67.55 701 47.46 3YR FALSE 2503166369 REDUCED PA0605E_ARM 0 171000 42750 95 694 49.82 2YR FALSE 2503166387 FULL/ALT PA1605EI_ARM-INTONLY 0 249990 0 80 640 20 5YR TRUE 2503166406 FULL/ALT PA2605E_ARM 0 0 0 80 638 38.1 3YR FALSE 2503166429 REDUCED PF0630I_FIX-INTONLY 0 0 0 75 777 21.79 2YR FALSE 2503166455 REDUCED PF0630_FIXEDRATE 0 269000 80700 100 779 49.01 3YR TRUE 2503166473 REDUCED PF2630I_FIX-INTONLY 0 0 0 39.69 635 40.54 3YR FALSE 2503166499 REDUCED PA1605EI_ARM-INTONLY 0 0 0 48.47 653 42.27 1YR FALSE 2503166518 REDUCED PA0605EI_ARM-INTONLY 0 495000 123750 95 681 0 2YR FALSE 2503166540 REDUCED PA1605EI_ARM-INTONLY 0 280700 42100 95 645 44.47 3YR TRUE 2503166544 REDUCED PF0630I_FIX-INTONLY 0 0 0 46 751 36.51 3YR TRUE 2503166549 REDUCED PA1605E_ARM 0 0 23000 85 671 25.74 3YR FALSE 2503166607 REDUCED PA1605EI_ARM-INTONLY 0 0 104000 98.12 651 42.08 3YR FALSE 2503166608 REDUCED TB1630_BALLOON 0 0 0 98.12 651 42.08 2YR FALSE 2503166611 REDUCED PA0605EI_ARM-INTONLY 0 650000 162500 100 728 40.2 NO-PREPAY MI 2503166626 SISA PA0603EI_ARM-INTONLY 0 0 0 55 705 39.55 3YR FALSE 2503166650 REDUCED PA2605EI_ARM-INTONLY 0 370000 74000 100 636 42.95 3YR TRUE 2503166659 REDUCED PF1630I_FIX-INTONLY 0 0 76000 90 662 32.19 2YR FALSE 2503166695 REDUCED PF0630_FIXEDRATE 0 237000 47400 100 728 49.83 2YR FALSE 2503166703 REDUCED PA0603EI_ARM-INTONLY 0 474825 118706 100 700 46.59 2YR FALSE 2503166712 REDUCED PF0630I_FIX-INTONLY 0 0 0 48.85 751 33.08 3YR TRUE 2503166725 REDUCED TB1630_BALLOON 0 115000 0 95 678 31.99 NO-PREPAY MI 2503166739 NO RATIO SF0630I_FIX-INTONLY 0 0 0 49.39 786 0 2YR FALSE 2503166746 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 80 670 30.66 2YR FALSE 2503166747 REDUCED PA1605EI_ARM-INTONLY 0 572232 114447 100 643 42.72 3YR FALSE 2503166832 REDUCED PA2605EI_ARM-INTONLY 0 0 70500 95 632 46.66 1YR FALSE 2503166833 REDUCED TB2630_BALLOON 0 0 0 95 632 46.66 NO-PREPAY MI 2503166845 REDUCED PF1630_FIXEDRATE 0 390000 78000 100 655 47.83 NO-PREPAY MI 2503166854 REDUCED PA1605EI_ARM-INTONLY 0 0 90000 100 669 47.47 1YR FALSE 2503166914 REDUCED PF2630I_FIX-INTONLY 0 327000 65400 95 634 47.86 NO-PREPAY MI 2503166940 REDUCED PA0605EI_ARM-INTONLY 0 767000 115000 95 780 47.66 NO-PREPAY MI 2503166958 REDUCED PF1630_FIXEDRATE 0 468380 46800 90 670 40.82 2YR FALSE 2503166986 SISA PB2640_BALLOON 0 0 0 73.57 634 41.43 NO-PREPAY MI 2503166988 REDUCED PA0605EI_ARM-INTONLY 0 175000 35000 95 715 24.19 3YR TRUE 2503167003 REDUCED PA2605E_ARM 0 0 42000 100 624 49.68 3YR FALSE 2503167031 REDUCED PA1605E_ARM 0 262000 52400 95 654 35.23 NO-PREPAY MI 2503167032 REDUCED TB1630_BALLOON 0 262000 0 95 654 35.23 NO-PREPAY MI 2503167040 REDUCED PA0605EI_ARM-INTONLY 0 849900 170000 100 747 49.09 NO-PREPAY MI 2503167044 REDUCED PA2605EI_ARM-INTONLY 0 740000 185000 100 627 46.44 3YR FALSE 2503167061 REDUCED PF3630_FIXEDRATE 0 0 0 80 624 43.88 1YR FALSE 2503167119 REDUCED PA1605EI_ARM-INTONLY 0 0 29250 88.22 679 43.93 NO-PREPAY MI 2503167120 REDUCED TB1630_BALLOON 0 0 0 88.22 679 43.93 NO-PREPAY MI 2503167133 REDUCED PA0605E_ARM 30 0 0 90 732 44.12 3YR FALSE 2503167136 REDUCED PF0630I_FIX-INTONLY 0 0 54000 88.3 682 40.49 2YR FALSE 2503167163 REDUCED PF0630I_FIX-INTONLY 0 180600 36120 100 706 37.59 2YR TRUE 2503167191 REDUCED PA1605EI_ARM-INTONLY 0 629990 125950 99.99 641 40.84 2YR FALSE 2503167198 REDUCED PA1605EI_ARM-INTONLY 0 525000 105000 100 645 39.96 1YR FALSE 2503167208 REDUCED PA1602E_ARM 0 0 43000 95 658 35.53 5YR TRUE 2503167212 REDUCED PA0605EI_ARM-INTONLY 0 0 66000 100 718 27.88 NO-PREPAY MI 2503167227 REDUCED PA0605E_ARM 25 0 0 88 709 32.54 3YR TRUE 2503167237 REDUCED PA0605EI_ARM-INTONLY 0 402800 100700 95 744 45.35 1YR FALSE 2503167248 REDUCED PF0630I_FIX-INTONLY 0 102750 20000 89.98 756 20.94 NO-PREPAY MI 2503167265 REDUCED PF1630I_FIX-INTONLY 0 133900 26750 94.96 655 29.29 3YR TRUE 2503167288 REDUCED PA0603EI_ARM-INTONLY 0 0 0 65 777 42.68 2YR FALSE 2503167293 REDUCED PF0630I_FIX-INTONLY 0 300000 60000 100 698 46.89 2YR FALSE 2503167305 FULL/ALT PA0605EI_ARM-INTONLY 0 383000 57450 95 710 48.63 1YR FALSE 2503167323 REDUCED PA0605EI_ARM-INTONLY 0 560000 140000 100 703 47.17 3YR FALSE 2503167333 REDUCED PF0630_FIXEDRATE 0 975000 225000 100 733 36.43 3YR FALSE 2503167338 REDUCED PA0605E_ARM 0 452000 90400 95 711 46.8 NO-PREPAY MI 2503167357 REDUCED PA0605EI_ARM-INTONLY 0 144975 28995 100 777 49.13 3YR FALSE 2503167358 REDUCED PA1605EI_ARM-INTONLY 0 196000 39200 100 677 39.72 NO-PREPAY MI 2503167359 REDUCED TB1630_BALLOON 0 196000 0 100 677 39.72 NO-PREPAY MI 2503167370 REDUCED PF0630I_FIX-INTONLY 0 849000 254700 100 730 37.19 2YR FALSE 2503167380 REDUCED PA1605EI_ARM-INTONLY 0 146005 36500 100 652 40.55 2YR FALSE 2503167386 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.36 646 22.79 2YR TRUE 2503167389 REDUCED PA0605EI_ARM-INTONLY 0 179990 44950 99.95 753 42.98 2YR FALSE 2503167397 REDUCED PA1605EI_ARM-INTONLY 0 530000 106000 100 676 41.49 NO-PREPAY MI 2503167422 REDUCED PA0605EI_ARM-INTONLY 0 0 0 72.3 776 35.28 NO-PREPAY MI 2503167426 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.37 781 36.8 3YR TRUE 2503167436 REDUCED PA1605EI_ARM-INTONLY 0 0 102750 90 672 36.2 1YR FALSE 2503167453 REDUCED PF0630_FIXEDRATE 0 0 123750 100 719 36.44 3YR FALSE 2503167468 FULL/ALT PA0605EI_ARM-INTONLY 0 178880 24784 83.85 804 32.03 3YR TRUE 2503167488 REDUCED PA1605EI_ARM-INTONLY 0 0 40000 95 669 10.98 3YR TRUE 2503167542 REDUCED PA1605EI_ARM-INTONLY 0 308000 77000 100 648 35.45 3YR FALSE 2503167544 REDUCED PA0605EI_ARM-INTONLY 0 187490 37400 99.98 705 38.96 3YR FALSE 2503167557 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 72.73 670 30.67 2YR FALSE 2503167562 REDUCED PA2605EI_ARM-INTONLY 0 315000 78750 100 633 42.62 2YR FALSE 2503167567 REDUCED PA0607E_ARM 0 0 86250 98.58 702 36.19 3YR FALSE 2503167568 REDUCED PF1630I_FIX-INTONLY 0 435000 87000 100 656 37.95 1YR FALSE 2503167569 REDUCED TB1630_BALLOON 0 435000 0 100 656 37.95 NO-PREPAY MI 2503167583 REDUCED PA1605EI_ARM-INTONLY 0 510000 127500 100 678 44.96 3YR FALSE 2503167592 REDUCED AA1605EI_ARM-INTONLY 0 750000 150000 100 709 30.01 3YR TRUE 2503167595 REDUCED PA2605EI_ARM-INTONLY 0 402800 80550 99.99 622 47.46 1YR FALSE 2503167625 REDUCED PB1640_BALLOON 0 0 93750 95 642 35.87 NO-PREPAY MI 2503167634 FULL/ALT PA1605EI_ARM-INTONLY 0 110000 27500 95 649 28.56 NO-PREPAY MI 2503167642 NINA SF2630_FIXEDRATE 0 0 0 80 631 0 3YR TRUE 2503167709 REDUCED PL2605E_ARM-BALLOON 0 265000 53000 100 637 39.42 3YR FALSE 2503167717 REDUCED TB0630_BALLOON 0 0 0 88.4 698 49.73 NO-PREPAY MI 2503167744 REDUCED PA0605EI_ARM-INTONLY 0 328600 65700 95 761 25.64 NO-PREPAY MI 2503167755 REDUCED PA1605EI_ARM-INTONLY 0 270000 67500 95 656 19.19 NO-PREPAY MI 2503167760 REDUCED PA1605EI_ARM-INTONLY 0 470000 117500 100 659 38.52 NO-PREPAY MI 2503167770 REDUCED PA0605EI_ARM-INTONLY 0 620000 124000 95 702 40.78 2YR FALSE 2503167777 REDUCED PA2605EI_ARM-INTONLY 0 0 69750 90 628 35.97 3YR FALSE 2503167778 REDUCED TB2630_BALLOON 0 0 0 90 628 35.97 NO-PREPAY MI 2503167779 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 659 30.83 2YR FALSE 2503167783 REDUCED PA2605EI_ARM-INTONLY 0 465000 93000 100 633 39.08 3YR FALSE 2503167797 REDUCED PA1605EI_ARM-INTONLY 0 225000 45000 95 661 48.24 3YR FALSE 2503167822 SISA PA0405EI_ARM-INTONLY 25 370000 0 90 785 44.04 5YR TRUE 2503167824 REDUCED PA1605EI_ARM-INTONLY 0 440000 66000 95 654 24.06 3YR TRUE 2503167825 REDUCED PA1605EI_ARM-INTONLY 0 440000 110000 100 642 41.97 3YR FALSE 2503167852 REDUCED PA0605EI_ARM-INTONLY 0 570000 142500 100 693 47.4 NO-PREPAY MI 2503167859 REDUCED PF0630_FIXEDRATE 0 0 0 32.92 781 29.98 3YR TRUE 2503167861 REDUCED PF0630_FIXEDRATE 0 0 0 28.27 781 29.88 3YR TRUE 2503167893 REDUCED PF1630_FIXEDRATE 0 239000 0 80 644 46.22 3YR FALSE 2503167898 REDUCED PA0605EI_ARM-INTONLY 0 0 48000 95 729 49.2 3YR FALSE 2503167905 REDUCED PF0630I_FIX-INTONLY 0 960000 144000 90 733 44.1 3YR FALSE 2503167917 REDUCED PA0605EI_ARM-INTONLY 0 420000 63000 95 682 45 2YR FALSE 2503167920 REDUCED PF0630I_FIX-INTONLY 0 0 0 70.69 719 34.32 5YR TRUE 2503167932 REDUCED PA1605EI_ARM-INTONLY 0 0 0 68.15 654 40.02 NO-PREPAY MI 2503167942 REDUCED PA2605EI_ARM-INTONLY 0 0 40950 95 620 37.88 3YR FALSE 2503167978 REDUCED PA0605E_ARM 0 590000 147500 100 737 41.26 NO-PREPAY MI 2503167984 NINA SA0605E_ARM 0 210000 0 80 705 0 1YR FALSE 2503168002 REDUCED PA0605EI_ARM-INTONLY 0 445475 111350 100 725 45.92 1YR FALSE 2503168007 REDUCED PA2603EI_ARM-INTONLY 0 0 80000 100 625 31.28 2YR FALSE 2503168009 REDUCED PA2605EI_ARM-INTONLY 0 530000 106000 100 622 42.59 3YR FALSE 2503168012 REDUCED PA1605EI_ARM-INTONLY 0 157010 31400 90 672 25.82 NO-PREPAY MI 2503168015 REDUCED TB1630_BALLOON 0 157010 0 90 672 25.82 NO-PREPAY MI 2503168022 REDUCED PA1605EI_ARM-INTONLY 0 0 50200 100 649 49.23 3YR FALSE 2503168025 REDUCED PA1605EI_ARM-INTONLY 0 850000 212500 100 647 39.92 NO-PREPAY MI 2503168032 REDUCED PA0605EI_ARM-INTONLY 0 1110000 360000 100 690 39.95 NO-PREPAY MI 2503168033 REDUCED TB0630_BALLOON 0 1110000 0 100 690 39.95 NO-PREPAY MI 2503168058 REDUCED PA0605E_ARM 0 198890 39750 94.98 787 33.69 NO-PREPAY MI 2503168083 REDUCED PA0605E_ARM 0 104900 20800 94.19 770 49.78 3YR FALSE 2503168085 REDUCED PF1630I_FIX-INTONLY 0 0 0 80 678 16.72 NO-PREPAY MI 2503168104 REDUCED PA1605EI_ARM-INTONLY 0 0 195000 94.98 652 28.69 1YR FALSE 2503168114 REDUCED PA0605EI_ARM-INTONLY 0 558000 83700 90 748 40.14 NO-PREPAY MI 2503168123 NINA SA1605EI_ARM-INTONLY 0 179900 0 79.99 813 0 NO-PREPAY MI 2503168128 REDUCED PA1605E_ARM 0 355000 88750 100 652 48.04 2YR FALSE 2503168130 REDUCED PA2605E_ARM 0 0 47200 90 629 49.55 NO-PREPAY MI 2503168136 REDUCED PA1605EI_ARM-INTONLY 0 404900 80950 99.99 658 32.17 3YR FALSE 2503168139 REDUCED PA0605EI_ARM-INTONLY 0 0 0 47.46 799 43.05 2YR FALSE 2503168140 REDUCED PA1605EI_ARM-INTONLY 0 285000 57000 100 664 42.85 NO-PREPAY MI 2503168142 REDUCED TB1630_BALLOON 0 404900 0 99.99 658 32.17 3YR FALSE 2503168150 REDUCED PA0605EI_ARM-INTONLY 0 860000 172000 90 744 47.4 NO-PREPAY MI 2503168159 REDUCED PA1605EI_ARM-INTONLY 0 1000000 250000 100 666 47.76 NO-PREPAY MI 2503168161 REDUCED TB1630_BALLOON 0 1000000 0 100 666 47.76 NO-PREPAY MI 2503168166 REDUCED PA0607EI_ARM-INTONLY 0 0 0 59.25 743 41.54 1YR FALSE 2503168188 REDUCED TB1630_BALLOON 0 0 0 90 642 31.72 3YR FALSE 2503168203 FULL/ALT PB0640_BALLOON 0 460000 115000 100 792 47.47 3YR FALSE 2503168216 REDUCED PA0605EI_ARM-INTONLY 0 550000 137500 100 773 39.49 1YR FALSE 2503168227 REDUCED PA0605EI_ARM-INTONLY 0 0 57500 100 692 42.4 NO-PREPAY MI 2503168246 REDUCED PA0605EI_ARM-INTONLY 0 353500 70700 95 685 44.91 NO-PREPAY MI 2503168253 REDUCED PA1605EI_ARM-INTONLY 0 253000 63250 100 654 34.34 NO-PREPAY MI 2503168301 FULL/ALT PF1630_FIXEDRATE 0 169900 0 79.99 0 21.04 2YR FALSE 2503168312 REDUCED PA1405EI_ARM-INTONLY 0 0 63750 95 641 42.33 2YR FALSE 2503168319 REDUCED PF0630_FIXEDRATE 0 0 0 43.11 757 34.55 2YR FALSE 2503168345 REDUCED PA1605EI_ARM-INTONLY 0 627500 94100 95 678 43.98 NO-PREPAY MI 2503168350 NINA SA2605EI_ARM-INTONLY 30 300000 0 95 660 0 3YR FALSE 2503168358 NINA SF0630I_FIX-INTONLY 0 0 0 65.77 740 0 3YR FALSE 2503168362 REDUCED PA2605E_ARM 0 0 0 50 621 54.03 NO-PREPAY MI 2503168371 REDUCED PA1605EI_ARM-INTONLY 0 435000 108750 100 643 44.21 3YR TRUE 2503168375 REDUCED TB1630_BALLOON 0 627500 0 95 678 43.98 NO-PREPAY MI 2503168385 REDUCED PA2605EI_ARM-INTONLY 0 0 0 74.4 632 45.86 2YR FALSE 2503168388 REDUCED PL0605E_ARM-BALLOON 0 0 227500 98.28 680 39.87 1YR FALSE 2503168391 REDUCED TB0630_BALLOON 0 0 0 98.28 680 39.87 NO-PREPAY MI 2503168393 REDUCED PA0605EI_ARM-INTONLY 0 299000 59800 100 735 42.92 2YR FALSE 2503168406 NINA EF2630I_FIX-INTONLY 30 400000 0 95 666 0 NO-PREPAY MI 2503168468 REDUCED PA2605EI_ARM-INTONLY 0 424000 106000 100 629 46.56 1YR FALSE 2503168470 REDUCED PA0605EI_ARM-INTONLY 0 260000 39000 95 714 49.78 NO-PREPAY MI 2503168513 REDUCED PA0605E_ARM 0 750000 75000 90 723 44.38 NO-PREPAY MI 2503168515 FULL/ALT PF2630I_FIX-INTONLY 0 213900 53500 100 633 44.72 2YR FALSE 2503168522 REDUCED PA1605EI_ARM-INTONLY 0 914000 0 80 666 33.76 2YR FALSE 2503168523 REDUCED PA0607EI_ARM-INTONLY 0 385000 0 80 703 44.22 1YR FALSE 2503168524 REDUCED TB0630_BALLOON 0 785000 0 90 715 30.29 1YR FALSE 2503168535 REDUCED PA2605EI_ARM-INTONLY 0 0 47000 83.63 627 41.54 NO-PREPAY MI 2503168541 REDUCED PA2605EI_ARM-INTONLY 0 404000 80800 100 638 41.7 2YR FALSE 2503168544 REDUCED PA1605E_ARM 0 195000 39000 95 676 31.43 1YR FALSE 2503168561 REDUCED PA2605EI_ARM-INTONLY 0 0 43750 90 620 37.18 3YR FALSE 2503168563 REDUCED PA0605EI_ARM-INTONLY 0 0 0 56.87 776 25.74 NO-PREPAY MI 2503168564 REDUCED PA1605EI_ARM-INTONLY 0 325000 65000 100 659 42.26 2YR FALSE 2503168580 REDUCED PA1605EI_ARM-INTONLY 0 370000 74000 100 651 49.98 2YR FALSE 2503168606 REDUCED PA0607EI_ARM-INTONLY 0 475000 95000 100 698 49.39 NO-PREPAY MI 2503168612 NO RATIO SA0605EI_ARM-INTONLY 0 770000 0 48.5 700 0 2YR FALSE 2503168650 REDUCED PL3605E_ARM-BALLOON 0 0 0 57.54 611 44.23 2YR TRUE 2503168663 REDUCED PA0605EI_ARM-INTONLY 0 615000 153750 100 715 43.76 1YR FALSE 2503168675 REDUCED PA0605EI_ARM-INTONLY 0 529000 0 62.39 695 22.74 2YR FALSE 2503168698 REDUCED PA1605EI_ARM-INTONLY 0 0 88400 100 662 36.5 1YR FALSE 2503168712 REDUCED PA0605EI_ARM-INTONLY 0 0 0 77.11 716 50.71 NO-PREPAY MI 2503168714 REDUCED PA1605EI_ARM-INTONLY 0 165000 40000 99.25 652 43.35 1YR FALSE 2503168715 REDUCED PA0605EI_ARM-INTONLY 0 181050 45250 94.98 753 34.34 3YR TRUE 2503168720 REDUCED TB1630_BALLOON 0 165000 0 99.25 652 43.35 1YR FALSE 2503168724 REDUCED PF0630_FIXEDRATE 0 295001 71600 95 708 26.81 NO-PREPAY MI 2503168728 REDUCED PA0605EI_ARM-INTONLY 0 0 243750 100 681 36.57 NO-PREPAY MI 2503168732 FULL/ALT PF1630_FIXEDRATE 0 350000 0 80 640 28.03 3YR TRUE 2503168757 REDUCED PA1605EI_ARM-INTONLY 0 446000 111500 100 673 49.92 1YR FALSE 2503168762 NINA SA0605EI_ARM-INTONLY 0 0 0 49.06 744 0 NO-PREPAY MI 2503168765 REDUCED PA0605EI_ARM-INTONLY 0 486500 121650 100 703 36.53 5YR TRUE 2503168766 REDUCED TB0630_BALLOON 0 486500 0 100 703 36.53 NO-PREPAY MI 2503168777 REDUCED PF1630I_FIX-INTONLY 0 195990 39150 94.96 673 44.7 NO-PREPAY MI 2503168778 REDUCED TB1630_BALLOON 0 195990 0 94.96 673 44.7 2YR FALSE 2503168785 REDUCED PA0605EI_ARM-INTONLY 0 120000 36000 100 747 29 3YR TRUE 2503168796 FULL/ALT PA0605EI_ARM-INTONLY 0 335000 67000 100 680 42.62 2YR FALSE 2503168798 REDUCED PF1630_FIXEDRATE 0 0 0 58.32 675 39.94 3YR FALSE 2503168809 REDUCED PF0630I_FIX-INTONLY 0 310000 46500 90 796 23.71 3YR FALSE 2503168828 REDUCED TB0630_BALLOON 0 420000 0 88.1 689 37.09 3YR FALSE 2503168831 REDUCED PF0630_FIXEDRATE 0 0 0 53.85 756 54.12 1YR FALSE 2503168840 FULL/ALT PA0605EI_ARM-INTONLY 0 1060000 318000 100 756 32.54 3YR TRUE 2503168849 REDUCED PA1605EI_ARM-INTONLY 0 0 132500 100 650 45 5YR FALSE 2503168853 REDUCED PA0605EI_ARM-INTONLY 0 149900 29950 89.96 726 24.47 3YR FALSE 2503168881 REDUCED PA0605EI_ARM-INTONLY 0 241000 60250 100 726 40.65 3YR FALSE 2503168903 REDUCED PA2603E_ARM 0 0 0 50 626 44.85 3YR TRUE 2503168916 NINA SA0605EI_ARM-INTONLY 0 365000 36500 90 695 0 NO-PREPAY MI 2503168918 REDUCED PA2405E_ARM 22 110000 0 90 639 11.6 2YR FALSE 2503168925 REDUCED PA2605E_ARM 0 565000 113000 100 625 44.84 1YR FALSE 2503168926 REDUCED TB2630_BALLOON 0 565000 0 100 625 44.84 1YR FALSE 2503168927 REDUCED PA1605EI_ARM-INTONLY 0 163900 40950 99.97 644 47.77 NO-PREPAY MI 2503168929 REDUCED PA0605EI_ARM-INTONLY 0 0 0 49.75 688 47.84 NO-PREPAY MI 2503168931 REDUCED TF1630I_FIX-INTONLY 0 163900 0 99.97 644 47.77 3YR FALSE 2503168932 REDUCED PA1605E_ARM 0 0 0 80 649 41 1YR FALSE 2503168933 REDUCED PA1605EI_ARM-INTONLY 0 490000 0 80 655 23.98 NO-PREPAY MI 2503168941 REDUCED PA2605EI_ARM-INTONLY 0 330000 66000 100 631 28.07 1YR FALSE 2503168945 REDUCED PA0605EI_ARM-INTONLY 0 135900 27150 94.96 692 39.58 3YR TRUE 2503168950 REDUCED PA0605EI_ARM-INTONLY 0 0 68750 100 707 37.39 1YR FALSE 2503168951 REDUCED TB0630_BALLOON 0 0 0 100 707 39.08 1YR FALSE 2503168963 REDUCED PA0605E_ARM 0 155000 31000 100 689 44.53 NO-PREPAY MI 2503168987 REDUCED PA0605EI_ARM-INTONLY 0 671000 167750 100 680 41.47 1YR FALSE 2503168988 REDUCED TB0630_BALLOON 0 671000 0 100 680 41.47 NO-PREPAY MI 2503168993 REDUCED PF1630_FIXEDRATE 0 123500 24700 100 640 42.16 2YR FALSE 2503168996 REDUCED PA1605EI_ARM-INTONLY 0 0 36450 90 658 34.88 3YR FALSE 2503169008 REDUCED PA1605E_ARM 0 121900 24380 100 674 31.88 2YR FALSE 2503169035 REDUCED PA1605EI_ARM-INTONLY 0 439950 87950 94.99 654 37.53 NO-PREPAY MI 2503169040 REDUCED PF0630I_FIX-INTONLY 0 408900 61335 90 721 46.66 2YR FALSE 2503169052 REDUCED PF4630_FIXEDRATE 0 0 0 80 583 46.68 3YR FALSE 2503169057 REDUCED PA0605EI_ARM-INTONLY 0 500000 100000 100 690 49.29 1YR FALSE 2503169066 REDUCED PA0605EI_ARM-INTONLY 0 0 51000 90 743 33.29 5YR TRUE 2503169085 REDUCED PA1605EI_ARM-INTONLY 0 276500 55300 100 648 45.33 3YR TRUE 2503169086 REDUCED TB1630_BALLOON 0 276500 0 100 648 45.33 NO-PREPAY MI 2503169089 REDUCED PA0605E_ARM 0 260600 52100 99.99 742 44.76 1YR FALSE 2503169101 REDUCED PA0605EI_ARM-INTONLY 0 285000 57000 95 760 43.54 NO-PREPAY MI 2503169124 REDUCED PA1605E_ARM 0 355000 106500 100 678 33.83 1YR FALSE 2503169126 REDUCED PA0605EI_ARM-INTONLY 0 510000 76500 95 766 38.57 2YR TRUE 2503169136 REDUCED PA0605E_ARM 0 445000 111250 100 703 40.5 1YR FALSE 2503169176 FULL/ALT TB1630_BALLOON 0 0 0 100 677 38.42 NO-PREPAY MI 2503169183 REDUCED PA1605EI_ARM-INTONLY 0 0 62250 95 640 37.97 3YR FALSE 2503169199 REDUCED PA0605EI_ARM-INTONLY 0 0 36000 100 683 39.36 NO-PREPAY MI 2503169205 REDUCED PA2605EI_ARM-INTONLY 0 277500 55500 100 635 42.12 1YR FALSE 2503169215 REDUCED TB1630_BALLOON 0 200000 0 95 661 42.88 NO-PREPAY MI 2503169225 REDUCED PA0605EI_ARM-INTONLY 0 678400 135650 95 691 37.03 1YR FALSE 2503169236 REDUCED PA1607EI_ARM-INTONLY 0 0 39400 100 644 35.83 3YR FALSE 2503169237 REDUCED TB1630_BALLOON 0 0 0 100 644 35.83 NO-PREPAY MI 2503169244 REDUCED PA1605EI_ARM-INTONLY 0 390000 97500 100 656 47.28 NO-PREPAY MI 2503169245 REDUCED TB1630_BALLOON 0 390000 0 100 656 47.28 NO-PREPAY MI 2503169252 REDUCED PA1605EI_ARM-INTONLY 0 0 50250 95 671 19.57 NO-PREPAY MI 2503169255 REDUCED PL0605E_ARM-BALLOON 0 0 73020 85 684 34.2 1YR FALSE 2503169257 REDUCED TB0630_BALLOON 0 0 0 85 684 34.2 1YR FALSE 2503169279 REDUCED PA0605E_ARM 0 0 92500 100 696 47.03 2YR FALSE 2503169288 REDUCED TB1630_BALLOON 0 0 0 95 671 23.54 NO-PREPAY MI 2503169300 REDUCED PA0605EI_ARM-INTONLY 0 380000 0 75 704 43.46 NO-PREPAY MI 2503169312 REDUCED PA0605EI_ARM-INTONLY 0 225000 33750 95 760 40.63 NO-PREPAY MI 2503169313 REDUCED TB0630_BALLOON 0 225000 0 95 760 40.63 NO-PREPAY MI 2503169326 REDUCED PA0605EI_ARM-INTONLY 0 0 61500 87.56 697 41.26 NO-PREPAY MI 2503169336 REDUCED PA0605EI_ARM-INTONLY 0 670000 134000 100 695 38.27 3YR FALSE 2503169351 NINA SA2605EI_ARM-INTONLY 30 328625 0 95 662 0 NO-PREPAY MI 2503169352 REDUCED PF0615_FIXEDRATE 0 0 0 75 707 36.52 3YR FALSE 2503169359 REDUCED PL0605E_ARM-BALLOON 0 0 0 63.06 687 25.63 3YR FALSE 2503169360 REDUCED PA1605EI_ARM-INTONLY 0 294900 58980 95 676 29.46 NO-PREPAY MI 2503169366 REDUCED PA1605EI_ARM-INTONLY 0 355000 88750 100 661 42.63 2YR FALSE 2503169377 REDUCED PA0605EI_ARM-INTONLY 0 565000 113000 100 717 37.48 NO-PREPAY MI 2503169412 REDUCED PB2640_BALLOON 0 260000 52000 100 636 45.36 2YR FALSE 2503169424 NINA SA0605E_ARM 25 169440 0 89.98 731 0 NO-PREPAY MI 2503169439 REDUCED PA1605EI_ARM-INTONLY 0 112000 22400 95 643 46.47 NO-PREPAY MI 2503169442 REDUCED PA0605EI_ARM-INTONLY 0 277990 55550 94.97 735 48.12 NO-PREPAY MI 2503169457 REDUCED PA0605EI_ARM-INTONLY 0 459000 91800 100 774 39.51 2YR FALSE 2503169468 REDUCED PA1605EI_ARM-INTONLY 0 0 60000 99.36 664 43.03 3YR FALSE 2503169471 REDUCED TB0630_BALLOON 0 0 0 100 683 39.36 NO-PREPAY MI 2503169481 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 777 47.59 NO-PREPAY MI 2503169512 REDUCED PA0605EI_ARM-INTONLY 0 0 75000 95 705 40.52 NO-PREPAY MI 2503169529 REDUCED PA1605EI_ARM-INTONLY 0 0 0 22.63 658 23.14 3YR FALSE 2503169530 NINA SF0630I_FIX-INTONLY 0 0 0 64 690 0 3YR TRUE 2503169544 REDUCED PA1605EI_ARM-INTONLY 0 0 53750 100 660 41.26 2YR FALSE 2503169570 REDUCED PA1605EI_ARM-INTONLY 0 158000 23700 95 658 36.46 NO-PREPAY MI 2503169572 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 80 696 0 NO-PREPAY MI 2503169586 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 80 640 35.45 2YR TRUE 2503169591 REDUCED PA0605E_ARM 0 269000 53800 100 688 40.75 NO-PREPAY MI 2503169596 REDUCED PA0605EI_ARM-INTONLY 0 0 41000 100 690 42.55 3YR FALSE 2503169600 REDUCED PA1605E_ARM 0 0 27000 87 666 42 1YR FALSE 2503169604 REDUCED PA2605EI_ARM-INTONLY 0 360000 90000 100 621 47.11 NO-PREPAY MI 2503169606 REDUCED PA0605EI_ARM-INTONLY 0 378422 56750 94.99 800 43.87 3YR TRUE 2503169607 REDUCED TB0630_BALLOON 0 378422 0 94.99 800 43.87 NO-PREPAY MI 2503169612 FULL/ALT PA1605EI_ARM-INTONLY 0 0 34000 91.93 646 40.38 3YR TRUE 2503169613 REDUCED PA0605EI_ARM-INTONLY 0 430000 86000 100 705 43 1YR FALSE 2503169619 NINA SA0605EI_ARM-INTONLY 0 0 0 35.63 706 0 3YR FALSE 2503169623 REDUCED PA0605EI_ARM-INTONLY 0 425000 0 54.59 709 31.78 3YR TRUE 2503169624 REDUCED PA1605E_ARM 0 340000 68000 95 657 47.06 1YR FALSE 2503169637 FULL/ALT PA0605EI_ARM-INTONLY 0 568000 113600 100 681 48.58 1YR FALSE 2503169638 REDUCED PL0605E_ARM-BALLOON 0 0 43400 93.57 689 41.11 5YR TRUE 2503169646 REDUCED PA1605E_ARM 0 287500 57500 100 676 38.58 2YR FALSE 2503169649 REDUCED PA0605EI_ARM-INTONLY 0 410000 102500 95 740 45.25 3YR TRUE 2503169650 REDUCED TB0630_BALLOON 0 410000 0 95 740 43.41 1YR FALSE 2503169657 REDUCED PA0605EI_ARM-INTONLY 0 283250 56650 100 683 37.35 2YR FALSE 2503169690 REDUCED PA1405E_ARM 25 86000 4300 95 652 39.02 3YR FALSE 2503169693 REDUCED PA0605E_ARM 0 150000 45000 95 704 37.09 3YR FALSE 2503169706 REDUCED PA0605EI_ARM-INTONLY 0 675000 168750 100 762 47.78 1YR FALSE 2503169707 REDUCED TB0630_BALLOON 0 675000 0 100 762 47.78 NO-PREPAY MI 2503169713 REDUCED PA0605EI_ARM-INTONLY 0 0 75000 90 683 44.29 2YR FALSE 2503169719 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 755 40.35 3YR FALSE 2503169727 REDUCED PF2630I_FIX-INTONLY 0 205000 41000 100 635 42.5 3YR TRUE 2503169742 REDUCED PA2603EI_ARM-INTONLY 0 370444 74088 100 621 48.1 3YR FALSE 2503169763 FULL/ALT PA1605EI_ARM-INTONLY 0 0 82600 100 667 49.18 1YR FALSE 2503169765 FULL/ALT TB1630_BALLOON 0 0 0 100 667 49.18 1YR FALSE 2503169766 REDUCED PF1630_FIXEDRATE 0 0 67500 99.56 641 37.33 1YR FALSE 2503169771 REDUCED PA0605EI_ARM-INTONLY 0 382000 76400 95 691 39.46 1YR FALSE 2503169776 REDUCED PA0605EI_ARM-INTONLY 0 402000 80400 100 693 36.07 NO-PREPAY MI 2503169812 REDUCED PA0605EI_ARM-INTONLY 0 137689 34422 95 743 23.91 NO-PREPAY MI 2503169818 REDUCED PA0605EI_ARM-INTONLY 0 0 97500 85 705 31.02 NO-PREPAY MI 2503169866 REDUCED PA2605E_ARM 0 730000 182500 100 625 46.66 1YR FALSE 2503169872 REDUCED PA0605EI_ARM-INTONLY 0 400000 80000 100 762 49.12 1YR FALSE 2503169874 NINA SF0630_FIXEDRATE 0 0 0 31.08 757 0 1YR FALSE 2503169875 REDUCED PA1605E_ARM 0 0 41500 90 656 34.99 2YR TRUE 2503169876 REDUCED TB1630_BALLOON 0 0 0 90 656 34.99 NO-PREPAY MI 2503169882 REDUCED PL0605E_ARM-BALLOON 0 614000 153500 100 686 48.75 1YR FALSE 2503169885 REDUCED PA1605EI_ARM-INTONLY 0 364950 72950 99.99 642 46.14 1YR FALSE 2503169894 REDUCED PA0605EI_ARM-INTONLY 0 0 140590 92 714 44.92 2YR FALSE 2503169899 REDUCED PA0605E_ARM 0 182900 36400 100 755 22.84 2YR FALSE 2503169927 REDUCED PA1605E_ARM 0 490000 98000 100 642 43.74 NO-PREPAY MI 2503169930 REDUCED PA1605EI_ARM-INTONLY 0 279900 69975 100 644 37.01 3YR FALSE 2503169950 REDUCED PA1605EI_ARM-INTONLY 0 360000 72000 100 647 26.18 NO-PREPAY MI 2503169951 REDUCED TB1630_BALLOON 0 360000 0 100 647 26.18 NO-PREPAY MI 2503169958 REDUCED PA1605EI_ARM-INTONLY 0 0 400000 63.8 666 37.45 NO-PREPAY MI 2503169959 REDUCED TB1630_BALLOON 0 0 0 63.8 666 37.45 NO-PREPAY MI 2503169960 REDUCED PA1605EI_ARM-INTONLY 0 640000 96000 90 661 44.31 2YR FALSE 2503169966 REDUCED PA0605EI_ARM-INTONLY 0 331500 66300 95 689 47.71 2YR FALSE 2503169968 REDUCED PA2605EI_ARM-INTONLY 0 390000 78000 100 639 45.9 3YR FALSE 2503169969 REDUCED TB2630_BALLOON 0 390000 0 100 639 45.9 3YR FALSE 2503169984 REDUCED PA0605EI_ARM-INTONLY 0 0 64400 90 781 39.74 NO-PREPAY MI 2503169985 REDUCED TB0630_BALLOON 0 0 0 90 781 39.74 NO-PREPAY MI 2503169991 REDUCED PA1605EI_ARM-INTONLY 0 250000 50000 95 644 44.8 3YR FALSE 2503170001 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 75.3 719 39.61 1YR FALSE 2503170004 REDUCED PA0605EI_ARM-INTONLY 0 240000 60000 100 712 36.2 2YR FALSE 2503170026 REDUCED PA0605EI_ARM-INTONLY 0 0 22500 90 686 32.24 NO-PREPAY MI 2503170027 REDUCED PA0605EI_ARM-INTONLY 0 429000 42900 90 738 41.47 NO-PREPAY MI 2503170029 NINA SA2605EI_ARM-INTONLY 0 0 0 75 629 0 2YR FALSE 2503170036 REDUCED PA1605EI_ARM-INTONLY 0 1321131.78 198200 90 647 22.42 1YR FALSE 2503170037 REDUCED TB1630_BALLOON 0 1321131.78 0 90 647 22.42 NO-PREPAY MI 2503170048 REDUCED PA1605EI_ARM-INTONLY 0 361276 108350 99.98 676 31.66 NO-PREPAY MI 2503170054 REDUCED PA0607EI_ARM-INTONLY 0 641250 283250 100 681 40.27 3YR FALSE 2503170087 REDUCED PA0605EI_ARM-INTONLY 0 0 39294 95 729 20.04 NO-PREPAY MI 2503170089 REDUCED PA0605EI_ARM-INTONLY 0 710000 177500 100 700 49.12 1YR FALSE 2503170096 REDUCED PA1605E_ARM 0 385000 96250 100 662 40.36 1YR FALSE 2503170104 REDUCED PF1630I_FIX-INTONLY 0 0 0 75 651 37.47 1YR FALSE 2503170119 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 644 38.79 3YR TRUE 2503170122 REDUCED PA1605E_ARM 0 163490 40872 95 641 49.7 3YR FALSE 2503170137 REDUCED PA2605EI_ARM-INTONLY 0 760850 152170 95 631 35.66 NO-PREPAY MI 2503170151 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.05 749 51.3 NO-PREPAY MI 2503170155 REDUCED PA1605E_ARM 0 160000 32000 100 672 34.02 3YR FALSE 2503170163 REDUCED PA1405E_ARM 22 0 0 90 658 37.99 NO-PREPAY MI 2503170164 NINA SA2605EI_ARM-INTONLY 30 132990 0 95 680 0 3YR TRUE 2503170186 FULL/ALT PA2605EI_ARM-INTONLY 0 420000 84000 100 621 49.29 2YR FALSE 2503170187 FULL/ALT TB2630_BALLOON 0 420000 0 100 621 49.29 2YR FALSE 2503170188 REDUCED PA2605EI_ARM-INTONLY 0 569148 113800 100 635 49.9 1YR FALSE 2503170189 REDUCED TB2630_BALLOON 0 569148 0 100 635 49.9 NO-PREPAY MI 2503170192 REDUCED PA0605EI_ARM-INTONLY 0 338000 33800 90 707 40.72 2YR TRUE 2503170194 REDUCED PA2605EI_ARM-INTONLY 0 575000 115000 100 635 39.64 3YR FALSE 2503170218 REDUCED PA0605EI_ARM-INTONLY 0 0 37000 90 697 44.68 5YR TRUE 2503170221 REDUCED PA0605E_ARM 0 0 0 80 742 39.54 NO-PREPAY MI 2503170228 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 79.28 712 0 NO-PREPAY MI 2503170229 REDUCED PA2605EI_ARM-INTONLY 0 713600 178400 100 638 44.74 NO-PREPAY MI 2503170252 REDUCED PA0605EI_ARM-INTONLY 0 315000 63000 95 697 44.48 NO-PREPAY MI 2503170267 REDUCED PA2605EI_ARM-INTONLY 0 0 30400 86.47 633 37.02 3YR TRUE 2503170273 REDUCED PA0605EI_ARM-INTONLY 0 1170000 400000 100 766 36.18 3YR FALSE 2503170278 REDUCED PA0605EI_ARM-INTONLY 0 545000 136250 100 747 44.09 2YR FALSE 2503170285 REDUCED PA1605EI_ARM-INTONLY 0 390000 78000 100 656 49.92 1YR FALSE 2503170292 REDUCED PA1605EI_ARM-INTONLY 0 0 96400 100 643 40.7 2YR FALSE 2503170294 REDUCED TB1630_BALLOON 0 0 0 100 643 40.7 2YR FALSE 2503170307 REDUCED PA0605EI_ARM-INTONLY 0 435000 87000 100 704 42.82 NO-PREPAY MI 2503170309 REDUCED PA0605EI_ARM-INTONLY 0 275000 55000 100 697 43.35 2YR FALSE 2503170311 FULL/ALT PA0605EI_ARM-INTONLY 0 0 100000 79.46 735 34.69 2YR FALSE 2503170332 REDUCED PL0605E_ARM-BALLOON 0 999000 249750 100 687 40.04 3YR FALSE 2503170333 REDUCED TB0630_BALLOON 0 999000 0 100 687 40.04 NO-PREPAY MI 2503170356 REDUCED PA1605EI_ARM-INTONLY 0 0 0 64 661 25.31 3YR FALSE 2503170357 REDUCED PA0605E_ARM 0 412837 123850 100 720 48.02 NO-PREPAY MI 2503170367 FULL/ALT PA0605EI_ARM-INTONLY 0 129900 25950 89.96 736 44.7 NO-PREPAY MI 2503170368 FULL/ALT TB0630_BALLOON 0 129900 0 89.96 736 44.7 NO-PREPAY MI 2503170370 REDUCED PA2605EI_ARM-INTONLY 0 0 0 80 632 48.09 3YR TRUE 2503170371 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 640 0 3YR FALSE 2503170378 REDUCED PA0605EI_ARM-INTONLY 0 680000 136000 100 701 49.7 2YR FALSE 2503170389 SISA PA1605EI_ARM-INTONLY 0 0 0 60.44 660 40.92 2YR FALSE 2503170401 REDUCED PA0603EI_ARM-INTONLY 0 121400 25000 94.98 700 24.27 3YR FALSE 2503170406 REDUCED PA1605EI_ARM-INTONLY 0 524000 104750 100 649 44.01 3YR TRUE 2503170416 REDUCED PA1605EI_ARM-INTONLY 0 0 150000 98.4 661 43.36 3YR FALSE 2503170425 REDUCED TB1630_BALLOON 0 0 0 87 666 42 NO-PREPAY MI 2503170429 REDUCED PA2605EI_ARM-INTONLY 0 0 34000 100 628 41.57 2YR FALSE 2503170436 REDUCED PF0630_FIXEDRATE 0 125000 26000 95 689 24.72 NO-PREPAY MI 2503170444 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 657 40.46 3YR FALSE 2503170447 REDUCED PF1630I_FIX-INTONLY 0 398000 59700 95 658 30.86 3YR TRUE 2503170455 REDUCED PF1630I_FIX-INTONLY 0 0 74000 100 640 39.09 NO-PREPAY MI 2503170466 REDUCED PA3605E_ARM 0 0 0 78.95 611 47.61 NO-PREPAY MI 2503170481 REDUCED TB2630_BALLOON 0 0 0 86.47 633 37.02 NO-PREPAY MI 2503170489 REDUCED PL1605E_ARM-BALLOON 0 0 0 73.26 645 40.66 3YR FALSE 2503170500 REDUCED PF1630I_FIX-INTONLY 0 0 53250 95 640 36.02 NO-PREPAY MI 2503170506 REDUCED PA0605EI_ARM-INTONLY 0 1425000 71250 80 671 44.19 NO-PREPAY MI 2503170507 REDUCED TB0630_BALLOON 0 1425000 0 80 671 44.19 NO-PREPAY MI 2503170522 REDUCED PF0630I_FIX-INTONLY 0 0 0 68.46 748 44.45 3YR FALSE 2503170529 REDUCED PA0607EI_ARM-INTONLY 0 0 0 54.17 689 19.71 3YR FALSE 2503170532 REDUCED PA1605EI_ARM-INTONLY 0 0 78030 94.45 648 42.27 3YR TRUE 2503170533 REDUCED TB1630_BALLOON 0 0 0 94.45 648 44.01 1YR FALSE 2503170534 REDUCED PA0605EI_ARM-INTONLY 0 329950 82487.5 95 680 37.43 NO-PREPAY MI 2503170541 REDUCED PA0605EI_ARM-INTONLY 0 231500 57850 94.99 781 49.17 NO-PREPAY MI 2503170544 REDUCED PA0605EI_ARM-INTONLY 0 950000 142500 90 702 39.71 1YR FALSE 2503170553 SISA PA0605EI_ARM-INTONLY 0 0 0 43.27 799 33.45 3YR FALSE 2503170556 REDUCED PA1605EI_ARM-INTONLY 0 252900 50550 99.99 667 38.47 3YR TRUE 2503170563 REDUCED PA0605EI_ARM-INTONLY 0 455000 113750 100 704 46.22 1YR FALSE 2503170565 REDUCED PA1605EI_ARM-INTONLY 0 720800 180000 100 653 42.37 1YR TRUE 2503170566 REDUCED TB1630_BALLOON 0 720800 0 100 653 42.37 NO-PREPAY MI 2503170580 SISA PA1405E_ARM 25 146000 0 90 671 47.02 1YR FALSE 2503170594 REDUCED PA2605EI_ARM-INTONLY 0 599000 149750 100 622 50 1YR FALSE 2503170596 REDUCED PA0605EI_ARM-INTONLY 0 410000 82000 100 684 39.01 2YR FALSE 2503170598 REDUCED PA0605EI_ARM-INTONLY 0 488000 97600 100 690 42.29 NO-PREPAY MI 2503170599 REDUCED TB0630_BALLOON 0 488000 0 100 690 42.29 NO-PREPAY MI 2503170614 REDUCED PA1605EI_ARM-INTONLY 0 207000 41400 100 649 45.9 NO-PREPAY MI 2503170616 REDUCED PA0605E_ARM 0 0 0 80 686 32.08 NO-PREPAY MI 2503170626 REDUCED PA1605EI_ARM-INTONLY 0 470000 117500 100 671 39.48 2YR FALSE 2503170630 REDUCED TB0630_BALLOON 0 121400 0 94.98 700 24.27 NO-PREPAY MI 2503170636 REDUCED PA1605EI_ARM-INTONLY 0 445000 89000 100 675 41.9 3YR FALSE 2503170637 REDUCED TB1630_BALLOON 0 445000 0 100 675 41.9 3YR FALSE 2503170659 REDUCED PA1605EI_ARM-INTONLY 0 690216 138044 100 662 43.73 NO-PREPAY MI 2503170660 REDUCED TB1630_BALLOON 0 690216 0 100 662 44 NO-PREPAY MI 2503170662 REDUCED PA0607EI_ARM-INTONLY 0 725000 145000 90 719 24.44 NO-PREPAY MI 2503170671 REDUCED TF0630_FIXEDRATE 0 725000 0 90 719 24.44 NO-PREPAY MI 2503170701 REDUCED PA0605EI_ARM-INTONLY 0 482000 96400 100 683 44.83 3YR FALSE 2503170702 REDUCED PA1605E_ARM 0 0 0 80 644 42.33 2YR FALSE 2503170707 NINA SA0605EI_ARM-INTONLY 0 0 0 68.09 755 0 3YR FALSE 2503170718 REDUCED PA1605EI_ARM-INTONLY 0 315000 63000 100 653 43.98 1YR FALSE 2503170755 REDUCED PF1630_FIXEDRATE 0 0 0 79.06 672 42.6 NO-PREPAY MI 2503170761 REDUCED PA0605EI_ARM-INTONLY 0 280000 42000 95 696 41.37 3YR FALSE 2503170779 REDUCED PA0605EI_ARM-INTONLY 0 260000 52000 90 698 32.16 1YR FALSE 2503170780 REDUCED TB0630_BALLOON 0 260000 0 90 698 32.16 NO-PREPAY MI 2503170786 REDUCED PF1630_FIXEDRATE 0 0 0 36.16 657 37.16 NO-PREPAY MI 2503170788 REDUCED PA0605EI_ARM-INTONLY 0 440000 110000 100 682 32.87 1YR FALSE 2503170789 REDUCED PA0605EI_ARM-INTONLY 0 0 74000 95 714 27.67 NO-PREPAY MI 2503170803 REDUCED PA0605E_ARM 0 135000 27000 95 782 35.96 3YR TRUE 2503170823 NO RATIO SA0605EI_ARM-INTONLY 0 352500 75000 100 704 44.4 5YR TRUE 2503170855 REDUCED PF0630I_FIX-INTONLY 0 0 40000 100 761 37.56 3YR FALSE 2503170858 REDUCED PA1605EI_ARM-INTONLY 0 0 0 54.88 654 27.59 5YR TRUE 2503170866 REDUCED PA1605EI_ARM-INTONLY 0 0 0 32.99 677 48.67 2YR FALSE 2503170871 REDUCED PA2605EI_ARM-INTONLY 0 0 0 70 624 37.06 1YR FALSE 2503170872 REDUCED PA0605EI_ARM-INTONLY 0 171990 42997.5 95 719 33.17 3YR FALSE 2503170879 REDUCED PA0605EI_ARM-INTONLY 0 679438 101900 95 684 43.21 NO-PREPAY MI 2503170883 REDUCED PA0405E_ARM 30 0 0 95 727 39.59 3YR FALSE 2503170885 REDUCED PF0630I_FIX-INTONLY 0 0 53000 100 690 36.69 1YR FALSE 2503170902 REDUCED PL1605E_ARM-BALLOON 0 330000 66000 100 663 48.19 2YR FALSE 2503170911 REDUCED PF2615_FIXEDRATE 0 0 48000 95 639 47.79 NO-PREPAY MI 2503170912 REDUCED TB2630_BALLOON 0 0 0 95 639 47.79 NO-PREPAY MI 2503170923 REDUCED PA0605EI_ARM-INTONLY 0 130000 32500 95 731 48.1 3YR TRUE 2503170924 REDUCED TB0630_BALLOON 0 130000 0 95 731 48.1 NO-PREPAY MI 2503170926 REDUCED PA1605EI_ARM-INTONLY 0 0 88750 95 657 47.89 3YR FALSE 2503170960 REDUCED PA2605EI_ARM-INTONLY 0 475000 118750 100 628 42.53 1YR FALSE 2503170968 REDUCED PA0605EI_ARM-INTONLY 0 415000 62250 95 693 44.46 3YR TRUE 2503170989 REDUCED PA2602EI_ARM-INTONLY 0 0 42200 100 631 45.31 2YR FALSE 2503170994 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 660 49.49 1YR FALSE 2503171024 REDUCED PA0605EI_ARM-INTONLY 0 0 73750 100 723 36.32 3YR FALSE 2503171028 REDUCED PA0605EI_ARM-INTONLY 0 510010 102000 90 683 38.71 3YR TRUE 2503171052 REDUCED PA0605EI_ARM-INTONLY 0 269900 53980 95 717 35.66 2YR FALSE 2503171053 REDUCED TB0630_BALLOON 0 269900 0 95 717 35.66 1YR FALSE 2503171056 REDUCED PA0605EI_ARM-INTONLY 0 615000 153750 100 703 41.56 NO-PREPAY MI 2503171063 REDUCED PA2605E_ARM 0 181500 36300 100 634 38.83 3YR TRUE 2503171071 REDUCED PA2605EI_ARM-INTONLY 0 300000 60000 100 628 47.45 3YR FALSE 2503171105 REDUCED PA0605EI_ARM-INTONLY 0 350000 70000 100 748 32.03 NO-PREPAY MI 2503171108 REDUCED PA1605EI_ARM-INTONLY 0 0 66600 95 651 43.56 NO-PREPAY MI 2503171109 REDUCED TB1630_BALLOON 0 0 0 95 651 43.56 NO-PREPAY MI 2503171114 REDUCED PA0605EI_ARM-INTONLY 0 0 82500 95 713 19.6 5YR TRUE 2503171136 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 33.96 757 31.06 NO-PREPAY MI 2503171137 REDUCED PA2605EI_ARM-INTONLY 0 239900 47980 100 633 38.21 2YR FALSE 2503171138 REDUCED TB2630_BALLOON 0 239900 0 100 633 38.21 2YR FALSE 2503171207 REDUCED PA0605EI_ARM-INTONLY 0 205900 51450 99.98 693 43.44 1YR FALSE 2503171209 REDUCED TB0630_BALLOON 0 205900 0 99.98 693 43.44 1YR FALSE 2503171223 REDUCED PA0605EI_ARM-INTONLY 0 615000 123000 100 699 41.21 NO-PREPAY MI 2503171228 REDUCED PA0605EI_ARM-INTONLY 0 630000 126000 100 704 49.77 3YR FALSE 2503171241 REDUCED PA1605EI_ARM-INTONLY 0 231500 46300 90 648 27.59 3YR TRUE 2503171243 REDUCED PA1605EI_ARM-INTONLY 0 284751 56950 100 641 45.18 3YR FALSE 2503171247 REDUCED TB1630_BALLOON 0 284751 0 100 641 45.18 3YR FALSE 2503171253 REDUCED PA2605EI_ARM-INTONLY 0 218500 43700 100 625 28.13 1YR FALSE 2503171279 REDUCED PA0602EI_ARM-INTONLY 0 259000 51800 100 745 38.14 2YR FALSE 2503171309 REDUCED PA2605EI_ARM-INTONLY 0 604950 60450 90 630 43.98 3YR FALSE 2503171317 REDUCED PA1605EI_ARM-INTONLY 0 0 57000 100 663 47.86 2YR FALSE 2503171334 REDUCED PA1605E_ARM 0 290000 58000 95 670 42.18 2YR FALSE 2503171335 REDUCED TB1630_BALLOON 0 290000 0 95 670 42.18 1YR FALSE 2503171363 REDUCED PA0605EI_ARM-INTONLY 0 0 0 62.64 766 51.42 3YR TRUE 2503171364 REDUCED PA3605E_ARM 0 0 0 56.04 608 36.83 3YR FALSE 2503171368 REDUCED PF0630_FIXEDRATE 0 845000 0 60 734 30.98 2YR FALSE 2503171373 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 74.2 660 0 3YR FALSE 2503171377 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 668 48.62 1YR FALSE 2503171384 REDUCED PA0605EI_ARM-INTONLY 0 129900 25900 94.92 722 45.05 3YR TRUE 2503171387 REDUCED TB0630_BALLOON 0 129900 0 94.92 722 45.05 NO-PREPAY MI 2503171391 REDUCED PA1605EI_ARM-INTONLY 0 153000 38250 95 663 44.28 NO-PREPAY MI 2503171422 REDUCED PA0605EI_ARM-INTONLY 0 360000 72000 95 768 49.54 2YR FALSE 2503171430 REDUCED PA1605EI_ARM-INTONLY 0 515000 103000 100 644 49.96 1YR FALSE 2503171438 REDUCED PA1605E_ARM 0 0 45000 95 679 41.75 NO-PREPAY MI 2503171440 REDUCED PA0605EI_ARM-INTONLY 0 0 27200 90 705 49.56 NO-PREPAY MI 2503171442 REDUCED PF0630_FIXEDRATE 0 145795 29150 99.97 690 49.34 3YR FALSE 2503171444 REDUCED PA0605EI_ARM-INTONLY 0 265900 66500 100 745 40.53 NO-PREPAY MI 2503171454 REDUCED PA0605EI_ARM-INTONLY 0 449000 89800 100 705 45.5 3YR FALSE 2503171466 REDUCED PA0605EI_ARM-INTONLY 0 172700 34540 100 680 33.59 3YR FALSE 2503171493 REDUCED TB1630_BALLOON 0 0 0 90 658 36.48 NO-PREPAY MI 2503171502 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 655 43.83 1YR FALSE 2503171525 REDUCED PA0605EI_ARM-INTONLY 0 0 0 68.97 751 44.88 NO-PREPAY MI 2503171526 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 65 664 40.44 2YR FALSE 2503171548 REDUCED PA0605EI_ARM-INTONLY 0 690000 103500 95 776 33.56 1YR FALSE 2503171551 REDUCED PA1605EI_ARM-INTONLY 0 500000 100000 100 669 44.93 1YR FALSE 2503171554 REDUCED PA0605EI_ARM-INTONLY 0 181600 27200 94.97 715 39.21 2YR TRUE 2503171555 REDUCED TB0630_BALLOON 0 181600 0 94.97 715 39.21 NO-PREPAY MI 2503171563 REDUCED PA0605EI_ARM-INTONLY 0 480000 118750 98.96 697 49.96 3YR FALSE 2503171568 SISA PA2605EI_ARM-INTONLY 0 0 0 70 633 44.79 1YR FALSE 2503171572 FULL/ALT PA1605EI_ARM-INTONLY 0 105000 21000 95 674 39.39 1YR FALSE 2503171578 FULL/ALT PF0630_FIXEDRATE 0 0 0 26 729 54.21 5YR TRUE 2503171610 REDUCED PA1605EI_ARM-INTONLY 0 0 0 78 664 43.84 NO-PREPAY MI 2503171616 REDUCED PA1605EI_ARM-INTONLY 0 255000 25500 90 660 48.68 1YR FALSE 2503171646 REDUCED PA0605EI_ARM-INTONLY 0 660000 132000 100 744 31.06 3YR TRUE 2503171649 NO RATIO SA0607EI_ARM-INTONLY 0 410000 0 26.83 686 0 3YR FALSE 2503171656 REDUCED PA0605EI_ARM-INTONLY 0 1010000 159000 90 770 45.82 1YR FALSE 2503171660 REDUCED PA0605EI_ARM-INTONLY 0 200000 40000 95 702 20.4 3YR TRUE 2503171663 REDUCED TB0630_BALLOON 0 200000 0 95 702 20.4 NO-PREPAY MI 2503171664 REDUCED PA3605E_ARM 0 0 0 75 613 40.74 1YR FALSE 2503171689 REDUCED PA1605EI_ARM-INTONLY 0 0 0 67.03 674 29.78 3YR FALSE 2503171695 REDUCED PA0605EI_ARM-INTONLY 0 189000 37800 95 735 31.27 NO-PREPAY MI 2503171698 REDUCED TB0630_BALLOON 0 485000 0 100 700 36.31 3YR FALSE 2503171699 REDUCED PA2605EI_ARM-INTONLY 0 309000 61800 100 624 43.81 3YR FALSE 2503171701 REDUCED PA0605E_ARM 0 220000 55000 95 731 49.99 NO-PREPAY MI 2503171702 REDUCED TB0630_BALLOON 0 220000 0 95 731 50 NO-PREPAY MI 2503171712 REDUCED PA1605EI_ARM-INTONLY 0 289900 57950 99.99 643 36.3 3YR TRUE 2503171713 REDUCED TB1630_BALLOON 0 289900 0 99.99 643 36.3 NO-PREPAY MI 2503171733 REDUCED PA0605EI_ARM-INTONLY 0 0 66000 100 681 47.43 2YR FALSE 2503171738 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 80 628 0 2YR FALSE 2503171741 REDUCED PA2605EI_ARM-INTONLY 0 0 56000 94.29 630 49.6 2YR FALSE 2503171742 REDUCED TB2630_BALLOON 0 0 0 94.29 630 49.6 2YR FALSE 2503171753 SISA PA0605EI_ARM-INTONLY 0 400000 100000 95 762 25.83 1YR FALSE 2503171767 REDUCED TB0630_BALLOON 0 1010000 0 90 770 45.82 1YR FALSE 2503171788 FULL/ALT PA1607E_ARM 0 0 0 53.19 651 41.42 3YR FALSE 2503171808 REDUCED PA2605E_ARM 0 632200 126400 100 623 39.93 3YR FALSE 2503171865 REDUCED PA0605E_ARM 0 119600 23900 94.99 708 35.16 NO-PREPAY MI 2503171867 REDUCED PA2605EI_ARM-INTONLY 0 680000 136000 100 620 41.68 1YR FALSE 2503171870 REDUCED PA0605EI_ARM-INTONLY 0 279990 55950 94.97 746 31.72 3YR TRUE 2503171873 REDUCED PA0605EI_ARM-INTONLY 0 165900 33150 94.97 745 48.25 NO-PREPAY MI 2503171895 REDUCED TB0630_BALLOON 0 165900 0 94.97 745 48.25 NO-PREPAY MI 2503171899 REDUCED PA0605EI_ARM-INTONLY 0 245000 49000 100 703 44.41 3YR TRUE 2503171914 REDUCED PA1605EI_ARM-INTONLY 0 365000 91250 100 640 41 1YR FALSE 2503171917 REDUCED TB1630_BALLOON 0 365000 0 100 640 41 1YR FALSE 2503171920 REDUCED PA0605EI_ARM-INTONLY 0 219300 54800 94.99 703 31.41 1YR FALSE 2503171921 REDUCED TF0630_FIXEDRATE 0 219300 0 94.99 703 31.41 1YR FALSE 2503171927 REDUCED PF0630I_FIX-INTONLY 0 155000 23250 90 795 44.31 2YR FALSE 2503171929 REDUCED PA0605E_ARM 0 290900 58150 94.99 744 39.33 3YR TRUE 2503171965 REDUCED PA1605EI_ARM-INTONLY 0 600000 120000 100 680 31.9 1YR FALSE 2503171966 REDUCED TB1630_BALLOON 0 600000 0 100 680 31.9 NO-PREPAY MI 2503171967 REDUCED PA0607EI_ARM-INTONLY 0 275000 55000 95 726 41.5 3YR FALSE 2503171968 REDUCED TB0630_BALLOON 0 275000 0 95 726 41.5 NO-PREPAY MI 2503171978 REDUCED PA0605EI_ARM-INTONLY 0 480000 96000 100 694 47.82 NO-PREPAY MI 2503171982 REDUCED PA0605EI_ARM-INTONLY 0 255000 51000 100 783 41.97 3YR FALSE 2503171985 REDUCED PF1630_FIXEDRATE 0 0 45000 100 644 36.38 2YR FALSE 2503172006 REDUCED PA2605EI_ARM-INTONLY 0 211250 42250 100 639 44.81 2YR FALSE 2503172045 REDUCED PA0605EI_ARM-INTONLY 0 425000 127500 100 689 33.44 NO-PREPAY MI 2503172046 REDUCED TB0630I_BALLOON-INTONLY 0 425000 0 100 689 33.44 NO-PREPAY MI 2503172049 REDUCED PF1630_FIXEDRATE 0 0 0 56 658 25.88 NO-PREPAY MI 2503172071 REDUCED PA0605EI_ARM-INTONLY 0 1099000 349000 100 689 42.83 NO-PREPAY MI 2503172106 REDUCED PA0605EI_ARM-INTONLY 0 275000 55000 100 732 41.57 3YR FALSE 2503172107 REDUCED PA0605E_ARM 0 0 0 80 716 37.43 3YR FALSE 2503172109 REDUCED PA1605EI_ARM-INTONLY 0 800000 200000 95 669 33.29 NO-PREPAY MI 2503172123 REDUCED PA1605EI_ARM-INTONLY 0 520000 104000 100 672 31.3 2YR FALSE 2503172125 REDUCED PA1605EI_ARM-INTONLY 0 229900 45950 99.98 670 48.77 3YR TRUE 2503172140 REDUCED PA2605EI_ARM-INTONLY 0 0 69500 90 625 43.14 5YR FALSE 2503172143 REDUCED TB2630_BALLOON 0 0 0 90 625 43.14 NO-PREPAY MI 2503172144 REDUCED PA1605EI_ARM-INTONLY 0 236500 59100 94.99 649 48.41 3YR TRUE 2503172151 REDUCED PF0630I_FIX-INTONLY 0 178900 35800 95 765 27.1 2YR FALSE 2503172170 REDUCED PA1605EI_ARM-INTONLY 0 289900 57950 99.99 660 44.99 3YR TRUE 2503172171 REDUCED TB1630_BALLOON 0 289900 0 99.99 660 44.97 NO-PREPAY MI 2503172190 REDUCED PA0605EI_ARM-INTONLY 0 249990 62497 95 727 37.8 3YR TRUE 2503172191 REDUCED PA1605EI_ARM-INTONLY 0 468000 117000 100 668 42.12 1YR FALSE 2503172195 REDUCED PA1605EI_ARM-INTONLY 0 138500 20750 89.97 655 44.27 NO-PREPAY MI 2503172197 FULL/ALT PL1605E_ARM-BALLOON 0 0 70180 97 642 49.99 NO-PREPAY MI 2503172208 REDUCED PA2605E_ARM 0 0 0 80 630 32.1 NO-PREPAY MI 2503172272 REDUCED PF0630I_FIX-INTONLY 0 0 27750 95 682 48.99 NO-PREPAY MI 2503172274 REDUCED TB0630_BALLOON 0 178900 0 95 765 27.1 NO-PREPAY MI 2503172278 REDUCED PA0605EI_ARM-INTONLY 0 0 134250 89.09 788 28.69 1YR FALSE 2503172281 REDUCED PA0605EI_ARM-INTONLY 0 279000 83700 100 730 36.79 1YR FALSE 2503172287 REDUCED PA1605EI_ARM-INTONLY 0 550000 110000 100 666 44.05 2YR FALSE 2503172288 REDUCED PA0605E_ARM 0 266000 66500 95 809 39.47 NO-PREPAY MI 2503172291 REDUCED PF1630I_FIX-INTONLY 0 237150 47430 100 664 0 NO-PREPAY MI 2503172292 REDUCED TB1630_BALLOON 0 237150 0 100 664 42.42 NO-PREPAY MI 2503172295 REDUCED PF1630_FIXEDRATE 0 0 38500 90 652 44.8 NO-PREPAY MI 2503172314 REDUCED PA0605EI_ARM-INTONLY 0 460000 92000 100 768 47.92 NO-PREPAY MI 2503172324 REDUCED PA1605E_ARM 0 900000 135000 95 661 24.93 3YR FALSE 2503172367 REDUCED PA0605EI_ARM-INTONLY 0 522500 130625 100 706 37.79 NO-PREPAY MI 2503172371 REDUCED PA0605EI_ARM-INTONLY 0 273000 68250 100 744 36.13 2YR FALSE 2503172375 REDUCED PA1605EI_ARM-INTONLY 0 110000 22000 95 669 21.74 NO-PREPAY MI 2503172376 REDUCED PA0605E_ARM 0 235000 58750 100 692 39.8 3YR FALSE 2503172397 SISA PF0630I_FIX-INTONLY 22 0 0 85 760 41.31 2YR FALSE 2503172398 REDUCED PA0605EI_ARM-INTONLY 0 186000 37200 100 698 38.82 2YR FALSE 2503172430 REDUCED PA0605EI_ARM-INTONLY 0 420000 105000 95 737 36.6 3YR TRUE 2503172475 REDUCED PA0605EI_ARM-INTONLY 0 187900 46950 99.98 735 42.28 3YR FALSE 2503172480 FULL/ALT PA1605EI_ARM-INTONLY 0 328000 65600 100 664 41.61 NO-PREPAY MI 2503172484 REDUCED PA0605EI_ARM-INTONLY 0 156000 31200 95 694 27.91 3YR TRUE 2503172486 REDUCED TB0630_BALLOON 0 156000 0 95 694 27.91 NO-PREPAY MI 2503172487 REDUCED PA1605EI_ARM-INTONLY 0 220000 44000 100 664 43.31 1YR FALSE 2503172489 REDUCED PA0605EI_ARM-INTONLY 0 0 51000 95 755 39.75 3YR FALSE 2503172498 REDUCED PL0605E_ARM-BALLOON 0 0 41950 94.98 702 45.48 2YR FALSE 2503172518 REDUCED PA0605EI_ARM-INTONLY 0 0 50000 59.83 770 25.78 3YR FALSE 2503172523 REDUCED PA0605EI_ARM-INTONLY 0 350000 70000 100 702 38.16 3YR TRUE 2503172543 REDUCED PA0605EI_ARM-INTONLY 0 0 114200 95 691 36.23 3YR FALSE 2503172546 REDUCED TB0630_BALLOON 0 249990 0 95 727 37.8 3YR FALSE 2503172547 REDUCED PA1605EI_ARM-INTONLY 0 0 147500 95 656 41.17 NO-PREPAY MI 2503172552 REDUCED PA1605EI_ARM-INTONLY 0 0 40000 100 670 41.4 NO-PREPAY MI 2503172555 REDUCED PA1605EI_ARM-INTONLY 0 410000 41000 90 654 32.15 1YR FALSE 2503172586 REDUCED PA1605EI_ARM-INTONLY 0 0 60000 100 664 41.08 3YR FALSE 2503172599 REDUCED PA0605EI_ARM-INTONLY 0 1000000 250000 100 791 47.49 NO-PREPAY MI 2503172602 REDUCED PA1605EI_ARM-INTONLY 30 0 0 94.89 662 43.52 NO-PREPAY MI 2503172628 REDUCED PA2605EI_ARM-INTONLY 0 635000 127000 100 620 49.69 3YR FALSE 2503172630 REDUCED PA0605EI_ARM-INTONLY 0 241741.28 48300 94.98 787 41.38 NO-PREPAY MI 2503172635 REDUCED PA1605EI_ARM-INTONLY 0 0 57000 95 663 39.28 1YR FALSE 2503172639 REDUCED PA0605EI_ARM-INTONLY 0 350000 87500 100 697 35.97 3YR TRUE 2503172644 REDUCED PF0630_FIXEDRATE 0 275000 55000 100 698 32.68 NO-PREPAY MI 2503172645 REDUCED TB0630_BALLOON 0 275000 0 100 698 32.68 NO-PREPAY MI 2503172648 REDUCED PA1605EI_ARM-INTONLY 0 218900 43780 100 660 41.98 2YR FALSE 2503172667 REDUCED PA1605EI_ARM-INTONLY 0 0 21800 90 649 47.95 5YR TRUE 2503172675 REDUCED PA0605EI_ARM-INTONLY 0 164900 32950 94.97 700 50.83 NO-PREPAY MI 2503172678 REDUCED TB0630_BALLOON 0 164900 0 94.97 700 50.83 NO-PREPAY MI 2503172685 REDUCED TB0630_BALLOON 0 409000 0 90 751 39 3YR FALSE 2503172686 REDUCED PA0605EI_ARM-INTONLY 0 474000 118500 100 719 45 3YR FALSE 2503172690 REDUCED PA2605EI_ARM-INTONLY 0 270000 67500 100 628 46.9 2YR FALSE 2503172693 REDUCED TB0630_BALLOON 0 0 0 90 739 20.33 2YR FALSE 2503172695 REDUCED PA0605EI_ARM-INTONLY 0 250000 37500 95 783 33.14 NO-PREPAY MI 2503172723 REDUCED PF2630I_FIX-INTONLY 0 0 0 74.36 620 35.79 5YR FALSE 2503172737 REDUCED PA0605EI_ARM-INTONLY 0 198990 39700 94.93 735 25.58 3YR FALSE 2503172738 REDUCED TB0630_BALLOON 0 198990 0 94.93 735 25.72 1YR FALSE 2503172750 REDUCED PA0605EI_ARM-INTONLY 0 635000 158750 100 722 42.9 1YR FALSE 2503172751 REDUCED TB0630_BALLOON 0 635000 0 100 722 42.9 NO-PREPAY MI 2503172762 REDUCED PA0605EI_ARM-INTONLY 0 595000 89250 95 742 48.54 3YR FALSE 2503172766 REDUCED PA1605EI_ARM-INTONLY 0 219990 54950 99.96 665 40.72 3YR FALSE 2503172793 SISA PL0605E_ARM-BALLOON 30 0 0 95 703 44.22 1YR FALSE 2503172831 REDUCED PA0605EI_ARM-INTONLY 0 675000 168750 100 686 40.72 1YR FALSE 2503172857 REDUCED PA0605EI_ARM-INTONLY 0 190000 47500 100 689 37.99 2YR FALSE 2503172858 REDUCED PA0605EI_ARM-INTONLY 0 134090 26800 94.98 707 43.59 NO-PREPAY MI 2503172870 REDUCED PA0605EI_ARM-INTONLY 0 0 53750 100 707 37.72 2YR FALSE 2503172876 REDUCED PF0630I_FIX-INTONLY 0 164395 32850 94.96 745 40.72 NO-PREPAY MI 2503172880 REDUCED PA0605EI_ARM-INTONLY 0 353000 88250 100 694 42.17 2YR FALSE 2503172897 REDUCED PA0605EI_ARM-INTONLY 0 455000 113750 100 689 43.43 NO-PREPAY MI 2503172898 REDUCED TB0630_BALLOON 0 455000 0 100 689 43.43 NO-PREPAY MI 2503172899 REDUCED PA0605E_ARM 0 339000 84750 100 730 49.54 NO-PREPAY MI 2503172912 REDUCED PA0605EI_ARM-INTONLY 0 0 53000 95 757 32.44 1YR FALSE 2503172920 REDUCED PA0605EI_ARM-INTONLY 0 685000 171250 100 706 48.23 1YR FALSE 2503172947 REDUCED TB1630_BALLOON 0 0 0 90 660 36.18 3YR FALSE 2503172960 REDUCED TB0630_BALLOON 0 0 0 95 757 32.44 2YR FALSE 2503172972 REDUCED PF0630_FIXEDRATE 0 0 0 60.6 734 43.03 2YR FALSE 2503173026 REDUCED PF1630I_FIX-INTONLY 0 0 0 62.4 650 41.25 2YR FALSE 2503173057 REDUCED TB0630_BALLOON 0 0 0 90 691 29.96 3YR FALSE 2503173065 REDUCED PA0607EI_ARM-INTONLY 0 0 0 73.92 708 44.75 NO-PREPAY MI 2503173071 FULL/ALT PA0603EI_ARM-INTONLY 0 0 156800 87.06 723 0 NO-PREPAY MI 2503173073 REDUCED PA1605EI_ARM-INTONLY 0 102000 25500 95 670 21.32 3YR TRUE 2503173074 REDUCED TB1630_BALLOON 0 102000 0 95 670 21.32 NO-PREPAY MI 2503173086 REDUCED PF1630I_FIX-INTONLY 0 500000 100000 95 669 42.31 5YR TRUE 2503173087 REDUCED TB1630_BALLOON 0 500000 0 95 669 42.31 NO-PREPAY MI 2503173103 REDUCED PF1630_FIXEDRATE 0 0 20000 90 672 36.08 1YR FALSE 2503173112 REDUCED PA1605EI_ARM-INTONLY 0 600000 150000 100 645 34.75 1YR FALSE 2503173113 REDUCED TB1630_BALLOON 0 600000 0 100 645 34.75 NO-PREPAY MI 2503173114 REDUCED PA0605EI_ARM-INTONLY 0 360000 72000 95 681 33.34 1YR FALSE 2503173160 REDUCED PA1603EI_ARM-INTONLY 0 520000 130000 100 655 41.83 NO-PREPAY MI 2503173166 REDUCED PL0605E_ARM-BALLOON 0 458000 137400 100 708 48.74 3YR FALSE 2503173176 REDUCED PF0630_FIXEDRATE 0 0 0 80 712 22.49 NO-PREPAY MI 2503173180 REDUCED PA2602EI_ARM-INTONLY 0 380225 76000 99.99 626 48.6 2YR FALSE 2503173207 REDUCED PA0605EI_ARM-INTONLY 0 0 43500 95 721 38.23 3YR TRUE 2503173208 REDUCED TB0630_BALLOON 0 0 0 95 721 38.23 1YR FALSE 2503173227 REDUCED PL3605E_ARM-BALLOON 0 310000 0 80 616 39.78 3YR FALSE 2503173230 REDUCED PF3630_FIXEDRATE 0 0 0 77.87 607 39.43 2YR FALSE 2503173287 REDUCED PA0605EI_ARM-INTONLY 0 179900 45000 100 686 41.1 5YR TRUE 2503173288 REDUCED TB0630_BALLOON 0 179900 0 100 686 42.9 NO-PREPAY MI 2503173326 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 722 41.51 NO-PREPAY MI 2503173351 REDUCED PA1605EI_ARM-INTONLY 0 1435000 291500 90 642 28.13 3YR TRUE 2503173352 REDUCED TB1630_BALLOON 0 1435000 0 90 642 28.13 NO-PREPAY MI 2503173358 REDUCED PA2605EI_ARM-INTONLY 0 445000 133500 100 626 44.3 3YR FALSE 2503173362 REDUCED PA0605EI_ARM-INTONLY 0 485900 97180 100 772 40.28 2YR FALSE 2503173365 FULL/ALT PA2605EI_ARM-INTONLY 0 165000 33000 100 621 45.75 3YR TRUE 2503173393 REDUCED PA0605EI_ARM-INTONLY 0 129000 25800 95 736 44.7 3YR FALSE 2503173394 REDUCED TB0630_BALLOON 0 129000 0 95 736 44.7 3YR FALSE 2503173436 REDUCED PA0605EI_ARM-INTONLY 0 540000 135000 100 697 42.6 NO-PREPAY MI 2503173440 REDUCED PA0605EI_ARM-INTONLY 0 0 149500 98.92 718 49.61 1YR FALSE 2503173441 REDUCED TB0630_BALLOON 0 0 0 98.92 718 49.62 NO-PREPAY MI 2503173462 REDUCED PA1605EI_ARM-INTONLY 0 710000 177500 100 653 39.7 NO-PREPAY MI 2503173467 NO RATIO SF0630_FIXEDRATE 25 162900 0 90 778 0 1YR FALSE 2503173474 FULL/ALT PA0605EI_ARM-INTONLY 0 222000 60000 100 770 40.86 1YR FALSE 2503173484 REDUCED PA0605E_ARM 0 265000 39750 95 689 47.09 NO-PREPAY MI 2503173488 REDUCED TB0630_BALLOON 0 265000 0 95 689 44.86 NO-PREPAY MI 2503173490 REDUCED PA2605EI_ARM-INTONLY 0 639900 127980 100 623 49.44 3YR FALSE 2503173491 REDUCED TB2630_BALLOON 0 639900 0 100 623 49.44 3YR FALSE 2503173503 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 650 39.03 1YR FALSE 2503173510 NO RATIO SF0630I_FIX-INTONLY 0 0 0 62.84 753 0 2YR FALSE 2503173513 REDUCED PA0605EI_ARM-INTONLY 0 635000 95250 95 695 39.91 NO-PREPAY MI 2503173521 REDUCED PA0605EI_ARM-INTONLY 0 195000 48750 100 694 36.04 2YR FALSE 2503173529 REDUCED PA0605EI_ARM-INTONLY 0 610000 183000 100 694 34.27 3YR FALSE 2503173535 REDUCED PA1605EI_ARM-INTONLY 0 103000 25750 95 662 24.57 1YR FALSE 2503173537 REDUCED TB1630_BALLOON 0 103000 0 95 662 24.57 NO-PREPAY MI 2503173592 REDUCED PB2640_BALLOON 0 0 124000 100 624 33.72 5YR FALSE 2503173593 REDUCED TB2630_BALLOON 0 0 0 100 624 33.72 5YR FALSE 2503173607 REDUCED TB1630_BALLOON 0 0 0 90 651 39.96 2YR FALSE 2503173629 REDUCED PA0605EI_ARM-INTONLY 0 0 62000 95 724 30.11 2YR TRUE 2503173630 REDUCED TB0630_BALLOON 0 0 0 95 724 30.11 NO-PREPAY MI 2503173643 REDUCED PA2605EI_ARM-INTONLY 0 1122650 316500 95 635 38.99 3YR TRUE 2503173644 REDUCED TB2630_BALLOON 0 1122650 0 95 635 38.99 NO-PREPAY MI 2503173645 REDUCED PA0605EI_ARM-INTONLY 0 400000 100000 100 690 43.79 3YR FALSE 2503173670 REDUCED TB1630_BALLOON 0 0 0 89.95 657 40 3YR FALSE 2503173700 FULL/ALT PA1605EI_ARM-INTONLY 0 305000 61000 100 645 48.05 3YR FALSE 2503173701 FULL/ALT TB1630_BALLOON 0 305000 0 100 645 47.74 3YR FALSE 2503173724 REDUCED PF0630I_FIX-INTONLY 0 0 86000 95 769 44.81 3YR FALSE 2503173725 REDUCED TB0630_BALLOON 0 0 0 95 769 44.81 NO-PREPAY MI 2503173773 REDUCED PL2605E_ARM-BALLOON 0 562000 140500 100 638 44.1 1YR FALSE 2503173774 REDUCED TB2630_BALLOON 0 562000 0 100 638 44.1 NO-PREPAY MI 2503173777 REDUCED PA1605EI_ARM-INTONLY 0 496000 99200 100 671 41.18 3YR FALSE 2503173778 REDUCED TB1630_BALLOON 0 496000 0 100 671 44.33 3YR FALSE 2503173807 REDUCED PA1605EI_ARM-INTONLY 0 566000 113200 100 643 43.83 1YR FALSE 2503173813 REDUCED TB1630_BALLOON 0 0 0 86.02 643 39.71 3YR FALSE 2503173820 REDUCED PF1630I_FIX-INTONLY 0 0 0 64.07 651 44.09 3YR FALSE 2503173821 REDUCED PA0605EI_ARM-INTONLY 0 675000 168750 100 692 47.8 1YR FALSE 2503173837 REDUCED PA0605EI_ARM-INTONLY 0 239000 47800 100 762 49.29 3YR FALSE 2503173846 REDUCED PA0605E_ARM 0 480000 120000 100 685 47.57 NO-PREPAY MI 2503173851 REDUCED PA0605E_ARM 0 186000 27900 95 796 42.87 2YR TRUE 2503173855 REDUCED PA0605E_ARM 0 186000 27900 95 686 43.77 3YR TRUE 2503173856 REDUCED TB0630_BALLOON 0 186000 0 95 686 43.77 NO-PREPAY MI 2503173863 REDUCED PA0605EI_ARM-INTONLY 0 169990 33980 89.96 777 23.36 NO-PREPAY MI 2503173880 REDUCED PA1605EI_ARM-INTONLY 0 153000 30600 100 653 47.61 3YR FALSE 2503173889 REDUCED PA1605EI_ARM-INTONLY 0 270000 54000 95 649 36.83 3YR FALSE 2503173890 REDUCED TB1630_BALLOON 0 270000 0 95 649 36.83 3YR FALSE 2503173895 REDUCED PA0605E_ARM 0 129900 25980 94.99 732 30.78 3YR TRUE 2503173909 REDUCED PA0605E_ARM 0 0 35000 99.72 708 48.02 3YR FALSE 2503173910 REDUCED TB0630_BALLOON 0 0 0 99.72 766 48.03 NO-PREPAY MI 2503173911 REDUCED PA1605EI_ARM-INTONLY 0 402000 100500 100 679 48.99 3YR FALSE 2503173912 REDUCED TB1630I_BALLOON-INTONLY 0 402000 0 100 679 48.98 3YR FALSE 2503173916 REDUCED PA0605EI_ARM-INTONLY 0 900000 180000 90 738 43.49 NO-PREPAY MI 2503173917 REDUCED TB0630_BALLOON 0 900000 0 90 738 43.49 NO-PREPAY MI 2503173939 REDUCED TB0630_BALLOON 0 0 0 90 716 39.83 3YR FALSE 2503173940 REDUCED PL0605E_ARM-BALLOON 0 262000 65500 100 690 45.7 NO-PREPAY MI 2503173974 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 80 697 32.5 3YR TRUE 2503173984 REDUCED PA0605EI_ARM-INTONLY 0 320595 64100 89.99 697 46.78 NO-PREPAY MI 2503173985 REDUCED TB0630_BALLOON 0 320595 0 89.99 697 46.78 NO-PREPAY MI 2503174003 REDUCED PA0605EI_ARM-INTONLY 0 345000 69000 100 759 30.54 3YR TRUE 2503174016 REDUCED PA2605EI_ARM-INTONLY 0 641895 160450 100 636 40.7 1YR FALSE 2503174017 REDUCED TF2630_FIXEDRATE 0 641895 0 100 636 40.7 NO-PREPAY MI 2503174028 REDUCED PA1605EI_ARM-INTONLY 0 0 66000 95 646 45.4 3YR FALSE 2503174029 REDUCED TB1630_BALLOON 0 0 0 95 646 42.54 5YR FALSE 2503174039 REDUCED PA0605EI_ARM-INTONLY 0 176990 35400 94.9 748 33.45 3YR TRUE 2503174044 REDUCED PA1605EI_ARM-INTONLY 0 259000 51800 100 654 40.76 3YR FALSE 2503174051 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 724 34.07 3YR FALSE 2503174055 REDUCED PA1605EI_ARM-INTONLY 0 0 53000 92.05 670 45.87 2YR FALSE 2503174056 REDUCED TB1630_BALLOON 0 0 0 93 670 45.87 NO-PREPAY MI 2503174066 REDUCED PA0605E_ARM 0 0 0 49.59 756 25.72 3YR FALSE 2503174071 REDUCED PA0605EI_ARM-INTONLY 0 169900 33950 94.97 724 45.25 2YR FALSE 2503174072 REDUCED TB0630_BALLOON 0 169900 0 94.97 724 41.04 2YR FALSE 2503174073 REDUCED PA0605E_ARM 0 372300 93050 99.99 702 46.78 3YR FALSE 2503174074 REDUCED TB0630_BALLOON 0 372300 0 99.99 702 46.78 NO-PREPAY MI 2503174092 REDUCED TB0630_BALLOON 0 0 0 90 763 32.36 NO-PREPAY MI 2503174110 REDUCED PA0605EI_ARM-INTONLY 0 220000 44000 90 798 35.52 NO-PREPAY MI 2503174133 REDUCED TB1630_BALLOON 0 0 0 90 653 38.39 3YR FALSE 2503174134 REDUCED PA1605E_ARM 0 250000 37500 95 652 46.49 1YR TRUE 2503174135 REDUCED TB1630_BALLOON 0 250000 0 95 652 46.49 NO-PREPAY MI 2503174147 REDUCED TB0630_BALLOON 0 323090 0 90 753 24.72 NO-PREPAY MI 2503174148 FULL/ALT PL0605E_ARM-BALLOON 0 0 145000 100 695 38.89 5YR FALSE 2503174155 FULL/ALT PA1605EI_ARM-INTONLY 0 320000 0 75 0 20.46 3YR FALSE 2503174162 REDUCED PA1605EI_ARM-INTONLY 0 365000 91250 100 651 49.38 NO-PREPAY MI 2503174172 REDUCED PA1605EI_ARM-INTONLY 0 0 74900 89.25 659 48.37 3YR FALSE 2503174180 REDUCED PA1605EI_ARM-INTONLY 0 641308 128262 100 671 46.73 NO-PREPAY MI 2503174181 REDUCED TB1630_BALLOON 0 641308 0 100 671 46.73 NO-PREPAY MI 2503174186 REDUCED PA1605EI_ARM-INTONLY 0 0 0 63.64 640 44.61 NO-PREPAY MI 2503174198 REDUCED PA0605EI_ARM-INTONLY 0 776000 0 70 733 32.5 2YR FALSE 2503174199 FULL/ALT PA1605E_ARM 0 590000 0 80 640 35.66 3YR FALSE 2503174209 REDUCED PA0605EI_ARM-INTONLY 0 295000 59000 95 749 16.65 2YR FALSE 2503174210 REDUCED TB0630_BALLOON 0 295000 0 95 749 16.65 NO-PREPAY MI 2503174211 SISA PF0630_FIXEDRATE 0 0 0 48.33 739 51.27 3YR FALSE 2503174218 REDUCED PA1605EI_ARM-INTONLY 0 422612 84500 99.98 650 49.77 3YR FALSE 2503174232 REDUCED TB1630_BALLOON 0 422612 0 99.98 650 49.77 3YR FALSE 2503174247 REDUCED PA0605EI_ARM-INTONLY 0 720000 108000 90 735 42.55 3YR TRUE 2503174255 REDUCED PA2605EI_ARM-INTONLY 0 212000 42400 100 630 49.5 3YR FALSE 2503174261 REDUCED PA0605EI_ARM-INTONLY 0 0 52500 100 726 43.06 NO-PREPAY MI 2503174263 FULL/ALT TB0630_BALLOON 0 0 0 100 695 38.89 3YR FALSE 2503174264 REDUCED PA2605EI_ARM-INTONLY 0 0 0 79.04 637 37.27 3YR FALSE 2503174276 FULL/ALT PA0605E_ARM 0 270000 40500 95 768 39.64 5YR TRUE 2503174278 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 685 42.5 2YR FALSE 2503174279 FULL/ALT TB0630_BALLOON 0 270000 0 95 768 39.64 NO-PREPAY MI 2503174283 SISA PF1630_FIXEDRATE 0 0 0 58.26 678 24.52 1YR FALSE 2503174298 REDUCED PA0605EI_ARM-INTONLY 0 0 28000 85 762 41.11 NO-PREPAY MI 2503174335 REDUCED PF0630_FIXEDRATE 0 830000 166000 90 699 49.37 2YR FALSE 2503174336 REDUCED TB0630_BALLOON 0 830000 0 90 699 49.37 NO-PREPAY MI 2503174340 REDUCED TB0630_BALLOON 0 0 0 90 725 36.96 3YR FALSE 2503174356 REDUCED PA0605E_ARM 0 128500 25700 100 756 30.05 3YR TRUE 2503174360 REDUCED TF0630_FIXEDRATE 0 128500 0 100 756 30.05 NO-PREPAY MI 2503174369 REDUCED PA1605EI_ARM-INTONLY 0 222000 55500 100 663 44.22 3YR FALSE 2503174402 FULL/ALT PA0605EI_ARM-INTONLY 0 230000 46000 95 754 38.73 5YR TRUE 2503174405 REDUCED PA0605EI_ARM-INTONLY 0 550000 137500 100 686 33.38 NO-PREPAY MI 2503174409 FULL/ALT TB0630_BALLOON 0 230000 0 95 754 38.73 3YR FALSE 2503174410 REDUCED TB0630_BALLOON 0 550000 0 100 686 33.83 NO-PREPAY MI 2503174420 REDUCED PA0605EI_ARM-INTONLY 0 260000 52000 95 694 31.89 2YR FALSE 2503174456 REDUCED PA2605EI_ARM-INTONLY 0 394000 78800 100 629 40.75 1YR FALSE 2503174460 REDUCED TB1630_BALLOON 0 445000 0 90 641 33.88 3YR FALSE 2503174469 NO RATIO SA0605E_ARM 0 313500 0 80 808 0 NO-PREPAY MI 2503174474 REDUCED PA2605E_ARM 0 0 0 80 634 24.95 NO-PREPAY MI 2503174476 REDUCED PA2605E_ARM 0 500000 125000 100 620 45.75 NO-PREPAY MI 2503174477 REDUCED TB2630_BALLOON 0 500000 0 100 620 45.26 NO-PREPAY MI 2503174485 REDUCED PA0605EI_ARM-INTONLY 0 380500 95125 95 686 38.32 NO-PREPAY MI 2503174494 REDUCED PA2602EI_ARM-INTONLY 0 377500 75500 100 631 48.66 2YR TRUE 2503174497 REDUCED TB2630I_BALLOON-INTONLY 0 377500 0 100 631 48.66 NO-PREPAY MI 2503174500 REDUCED PF0630_FIXEDRATE 0 141500 0 75 690 29.55 NO-PREPAY MI 2503174513 REDUCED PA1605EI_ARM-INTONLY 0 180000 45000 100 648 40.8 3YR TRUE 2503174517 REDUCED TB1630_BALLOON 0 180000 0 100 648 40.8 2YR FALSE 2503174528 NINA SA0605EI_ARM-INTONLY 30 475000 0 95 699 0 3YR FALSE 2503174544 REDUCED TB1630_BALLOON 0 0 0 90 658 37.91 3YR FALSE 2503174546 REDUCED PA0605EI_ARM-INTONLY 0 313000 46950 95 751 39.03 2YR FALSE 2503174547 REDUCED TB0630_BALLOON 0 313000 0 95 751 39.03 NO-PREPAY MI 2503174559 REDUCED PA1605EI_ARM-INTONLY 0 284900 56950 94.99 651 35.26 2YR FALSE 2503174560 REDUCED TB1630_BALLOON 0 284900 0 94.99 651 35.26 NO-PREPAY MI 2503174569 SISA PF0630_FIXEDRATE 0 0 0 66.13 739 50.25 3YR FALSE 2503174576 REDUCED PA0605EI_ARM-INTONLY 0 0 0 79.81 681 32.15 2YR TRUE 2503174582 REDUCED PA0605EI_ARM-INTONLY 0 339995 67900 99.95 687 42.18 3YR FALSE 2503174612 REDUCED PF0630_FIXEDRATE 0 0 0 61.9 730 26.63 1YR FALSE 2503174617 REDUCED PA1605EI_ARM-INTONLY 0 0 58500 90 649 37.54 NO-PREPAY MI 2503174618 REDUCED TB1630_BALLOON 0 0 0 90 649 38.83 NO-PREPAY MI 2503174619 REDUCED PA2605EI_ARM-INTONLY 0 464900 92980 100 626 46.76 3YR FALSE 2503174620 REDUCED PA1605E_ARM 0 0 0 70.51 654 52.71 NO-PREPAY MI 2503174621 REDUCED TB2630_BALLOON 0 464900 0 100 626 46.76 3YR FALSE 2503174623 REDUCED PA0405EI_ARM-INTONLY 30 0 0 95 726 39.03 3YR FALSE 2503174635 REDUCED PA1605EI_ARM-INTONLY 0 0 95000 95 675 26.78 1YR FALSE 2503174636 REDUCED TB1630_BALLOON 0 0 0 95 675 26.78 NO-PREPAY MI 2503174638 REDUCED PA0605E_ARM 0 0 0 59.45 706 42.02 3YR TRUE 2503174641 REDUCED PA0605E_ARM 0 0 0 66.24 706 42.02 3YR TRUE 2503174652 REDUCED PA2605E_ARM 0 146750 29350 100 624 37.25 2YR FALSE 2503174653 REDUCED TB2630_BALLOON 0 146750 0 100 624 37.25 3YR FALSE 2503174658 REDUCED PA0607EI_ARM-INTONLY 0 360000 0 80 788 16.26 3YR FALSE 2503174689 REDUCED PA1605EI_ARM-INTONLY 0 202000 0 75 0 19.07 2YR FALSE 2503174692 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 50.69 667 34.48 3YR FALSE 2503174696 REDUCED PA2605EI_ARM-INTONLY 0 0 0 56.69 633 48.87 NO-PREPAY MI 2503174709 REDUCED TB0630_BALLOON 0 250000 0 90 691 30.41 NO-PREPAY MI 2503174721 REDUCED PL0605E_ARM-BALLOON 0 0 90000 95 682 46.18 1YR FALSE 2503174722 REDUCED TB0630_BALLOON 0 0 0 95 682 46.18 NO-PREPAY MI 2503174751 NO RATIO SA0605EI_ARM-INTONLY 0 160000 0 80 695 0 2YR FALSE 2503174762 REDUCED PA0605EI_ARM-INTONLY 0 0 55000 78.88 705 38.05 2YR FALSE 2503174768 REDUCED TB0630_BALLOON 0 0 0 78.88 705 38.05 2YR FALSE 2503174789 REDUCED PA1605E_ARM 0 379990 56950 89.98 643 43.13 NO-PREPAY MI 2503174801 REDUCED PA1605EI_ARM-INTONLY 0 181000 45250 100 645 47.17 3YR FALSE 2503174802 REDUCED PA1605EI_ARM-INTONLY 0 175000 35000 95 641 47.86 5YR TRUE 2503174807 REDUCED PA1605EI_ARM-INTONLY 0 306660 61300 99.99 640 42.33 3YR FALSE 2503174818 REDUCED TB1630_BALLOON 0 175000 0 95 641 29.13 NO-PREPAY MI 2503174828 REDUCED PA1605EI_ARM-INTONLY 0 244000 61000 100 640 43.31 3YR TRUE 2503174829 REDUCED TB1630_BALLOON 0 244000 0 100 640 43.31 NO-PREPAY MI 2503174832 REDUCED PF0630_FIXEDRATE 0 0 0 41.35 688 34.34 2YR FALSE 2503174859 REDUCED TB1630_BALLOON 0 0 0 90 658 35.95 3YR FALSE 2503174864 REDUCED PA1605EI_ARM-INTONLY 0 136000 34000 95 660 40.37 NO-PREPAY MI 2503174865 REDUCED TB1630_BALLOON 0 136000 0 95 660 40.37 NO-PREPAY MI 2503174870 REDUCED TB0630_BALLOON 0 0 0 90 686 37.15 3YR FALSE 2503174872 REDUCED PA1605EI_ARM-INTONLY 0 0 220000 100 659 39.58 NO-PREPAY MI 2503174873 REDUCED TB1630_BALLOON 0 0 0 100 659 39.58 NO-PREPAY MI 2503174885 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.41 801 37.84 3YR TRUE 2503174905 REDUCED TB1630_BALLOON 0 0 0 88.19 674 44.86 NO-PREPAY MI 2503174934 REDUCED TB0630_BALLOON 0 462500 0 100 683 45.25 2YR FALSE 2503174938 REDUCED PA1605EI_ARM-INTONLY 0 345000 69000 100 662 48.15 3YR FALSE 2503174939 REDUCED PA2605EI_ARM-INTONLY 0 0 70000 89.8 625 39.5 1YR FALSE 2503174940 REDUCED TB1630_BALLOON 0 345000 0 100 662 48.15 3YR FALSE 2503174960 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 72.13 734 49.82 3YR FALSE 2503174961 REDUCED PA1605EI_ARM-INTONLY 0 300000 60000 100 670 44.32 NO-PREPAY MI 2503174962 REDUCED TB1630_BALLOON 0 300000 0 100 670 42.9 NO-PREPAY MI 2503175015 REDUCED TB1630_BALLOON 0 0 0 90 643 38.62 3YR FALSE 2503175019 REDUCED PA2605E_ARM 0 365000 0 80 630 45.28 1YR FALSE 2503175020 REDUCED TB2630_BALLOON 0 365000 0 100 630 45.28 NO-PREPAY MI 2503175029 REDUCED PA1605EI_ARM-INTONLY 0 135000 27000 95 644 37.11 NO-PREPAY MI 2503175030 REDUCED TB1630_BALLOON 0 135000 0 95 644 37.11 NO-PREPAY MI 2503175038 REDUCED PA0605EI_ARM-INTONLY 0 379900 75980 100 701 38.7 1YR FALSE 2503175055 REDUCED PL0605E_ARM-BALLOON 0 0 0 72.82 764 32.48 3YR FALSE 2503175061 REDUCED TB0630_BALLOON 0 0 0 90 682 39.56 1YR FALSE 2503175071 REDUCED PA2605EI_ARM-INTONLY 0 329900 66000 100 626 37.42 NO-PREPAY MI 2503175072 REDUCED TB2630_BALLOON 0 329900 0 100 626 36.82 NO-PREPAY MI 2503175096 REDUCED PA2605EI_ARM-INTONLY 0 0 96000 100 623 49.89 3YR FALSE 2503175097 REDUCED TB2630_BALLOON 0 0 0 100 623 49.9 NO-PREPAY MI 2503175126 REDUCED PA2605E_ARM 0 120000 24000 100 629 44.62 NO-PREPAY MI 2503175132 REDUCED PA1605EI_ARM-INTONLY 0 196500 39300 100 656 23.86 3YR FALSE 2503175139 REDUCED PA0605EI_ARM-INTONLY 0 0 125000 100 682 29.94 3YR FALSE 2503175149 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 793 42.42 3YR FALSE 2503175152 REDUCED PA2605EI_ARM-INTONLY 0 0 81800 91.4 628 44.42 1YR FALSE 2503175156 REDUCED TB2630_BALLOON 0 0 0 91.4 628 44.42 1YR FALSE 2503175172 REDUCED PA0605EI_ARM-INTONLY 0 352000 70400 100 752 37 1YR FALSE 2503175173 REDUCED TB0630_BALLOON 0 352000 0 100 752 36.19 1YR FALSE 2503175176 REDUCED PA0605EI_ARM-INTONLY 0 849000 169800 90 760 46.17 NO-PREPAY MI 2503175177 REDUCED TB0630_BALLOON 0 849000 0 90 760 46.17 NO-PREPAY MI 2503175179 REDUCED PA0605EI_ARM-INTONLY 0 320000 64000 100 699 44.47 3YR FALSE 2503175180 REDUCED TB0630_BALLOON 0 320000 0 100 699 44.47 3YR FALSE 2503175199 REDUCED PA1605EI_ARM-INTONLY 0 545000 136250 100 676 39.56 2YR FALSE 2503175200 REDUCED TB1630_BALLOON 0 545000 0 100 676 39.56 NO-PREPAY MI 2503175206 REDUCED TB0630_BALLOON 0 350000 0 90 694 39.71 2YR FALSE 2503175215 REDUCED PA1605EI_ARM-INTONLY 0 0 150000 84.75 657 49.66 1YR FALSE 2503175216 REDUCED TB1630_BALLOON 0 0 0 84.75 657 49.66 NO-PREPAY MI 2503175221 REDUCED PA1605EI_ARM-INTONLY 0 360000 72000 100 641 44.9 3YR FALSE 2503175222 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65 713 40.45 NO-PREPAY MI 2503175223 REDUCED TB1630_BALLOON 0 360000 0 100 641 44.72 3YR FALSE 2503175225 REDUCED PL1605E_ARM-BALLOON 0 0 0 70.91 650 36.59 NO-PREPAY MI 2503175230 REDUCED PA2605EI_ARM-INTONLY 0 305280 76300 100 624 33.81 1YR FALSE 2503175231 REDUCED TB2630_BALLOON 0 305280 0 100 624 33.81 NO-PREPAY MI 2503175238 REDUCED PA2605EI_ARM-INTONLY 0 0 63200 100 634 37.58 1YR FALSE 2503175239 REDUCED TB2630_BALLOON 0 0 0 100 634 38.77 1YR FALSE 2503175241 NINA EA0605E_ARM 30 495000 0 95 731 0 NO-PREPAY MI 2503175248 REDUCED PA1605EI_ARM-INTONLY 0 460000 115000 100 664 42.93 NO-PREPAY MI 2503175249 REDUCED TB1630_BALLOON 0 460000 0 100 664 42.93 NO-PREPAY MI 2503175250 REDUCED TB0630_BALLOON 0 379900 0 100 701 38.7 1YR FALSE 2503175264 REDUCED PA1605E_ARM 0 0 70200 100 645 35.2 1YR FALSE 2503175265 REDUCED TB1630_BALLOON 0 0 0 100 645 34.94 1YR FALSE 2503175302 REDUCED PA0605EI_ARM-INTONLY 0 287000 71750 100 752 45.17 2YR FALSE 2503175303 REDUCED TB0630_BALLOON 0 287000 0 100 752 45.17 NO-PREPAY MI 2503175309 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 709 37.29 2YR FALSE 2503175326 REDUCED TB1630_BALLOON 0 0 0 90 658 36.73 3YR FALSE 2503175330 REDUCED PA1605EI_ARM-INTONLY 0 349900 52485 95 664 40.18 1YR TRUE 2503175335 REDUCED PA0607EI_ARM-INTONLY 0 315000 0 75 775 44.09 NO-PREPAY MI 2503175377 REDUCED TB0630_BALLOON 0 0 0 100 682 29.94 3YR FALSE 2503175395 NO RATIO SA0605EI_ARM-INTONLY 0 545000 109000 95 767 0 1YR FALSE 2503175407 REDUCED PA0605EI_ARM-INTONLY 0 0 77000 95 682 23.73 NO-PREPAY MI 2503175415 REDUCED PA1605EI_ARM-INTONLY 0 1031325 154700 90 665 36.6 1YR FALSE 2503175416 REDUCED TB1630_BALLOON 0 1031325 0 90 665 36.6 NO-PREPAY MI 2503175424 REDUCED PA1605EI_ARM-INTONLY 0 750000 0 70 640 8.67 NO-PREPAY MI 2503175426 REDUCED PF1630I_FIX-INTONLY 0 0 27100 90 640 22.39 5YR FALSE 2503175427 REDUCED TB1630_BALLOON 0 0 0 90 640 22.39 3YR FALSE 2503175428 REDUCED PA0605EI_ARM-INTONLY 0 518800 155650 100 778 44.17 NO-PREPAY MI 2503175429 REDUCED TB0630_BALLOON 0 518800 0 100 778 44.17 NO-PREPAY MI 2503175431 REDUCED PA0605EI_ARM-INTONLY 0 501898 25095 85 776 32.4 NO-PREPAY MI 2503175432 REDUCED TB0630_BALLOON 0 501898 0 85 776 32.4 NO-PREPAY MI 2503175449 REDUCED PF0630_FIXEDRATE 0 0 53500 90 755 48.12 3YR FALSE 2503175463 REDUCED PA1605EI_ARM-INTONLY 0 650000 195000 100 649 43.62 3YR FALSE 2503175464 REDUCED TB1630_BALLOON 0 650000 0 100 649 43.62 3YR FALSE 2503175475 REDUCED PA0605EI_ARM-INTONLY 0 390091 58513 95 732 32.59 NO-PREPAY MI 2503175476 REDUCED TB0630_BALLOON 0 390091 0 95 732 32.81 NO-PREPAY MI 2503175485 REDUCED TB1630_BALLOON 0 0 0 90 640 39 NO-PREPAY MI 2503175487 FULL/ALT PA1605E_ARM 0 405000 0 80 0 35.24 3YR TRUE 2503175502 NINA SA0605EI_ARM-INTONLY 0 0 0 75 733 0 1YR FALSE 2503175538 NO RATIO SA2605E_ARM 0 0 0 45.95 672 0 3YR FALSE 2503175547 REDUCED PA1605E_ARM 0 249900 62500 100 661 48.74 2YR FALSE 2503175548 REDUCED TB1630_BALLOON 0 249900 0 100 661 48.74 NO-PREPAY MI 2503175558 REDUCED PA1605E_ARM 0 260000 65000 100 677 49.66 NO-PREPAY MI 2503175559 REDUCED TB1630_BALLOON 0 260000 0 100 677 49.66 NO-PREPAY MI 2503175562 REDUCED PA0605EI_ARM-INTONLY 0 526000 131500 100 753 49.44 1YR FALSE 2503175563 REDUCED TF0630_FIXEDRATE 0 526000 0 100 753 49.44 NO-PREPAY MI 2503175614 REDUCED PA0605EI_ARM-INTONLY 0 0 27600 95 692 44.03 2YR FALSE 2503175615 REDUCED TB0630_BALLOON 0 0 0 95 692 44.03 2YR FALSE 2503175616 REDUCED PA0605EI_ARM-INTONLY 0 577000 144250 100 729 46.68 NO-PREPAY MI 2503175617 REDUCED TB0630_BALLOON 0 577000 0 100 729 46.68 NO-PREPAY MI 2503175625 REDUCED PA0605EI_ARM-INTONLY 0 560000 112000 95 735 39.19 NO-PREPAY MI 2503175626 REDUCED TB0630_BALLOON 0 560000 0 95 735 39.19 NO-PREPAY MI 2503175631 REDUCED PA1605EI_ARM-INTONLY 0 0 0 56.88 662 16.08 2YR FALSE 2503175632 REDUCED PF0630_FIXEDRATE 0 115000 0 75 707 29.36 NO-PREPAY MI 2503175643 REDUCED PA0605EI_ARM-INTONLY 0 187100 28065 90 742 39.86 NO-PREPAY MI 2503175654 REDUCED PF0630I_FIX-INTONLY 0 218300 54500 94.97 722 47.02 NO-PREPAY MI 2503175661 REDUCED PA1405EI_ARM-INTONLY 25 0 0 90 664 44.12 1YR FALSE 2503175674 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 65.4 734 49.81 3YR TRUE 2503175685 REDUCED PF0630I_FIX-INTONLY 0 182900 45700 99.98 721 46.4 2YR TRUE 2503175693 REDUCED PA1605EI_ARM-INTONLY 0 330000 66000 100 679 33.22 3YR FALSE 2503175712 REDUCED TF0630_FIXEDRATE 0 182900 0 99.98 721 46.4 NO-PREPAY MI 2503175713 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 68.73 734 49.82 3YR FALSE 2503175715 REDUCED TB1630_BALLOON 0 300000 0 90 661 39.69 3YR FALSE 2503175720 REDUCED PF0630I_FIX-INTONLY 0 154000 23100 90 695 39.18 1YR FALSE 2503175725 REDUCED TB0630_BALLOON 0 154000 0 90 695 39.18 1YR FALSE 2503175730 REDUCED PA1605EI_ARM-INTONLY 0 181200 36250 100 651 47.45 3YR TRUE 2503175731 REDUCED PA0605EI_ARM-INTONLY 0 0 107500 95 701 35.77 NO-PREPAY MI 2503175732 REDUCED TB0630_BALLOON 0 0 0 95 701 35.38 NO-PREPAY MI 2503175734 NINA SA0605E_ARM 25 269213 0 89.99 685 0 2YR FALSE 2503175744 REDUCED PA0605EI_ARM-INTONLY 0 319000 79750 100 682 47.15 1YR FALSE 2503175751 REDUCED TB0630_BALLOON 0 319000 0 100 682 47.15 1YR FALSE 2503175773 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 64.84 734 49.82 3YR FALSE 2503175793 REDUCED TF1630_FIXEDRATE 0 0 0 90 659 39.19 NO-PREPAY MI 2503175799 REDUCED TB1630_BALLOON 0 0 0 90 660 39.99 2YR FALSE 2503175800 SISA PA1605EI_ARM-INTONLY 0 0 0 59.1 675 41.57 NO-PREPAY MI 2503175812 FULL/ALT PL3605E_ARM-BALLOON 0 495000 0 80 611 44.41 1YR FALSE 2503175836 REDUCED PL2605E_ARM-BALLOON 0 0 102000 95 639 42.48 NO-PREPAY MI 2503175837 REDUCED TB2630_BALLOON 0 0 0 95 639 42.48 NO-PREPAY MI 2503175841 REDUCED PA0605EI_ARM-INTONLY 0 540000 135000 100 748 33.49 3YR FALSE 2503175842 REDUCED TB0630_BALLOON 0 540000 0 100 748 33.49 3YR FALSE 2503175845 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 698 39.99 NO-PREPAY MI 2503175852 REDUCED TF1630_FIXEDRATE 0 0 0 90 644 38.36 3YR FALSE 2503175865 REDUCED PB4640_BALLOON 0 0 0 54.01 588 43.14 1YR FALSE 2503175904 REDUCED PL3605E_ARM-BALLOON 0 0 0 79.92 619 40.15 2YR FALSE 2503175906 REDUCED PA0607EI_ARM-INTONLY 0 0 36500 90 727 38.04 NO-PREPAY MI 2503175907 REDUCED TB0630_BALLOON 0 0 0 90 727 38.04 NO-PREPAY MI 2503175918 REDUCED PA0605E_ARM 0 585000 0 80 708 45.08 2YR FALSE 2503175927 REDUCED PA0605EI_ARM-INTONLY 0 675000 135000 95 742 31.32 1YR FALSE 2503175932 REDUCED PL1605E_ARM-BALLOON 0 585000 146250 100 654 47.8 1YR FALSE 2503175933 REDUCED TB1630_BALLOON 0 585000 0 100 654 48.29 NO-PREPAY MI 2503175937 REDUCED PL1605E_ARM-BALLOON 0 310000 62000 100 662 46.76 3YR TRUE 2503175938 REDUCED TB1630_BALLOON 0 310000 0 100 662 46.76 3YR FALSE 2503175942 REDUCED PA1605EI_ARM-INTONLY 0 0 79000 100 645 45.59 3YR FALSE 2503175943 REDUCED TB1630_BALLOON 0 0 0 100 645 45.59 3YR FALSE 2503175944 REDUCED PF0630I_FIX-INTONLY 0 0 90000 90 770 32.94 1YR FALSE 2503175945 REDUCED TB0630_BALLOON 0 0 0 90 770 32.94 NO-PREPAY MI 2503175947 REDUCED PA0605EI_ARM-INTONLY 0 0 76250 100 684 43.67 3YR FALSE 2503175950 REDUCED TB0630_BALLOON 0 0 0 100 684 43.67 3YR FALSE 2503175951 REDUCED PA0605EI_ARM-INTONLY 0 0 0 51.51 681 36 3YR FALSE 2503175957 REDUCED PA0605EI_ARM-INTONLY 0 580000 0 80 802 41 2YR FALSE 2503175958 REDUCED TB0630_BALLOON 0 266000 0 95 809 39.47 NO-PREPAY MI 2503175969 REDUCED PF0630I_FIX-INTONLY 0 370000 74000 100 718 49.72 3YR TRUE 2503175970 REDUCED TB0630_BALLOON 0 370000 0 100 718 49.72 NO-PREPAY MI 2503175973 REDUCED PA0607EI_ARM-INTONLY 0 0 0 73.34 682 35.45 3YR TRUE 2503175984 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 75 689 0 5YR TRUE 2503176028 REDUCED PA0605EI_ARM-INTONLY 0 698000 174500 100 732 47.64 1YR FALSE 2503176029 REDUCED TB0630_BALLOON 0 698000 0 100 732 47.64 NO-PREPAY MI 2503176035 REDUCED TB0630_BALLOON 0 0 0 90 726 38.92 NO-PREPAY MI 2503176042 REDUCED PA1605EI_ARM-INTONLY 0 233000 46400 99.92 646 49.15 2YR FALSE 2503176043 REDUCED TB1630_BALLOON 0 233000 0 100 646 49.15 2YR FALSE 2503176045 REDUCED TB2630_BALLOON 0 0 0 95 637 47.8 2YR FALSE 2503176051 REDUCED PA0605EI_ARM-INTONLY 0 0 40000 86.75 703 42.62 NO-PREPAY MI 2503176056 REDUCED TF0630_FIXEDRATE 0 218300 0 94.97 722 47.02 NO-PREPAY MI 2503176103 REDUCED PA0605EI_ARM-INTONLY 0 507500 101500 95 743 41.57 NO-PREPAY MI 2503176104 REDUCED TB0630_BALLOON 0 507500 0 95 743 41.57 1YR FALSE 2503176121 FULL/ALT PA1605EI_ARM-INTONLY 0 146990 29350 94.94 679 45.86 NO-PREPAY MI 2503176122 FULL/ALT TB1630_BALLOON 0 146990 0 94.94 679 45.86 NO-PREPAY MI 2503176127 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 661 12.98 3YR FALSE 2503176130 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 709 42.61 1YR FALSE 2503176138 REDUCED TB0630_BALLOON 0 325000 0 90 729 30.96 NO-PREPAY MI 2503176167 FULL/ALT PA0605E_ARM 25 369900 0 90 682 47.11 3YR TRUE 2503176175 REDUCED TB1630_BALLOON 0 0 0 90 650 39.61 3YR FALSE 2503176189 REDUCED PA0605EI_ARM-INTONLY 0 122000 20000 88.53 737 38.85 NO-PREPAY MI 2503176190 REDUCED TB0630_BALLOON 0 122000 0 88.53 737 38.85 NO-PREPAY MI 2503176201 REDUCED PF0615_FIXEDRATE 0 0 0 61.47 682 36.16 3YR FALSE 2503176209 REDUCED PA0605EI_ARM-INTONLY 0 537612 80600 90 791 40.83 NO-PREPAY MI 2503176210 REDUCED TB0630_BALLOON 0 537612 0 90 791 40.83 1YR FALSE 2503176219 REDUCED TB1630_BALLOON 0 0 0 90 651 39.86 3YR FALSE 2503176221 REDUCED PL1605E_ARM-BALLOON 0 269500 53900 100 643 45.38 1YR FALSE 2503176222 REDUCED TB1630_BALLOON 0 269500 0 100 643 45.38 1YR FALSE 2503176247 REDUCED PA0605EI_ARM-INTONLY 0 0 0 67.09 759 23.21 3YR TRUE 2503176264 REDUCED PA0605EI_ARM-INTONLY 0 695000 139000 100 684 41.51 3YR FALSE 2503176273 REDUCED TB0630_BALLOON 0 695000 0 100 684 41.51 2YR FALSE 2503176277 NINA SA0605EI_ARM-INTONLY 0 0 0 75 706 0 3YR FALSE 2503176290 REDUCED PA1605EI_ARM-INTONLY 0 730000 146000 100 672 39.4 2YR FALSE 2503176291 REDUCED TB1630_BALLOON 0 730000 0 100 672 39.4 2YR FALSE 2503176301 REDUCED PA1605E_ARM 0 390000 97500 95 662 29.12 NO-PREPAY MI 2503176302 REDUCED TB1630_BALLOON 0 390000 0 95 662 29.12 NO-PREPAY MI 2503176307 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 50.72 689 0 NO-PREPAY MI 2503176319 REDUCED PA0605EI_ARM-INTONLY 0 0 96400 80 693 38.32 2YR FALSE 2503176321 REDUCED PL2605E_ARM-BALLOON 0 645000 129000 100 631 40.26 2YR FALSE 2503176344 FULL/ALT PA1605EI_ARM-INTONLY 0 214900 53725 100 679 37.61 3YR FALSE 2503176345 FULL/ALT TB1630_BALLOON 0 214900 0 100 679 36.89 1YR FALSE 2503176346 REDUCED TB2630_BALLOON 0 645000 0 100 631 40.26 NO-PREPAY MI 2503176349 REDUCED PA0605EI_ARM-INTONLY 0 207653 31148 95 767 41.44 NO-PREPAY MI 2503176350 REDUCED TB0630_BALLOON 0 207653 0 95 767 41.44 NO-PREPAY MI 2503176352 NINA EF0630_FIXEDRATE 30 141500 0 94.99 709 0 NO-PREPAY MI 2503176355 REDUCED TB0630_BALLOON 0 0 0 90 718 38.88 2YR FALSE 2503176364 REDUCED TB2630_BALLOON 0 0 0 90 634 33.68 3YR FALSE 2503176365 REDUCED PA2405EI_ARM-INTONLY 0 0 117500 100 625 33 NO-PREPAY MI 2503176366 REDUCED TB2630_BALLOON 0 0 0 100 625 33 NO-PREPAY MI 2503176375 REDUCED PA1605EI_ARM-INTONLY 0 689000 172250 100 671 43.53 1YR FALSE 2503176376 REDUCED TB1630_BALLOON 0 689000 0 100 671 43.54 NO-PREPAY MI 2503176381 REDUCED PA0605E_ARM 0 400000 120000 100 703 39.72 1YR FALSE 2503176384 REDUCED TB0630_BALLOON 0 400000 0 100 703 39.72 1YR FALSE 2503176400 FULL/ALT PA1605EI_ARM-INTONLY 0 305000 45750 95 669 39.32 2YR FALSE 2503176401 FULL/ALT TB1630I_BALLOON-INTONLY 0 305000 0 95 669 39.32 2YR FALSE 2503176403 REDUCED PA0607EI_ARM-INTONLY 0 0 0 75 760 37.71 3YR FALSE 2503176406 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 727 46.94 2YR FALSE 2503176412 REDUCED TB1630_BALLOON 0 0 0 90 678 39.58 3YR FALSE 2503176421 REDUCED PA0605EI_ARM-INTONLY 25 0 0 90 700 55.53 3YR FALSE 2503176422 REDUCED PF1630I_FIX-INTONLY 0 0 79500 90 664 46.05 1YR FALSE 2503176440 SISA PA2605EI_ARM-INTONLY 0 0 0 35.72 630 40.35 2YR FALSE 2503176443 REDUCED PA1605EI_ARM-INTONLY 0 0 124000 100 679 42.34 3YR FALSE 2503176444 REDUCED TB1630_BALLOON 0 0 0 100 679 42.34 3YR FALSE 2503176446 REDUCED PA1605EI_ARM-INTONLY 0 342000 68400 100 662 42.43 1YR FALSE 2503176464 REDUCED TB0630_BALLOON 0 0 0 90 705 49.89 NO-PREPAY MI 2503176470 REDUCED PA0605EI_ARM-INTONLY 0 762000 152400 100 703 42.57 2YR FALSE 2503176471 REDUCED TB0630_BALLOON 0 762000 0 100 703 42.57 2YR FALSE 2503176477 REDUCED PA0605EI_ARM-INTONLY 0 0 83250 95 693 40.66 NO-PREPAY MI 2503176478 REDUCED TB0630_BALLOON 0 0 0 95 693 40.66 NO-PREPAY MI 2503176490 FULL/ALT PA0607EI_ARM-INTONLY 0 310000 77500 100 738 47.13 3YR FALSE 2503176501 FULL/ALT PA0405EI_ARM-INTONLY 25 225000 0 90 687 21.78 3YR TRUE 2503176514 REDUCED PA0605EI_ARM-INTONLY 0 0 0 80 703 40 3YR FALSE 2503176524 REDUCED PA1605EI_ARM-INTONLY 0 630000 126000 100 661 49.72 1YR FALSE 2503176526 REDUCED PA0605EI_ARM-INTONLY 0 485000 97000 100 698 45.27 1YR FALSE 2503176527 REDUCED TB0630_BALLOON 0 485000 0 100 698 45.27 1YR FALSE 2503176532 REDUCED TB1630_BALLOON 0 630000 0 100 661 49.72 NO-PREPAY MI 2503176533 FULL/ALT PA2603EI_ARM-INTONLY 0 0 0 72.3 629 49.64 NO-PREPAY MI 2503176550 REDUCED PA1605EI_ARM-INTONLY 0 257888 51550 99.99 654 26.84 3YR FALSE 2503176551 REDUCED TB1630_BALLOON 0 257888 0 99.99 654 26.84 3YR FALSE 2503176564 REDUCED PA1605EI_ARM-INTONLY 0 750000 150000 100 660 49.84 2YR FALSE 2503176565 REDUCED TB1630_BALLOON 0 750000 0 100 660 47.91 1YR FALSE 2503176600 REDUCED PA1605E_ARM 0 250000 50000 100 650 41.54 NO-PREPAY MI 2503176601 REDUCED TB1630_BALLOON 0 250000 0 100 650 41.54 NO-PREPAY MI 2503176626 REDUCED PA1402EI_ARM-INTONLY 0 227000 56750 100 657 48.92 2YR FALSE 2503176631 REDUCED TB1630_BALLOON 0 227000 0 100 657 48.59 2YR FALSE 2503176633 REDUCED TB0630_BALLOON 0 0 0 90 710 37.55 1YR FALSE 2503176641 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 641 60.68 1YR FALSE 2503176658 REDUCED PL1605E_ARM-BALLOON 0 350000 0 80 642 43.51 3YR FALSE 2503176660 REDUCED PA2605EI_ARM-INTONLY 0 0 152000 94.93 639 49.65 3YR FALSE 2503176677 REDUCED PA0603EI_ARM-INTONLY 0 1256000 0 67.68 706 42.5 NO-PREPAY MI 2503176686 REDUCED PA0605EI_ARM-INTONLY 0 0 0 43.87 723 44.73 3YR FALSE 2503176698 REDUCED TB1630_BALLOON 0 0 0 90 652 23.86 NO-PREPAY MI 2503176705 NINA SB2640_BALLOON 0 0 0 80 657 0 1YR FALSE 2503176706 REDUCED PA0605EI_ARM-INTONLY 0 400000 80000 95 709 36 NO-PREPAY MI 2503176714 REDUCED PA2605EI_ARM-INTONLY 0 0 34000 90 636 33.32 2YR FALSE 2503176715 REDUCED TB2630_BALLOON 0 0 0 90 636 33.32 2YR FALSE 2503176745 REDUCED TB0630_BALLOON 0 400000 0 95 709 35.99 NO-PREPAY MI 2503176784 REDUCED TB0630_BALLOON 0 650000 0 90 739 39.7 1YR FALSE 2503176786 REDUCED PF0630_FIXEDRATE 0 0 0 34.55 697 43.19 3YR FALSE 2503176794 REDUCED PF1630_FIXEDRATE 0 101000 20200 95 661 49.07 3YR TRUE 2503176795 REDUCED TB1630_BALLOON 0 101000 0 95 661 49.07 1YR FALSE 2503176814 REDUCED PA1605EI_ARM-INTONLY 0 430000 86000 95 667 46.38 2YR FALSE 2503176827 REDUCED TB1630_BALLOON 0 430000 0 95 667 46.38 2YR FALSE 2503176838 REDUCED PF2630I_FIX-INTONLY 0 0 0 80 623 48.49 3YR FALSE 2503176842 FULL/ALT PA1605EI_ARM-INTONLY 0 0 0 15.39 661 29.85 1YR FALSE 2503176843 REDUCED PA1605EI_ARM-INTONLY 0 737000 110550 95 646 31.29 1YR FALSE 2503176844 REDUCED TB1630_BALLOON 0 737000 0 95 646 31.29 NO-PREPAY MI 2503176848 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 677 39.3 3YR FALSE 2503176854 REDUCED PA1605EI_ARM-INTONLY 0 720000 144000 100 651 41.63 2YR FALSE 2503176855 REDUCED TB1630_BALLOON 0 720000 0 100 651 41.63 2YR FALSE 2503176857 REDUCED TB0630_BALLOON 0 242000 0 90 766 33.53 3YR FALSE 2503176858 REDUCED PF3630_FIXEDRATE 0 0 0 60.97 603 35.86 3YR FALSE 2503176885 REDUCED PA1605EI_ARM-INTONLY 0 417404 83400 99.98 666 34.7 3YR FALSE 2503176888 REDUCED TB1630_BALLOON 0 417404 0 99.98 666 34.7 2YR FALSE 2503176893 REDUCED TB2630_BALLOON 0 0 0 89.8 625 42.49 NO-PREPAY MI 2503176898 REDUCED PA0605EI_ARM-INTONLY 0 0 0 32.88 690 21.6 3YR FALSE 2503176900 REDUCED TB1630_BALLOON 0 0 0 90 677 37.98 3YR FALSE 2503176909 REDUCED TB1630_BALLOON 0 0 0 90 663 40 3YR FALSE 2503176939 REDUCED PA0605EI_ARM-INTONLY 0 175000 35000 100 708 43.1 NO-PREPAY MI 2503176940 REDUCED TB0630_BALLOON 0 175000 0 100 708 43.1 NO-PREPAY MI 2503176960 REDUCED TB1630_BALLOON 0 0 0 90 640 39.41 NO-PREPAY MI 2503176975 REDUCED PL1605E_ARM-BALLOON 0 530000 106000 100 671 49.44 3YR FALSE 2503176978 REDUCED TB1630_BALLOON 0 0 0 90 653 35.17 NO-PREPAY MI 2503177002 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 55 640 0 3YR FALSE 2503177005 REDUCED PA0605EI_ARM-INTONLY 0 210000 42000 100 768 37.52 3YR TRUE 2503177006 REDUCED TB0630_BALLOON 0 210000 0 100 768 38.94 NO-PREPAY MI 2503177010 REDUCED TB1630_BALLOON 0 0 0 90 671 38.04 3YR FALSE 2503177011 REDUCED TB1630_BALLOON 0 181200 0 100 651 47.45 NO-PREPAY MI 2503177013 REDUCED PA0605EI_ARM-INTONLY 0 618000 154500 100 711 48.68 1YR FALSE 2503177014 REDUCED TB0630_BALLOON 0 618000 0 100 711 48.68 NO-PREPAY MI 2503177015 REDUCED PA1605E_ARM 0 0 150000 100 654 39.7 NO-PREPAY MI 2503177016 REDUCED TB1630_BALLOON 0 0 0 100 654 39.71 NO-PREPAY MI 2503177020 REDUCED PA1605EI_ARM-INTONLY 0 158900 39700 99.94 666 32.57 1YR FALSE 2503177023 REDUCED PA0605EI_ARM-INTONLY 0 345000 69000 94.72 696 43.84 1YR FALSE 2503177024 REDUCED TB0630_BALLOON 0 345000 0 95 696 43.84 1YR FALSE 2503177027 REDUCED PA0607EI_ARM-INTONLY 0 108000 21600 95 786 41.34 1YR FALSE 2503177028 REDUCED TF0630_FIXEDRATE 0 108000 0 95 786 41.34 NO-PREPAY MI 2503177031 REDUCED PL0605E_ARM-BALLOON 0 0 0 80 767 25.37 1YR FALSE 2503177044 REDUCED PL3605E_ARM-BALLOON 0 0 0 42.59 619 39.52 3YR FALSE 2503177048 REDUCED PA1605EI_ARM-INTONLY 0 274500 54900 100 642 41.8 3YR FALSE 2503177049 REDUCED TB1630_BALLOON 0 274500 0 100 642 41.8 NO-PREPAY MI 2503177079 NINA SA1605E_ARM 25 241915 0 90 666 0 3YR FALSE 2503177080 SISA PA1605E_ARM 0 0 0 50 667 31.54 NO-PREPAY MI 2503177099 REDUCED PA0605EI_ARM-INTONLY 0 164900 32950 99.97 751 36.09 2YR FALSE 2503177100 REDUCED TB0630_BALLOON 0 164900 0 99.97 751 36.09 2YR FALSE 2503177116 REDUCED PA1605EI_ARM-INTONLY 0 545000 136250 99.45 654 45.37 1YR FALSE 2503177117 REDUCED TB1630_BALLOON 0 545000 0 99.45 654 45.37 NO-PREPAY MI 2503177124 REDUCED PA1605E_ARM 0 0 97500 100 673 40.45 NO-PREPAY MI 2503177125 REDUCED TB1630_BALLOON 0 0 0 100 673 40.45 NO-PREPAY MI 2503177137 REDUCED PA1607EI_ARM-INTONLY 0 0 42000 85 668 30.35 3YR FALSE 2503177145 REDUCED PA2605EI_ARM-INTONLY 0 460000 92000 100 631 44.34 NO-PREPAY MI 2503177150 REDUCED TB1630_BALLOON 0 0 0 90 678 37.74 3YR FALSE 2503177151 REDUCED TB1630_BALLOON 0 0 0 87.15 668 29.51 3YR FALSE 2503177174 FULL/ALT TB0630_BALLOON 0 108000 0 100 734 49.8 NO-PREPAY MI 2503177208 SISA PA0605EI_ARM-INTONLY 0 0 0 63.97 694 46.25 2YR FALSE 2503177217 REDUCED PA0605EI_ARM-INTONLY 0 165920 33150 94.96 708 28.63 2YR FALSE 2503177218 REDUCED TB0630_BALLOON 0 165920 0 94.96 708 28.63 NO-PREPAY MI 2503177248 REDUCED PA1605EI_ARM-INTONLY 0 282000 56400 100 662 40.27 3YR FALSE 2503177249 REDUCED TB1630_BALLOON 0 282000 0 100 662 39.69 NO-PREPAY MI 2503177285 FULL/ALT PA1605EI_ARM-INTONLY 0 0 390000 95 677 31.67 1YR FALSE 2503177287 FULL/ALT TB1630_BALLOON 0 0 0 95 677 31.67 1YR FALSE 2503177316 REDUCED PA3605E_ARM 0 201000 0 75 619 31.32 NO-PREPAY MI 2503177321 FULL/ALT PA0605EI_ARM-INTONLY 0 700000 200000 95 801 22.26 1YR FALSE 2503177357 REDUCED PA1605EI_ARM-INTONLY 0 179900 0 79.99 679 42.53 2YR TRUE 2503177359 REDUCED PA0605EI_ARM-INTONLY 0 131900 26350 94.96 717 48 2YR TRUE 2503177360 REDUCED TB0630_BALLOON 0 131900 0 94.96 717 48 NO-PREPAY MI 2503177398 REDUCED TB1630_BALLOON 0 0 0 88.56 661 39.71 3YR FALSE 2503177402 REDUCED PA2605EI_ARM-INTONLY 0 260000 52000 100 628 49.58 2YR FALSE 2503177404 REDUCED TB2630_BALLOON 0 260000 0 100 628 49.58 NO-PREPAY MI 2503177405 REDUCED PA1605EI_ARM-INTONLY 0 0 90000 95 666 49.92 NO-PREPAY MI 2503177406 REDUCED TB1630_BALLOON 0 0 0 95 666 49.92 NO-PREPAY MI 2503177408 REDUCED PA1605EI_ARM-INTONLY 0 284000 71000 100 666 39.23 NO-PREPAY MI 2503177409 REDUCED TB1630_BALLOON 0 284000 0 100 666 39.23 NO-PREPAY MI 2503177423 REDUCED TB0630_BALLOON 0 0 0 90 686 35.75 1YR FALSE 2503177424 REDUCED PA0605EI_ARM-INTONLY 0 445000 89000 95 751 41.85 NO-PREPAY MI 2503177425 REDUCED TB0630_BALLOON 0 445000 0 95 751 41.85 NO-PREPAY MI 2503177430 REDUCED PA0605EI_ARM-INTONLY 0 230000 46000 100 684 42.1 5YR TRUE 2503177442 REDUCED TF0630_FIXEDRATE 0 0 0 80 693 38.32 2YR FALSE 2503177469 REDUCED TB0630_BALLOON 0 0 0 89.69 685 38.93 NO-PREPAY MI 2503177470 REDUCED PA0605EI_ARM-INTONLY 0 0 155800 95 710 39.82 3YR FALSE 2503177473 REDUCED TB0630_BALLOON 0 0 0 95 710 39.82 1YR FALSE 2503177482 REDUCED PA0605EI_ARM-INTONLY 0 370000 62000 96.88 724 49.04 2YR TRUE 2503177488 REDUCED PA0605EI_ARM-INTONLY 0 289900 57950 99.99 762 40.09 3YR TRUE 2503177489 REDUCED TB0630_BALLOON 0 289900 0 99.99 762 40.09 NO-PREPAY MI 2503177495 REDUCED PF1630_FIXEDRATE 0 0 0 43.75 666 36.83 3YR FALSE 2503177502 REDUCED PL0605E_ARM-BALLOON 0 280000 70000 100 684 44.04 NO-PREPAY MI 2503177503 REDUCED TB0630_BALLOON 0 280000 0 100 684 44.04 NO-PREPAY MI 2503177509 REDUCED PA1605EI_ARM-INTONLY 0 239900 47950 99.98 665 33.61 1YR FALSE 2503177510 REDUCED TB1630_BALLOON 0 239900 0 99.98 665 33.61 1YR FALSE 2503177544 FULL/ALT PL1605E_ARM-BALLOON 0 0 105000 100 660 27.92 NO-PREPAY MI 2503177545 FULL/ALT TB1630_BALLOON 0 0 0 100 660 27.92 NO-PREPAY MI 2503177564 REDUCED PF2615_FIXEDRATE 0 0 0 49.57 633 36.77 3YR FALSE 2503177568 NINA SF0630_FIXEDRATE 0 0 0 54.13 692 0 3YR FALSE 2503177571 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 670 32.41 NO-PREPAY MI 2503177574 FULL/ALT PA0605EI_ARM-INTONLY 0 0 165000 100 690 44.29 3YR FALSE 2503177578 FULL/ALT TB0630_BALLOON 0 0 0 100 690 44.29 3YR FALSE 2503177593 REDUCED PA0605EI_ARM-INTONLY 0 421258 84250 94.99 701 28.2 NO-PREPAY MI 2503177594 NINA SA0605EI_ARM-INTONLY 0 0 0 54.9 743 0 3YR TRUE 2503177597 REDUCED TB0630_BALLOON 0 421258 0 94.99 701 28.2 NO-PREPAY MI 2503177605 REDUCED TB1630_BALLOON 0 0 0 88.58 640 39.85 NO-PREPAY MI 2503177637 REDUCED PA0605EI_ARM-INTONLY 0 360000 0 72.23 742 47.05 2YR TRUE 2503177638 REDUCED TB1630_BALLOON 0 0 0 90 661 39.55 1YR FALSE 2503177639 REDUCED PA0605EI_ARM-INTONLY 0 385995 77200 99.99 785 36.19 NO-PREPAY MI 2503177640 REDUCED TB0630_BALLOON 0 385995 0 99.99 785 36.19 NO-PREPAY MI 2503177641 REDUCED PA1605EI_ARM-INTONLY 0 250000 50000 100 669 37.58 1YR FALSE 2503177642 REDUCED TB1630_BALLOON 0 250000 0 100 669 37.58 1YR FALSE 2503177643 REDUCED PA0605EI_ARM-INTONLY 0 525000 131250 100 723 43.37 1YR FALSE 2503177652 REDUCED PA0605EI_ARM-INTONLY 0 315000 78750 100 695 36.95 3YR FALSE 2503177653 REDUCED TB0630_BALLOON 0 315000 0 100 695 36.95 3YR FALSE 2503177673 REDUCED PA2605EI_ARM-INTONLY 0 0 56800 100 635 48.98 2YR FALSE 2503177688 REDUCED TB0630_BALLOON 0 0 0 90 711 38.27 NO-PREPAY MI 2503177718 REDUCED PA0603EI_ARM-INTONLY 0 310000 0 70 766 10.62 3YR TRUE 2503177733 REDUCED PA2605EI_ARM-INTONLY 0 155000 31000 100 626 44.77 NO-PREPAY MI 2503177734 REDUCED TB2630_BALLOON 0 155000 0 100 626 44.67 NO-PREPAY MI 2503177735 REDUCED PA2605EI_ARM-INTONLY 0 480000 96000 100 637 29.14 NO-PREPAY MI 2503177736 REDUCED TB2630I_BALLOON-INTONLY 0 480000 0 100 637 29.14 NO-PREPAY MI 2503177739 REDUCED PA0605EI_ARM-INTONLY 0 117990 29450 99.93 690 35.24 2YR FALSE 2503177740 REDUCED TB0630_BALLOON 0 117990 0 99.93 690 35.24 NO-PREPAY MI 2503177744 REDUCED PF2630I_FIX-INTONLY 0 0 0 28.16 624 36.64 5YR FALSE 2503177757 REDUCED PA1605EI_ARM-INTONLY 0 0 64500 90 649 42.07 NO-PREPAY MI 2503177758 REDUCED TB1630_BALLOON 0 0 0 90 649 42.9 NO-PREPAY MI 2503177781 REDUCED PA1605EI_ARM-INTONLY 0 0 60000 100 653 47.72 NO-PREPAY MI 2503177794 REDUCED TB0630_BALLOON 0 410000 0 90 704 38.41 1YR FALSE 2503177796 REDUCED PA0605EI_ARM-INTONLY 0 0 400000 90.33 780 39.05 5YR TRUE 2503177797 REDUCED TB0630_BALLOON 0 0 0 90.33 780 39.05 3YR FALSE 2503177816 SISA PF2630_FIXEDRATE 0 0 0 58.19 626 39.33 2YR FALSE 2503177829 REDUCED PA0605EI_ARM-INTONLY 0 529000 105800 100 697 47.35 3YR FALSE 2503177830 REDUCED TB0630_BALLOON 0 529000 0 100 697 47.35 3YR FALSE 2503177831 REDUCED PA0605EI_ARM-INTONLY 0 258062 0 79.99 735 48.91 3YR TRUE 2503177907 REDUCED TB0630_BALLOON 0 0 0 90 705 35.97 3YR FALSE 2503177937 REDUCED PA1605EI_ARM-INTONLY 0 209500 52375 100 661 46.14 3YR FALSE 2503177945 REDUCED PA0605EI_ARM-INTONLY 0 334900 83700 99.99 743 29.79 NO-PREPAY MI 2503177947 REDUCED TB1630_BALLOON 0 209500 0 100 661 46.51 3YR FALSE 2503177967 REDUCED PL1605E_ARM-BALLOON 0 0 112500 100 641 38.2 2YR FALSE 2503177968 REDUCED TB1630_BALLOON 0 0 0 100 641 38.2 2YR FALSE 2503177991 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 70 686 41.11 1YR FALSE 2503178003 REDUCED PA0605EI_ARM-INTONLY 0 371000 92750 100 729 41.42 NO-PREPAY MI 2503178004 REDUCED TF0630_FIXEDRATE 0 371000 0 100 729 41.42 NO-PREPAY MI 2503178008 REDUCED PA0605EI_ARM-INTONLY 0 0 0 64.52 689 40.39 1YR FALSE 2503178009 REDUCED PF0630_FIXEDRATE 0 0 0 77.23 682 37.66 3YR FALSE 2503178012 REDUCED PA1605EI_ARM-INTONLY 0 309000 61800 100 640 42.09 3YR FALSE 2503178013 REDUCED TB1630_BALLOON 0 309000 0 100 640 42.09 3YR FALSE 2503178014 REDUCED PA0605EI_ARM-INTONLY 0 370000 62000 100 752 49.92 2YR TRUE 2503178015 REDUCED TB0630I_BALLOON-INTONLY 0 370000 0 100 752 49.92 NO-PREPAY MI 2503178029 REDUCED TB1630_BALLOON 0 0 0 90 653 36.74 1YR FALSE 2503178045 SISA PA0605E_ARM 0 225000 0 73.34 776 40.97 NO-PREPAY MI 2503178053 REDUCED PA1605EI_ARM-INTONLY 0 155990 39000 99.98 666 35.43 3YR FALSE 2503178055 REDUCED PA0605EI_ARM-INTONLY 0 335000 83750 100 728 39.32 3YR TRUE 2503178061 REDUCED TB0630_BALLOON 0 335000 0 100 728 39.32 NO-PREPAY MI 2503178065 REDUCED TB1630_BALLOON 0 155990 0 99.98 666 35.43 3YR FALSE 2503178072 REDUCED PA1605EI_ARM-INTONLY 0 531082 106200 99.99 654 41.2 1YR FALSE 2503178073 REDUCED TB1630_BALLOON 0 531082 0 99.99 654 34.57 1YR FALSE 2503178080 REDUCED TB0630_BALLOON 0 525000 0 100 723 43.37 NO-PREPAY MI 2503178087 REDUCED PA0605EI_ARM-INTONLY 0 616500 123300 100 727 35.65 3YR FALSE 2503178088 REDUCED TB0630_BALLOON 0 616500 0 100 727 35.65 3YR FALSE 2503178115 REDUCED TB2630_BALLOON 0 425000 0 100 636 44.53 3YR FALSE 2503178139 SISA PA0605E_ARM 0 195000 0 80 698 49.21 1YR FALSE 2503178148 REDUCED PF0630_FIXEDRATE 0 635000 95250 90 759 43.56 NO-PREPAY MI 2503178168 REDUCED PA0602EI_ARM-INTONLY 0 265000 66250 100 709 38.16 NO-PREPAY MI 2503178169 REDUCED TB0630_BALLOON 0 265000 0 100 709 38.16 NO-PREPAY MI 2503178185 REDUCED TB0630_BALLOON 0 0 0 90 720 38.17 1YR FALSE 2503178204 REDUCED PA1605EI_ARM-INTONLY 0 610000 152500 100 663 49.19 2YR FALSE 2503178205 REDUCED TB1630_BALLOON 0 610000 0 100 663 49.19 2YR FALSE 2503178211 REDUCED PA0605E_ARM 0 246200 61550 100 742 46.15 NO-PREPAY MI 2503178212 REDUCED TB0630_BALLOON 0 246200 0 100 742 46.15 NO-PREPAY MI 2503178217 REDUCED PA2605EI_ARM-INTONLY 0 259500 51900 100 634 43.34 2YR FALSE 2503178218 REDUCED TB2630_BALLOON 0 259500 0 100 634 43.34 NO-PREPAY MI 2503178234 REDUCED PL1605E_ARM-BALLOON 0 148900 29750 94.97 653 42.28 NO-PREPAY MI 2503178249 REDUCED TB1630_BALLOON 0 148900 0 94.97 653 42.28 NO-PREPAY MI 2503178251 REDUCED PA1605EI_ARM-INTONLY 0 535000 107000 100 642 43.44 3YR FALSE 2503178265 REDUCED TB1630_BALLOON 0 535000 0 100 642 43.44 3YR FALSE 2503178268 REDUCED PF0630I_FIX-INTONLY 0 300000 75000 100 716 45.22 1YR FALSE 2503178269 REDUCED TB0630_BALLOON 0 300000 0 100 716 45.22 NO-PREPAY MI 2503178275 REDUCED PF0630I_FIX-INTONLY 0 201900 40350 99.98 756 44.5 2YR FALSE 2503178276 REDUCED TB0630_BALLOON 0 201900 0 99.98 756 44.5 2YR FALSE 2503178294 REDUCED PA0605EI_ARM-INTONLY 0 555000 96400 97.37 697 45.11 NO-PREPAY MI 2503178295 REDUCED TB0630_BALLOON 0 555000 0 97.37 697 45.11 NO-PREPAY MI 2503178311 SISA PA1605EI_ARM-INTONLY 0 0 0 42.36 653 43.8 3YR FALSE 2503178318 REDUCED PA0605EI_ARM-INTONLY 0 690000 138000 90 752 30.64 1YR FALSE 2503178319 REDUCED TB0630_BALLOON 0 690000 0 90 752 30.63 NO-PREPAY MI 2503178327 REDUCED TB0630_BALLOON 0 0 0 90 759 40.02 1YR FALSE 2503178332 REDUCED TB0630_BALLOON 0 0 0 83.71 741 36.22 NO-PREPAY MI 2503178333 NO RATIO SF0630I_FIX-INTONLY 0 0 0 75 706 0 2YR FALSE 2503178334 REDUCED PA0605EI_ARM-INTONLY 0 820000 164000 95 690 40.33 3YR FALSE 2503178335 REDUCED TB0630_BALLOON 0 820000 0 95 690 40.33 3YR FALSE 2503178344 REDUCED PA0605E_ARM 0 0 0 47.06 714 15.72 3YR FALSE 2503178349 REDUCED PA1605EI_ARM-INTONLY 0 0 71460 100 669 40.83 3YR FALSE 2503178358 REDUCED TB1630_BALLOON 0 0 0 90 668 39.59 NO-PREPAY MI 2503178374 REDUCED PA1605EI_ARM-INTONLY 0 298730 59746 100 654 44.26 NO-PREPAY MI 2503178375 REDUCED TB1630_BALLOON 0 298730 0 100 654 44.26 NO-PREPAY MI 2503178383 SISA PA0605EI_ARM-INTONLY 0 0 0 72.6 693 36.44 NO-PREPAY MI 2503178396 REDUCED PA1605EI_ARM-INTONLY 0 141900 28350 94.97 648 49.89 2YR TRUE 2503178418 REDUCED PF1430_FIXEDRATE 25 550000 0 90 658 40.16 1YR FALSE 2503178423 REDUCED PA0607EI_ARM-INTONLY 0 419000 104750 100 785 43.04 1YR FALSE 2503178424 REDUCED PA0605EI_ARM-INTONLY 0 0 62000 84.92 688 37.47 1YR FALSE 2503178425 REDUCED TB0630_BALLOON 0 0 0 84.92 688 37.47 1YR FALSE 2503178431 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 66.94 636 0 2YR FALSE 2503178451 REDUCED PA0605E_ARM 0 0 86800 95 687 30.54 3YR FALSE 2503178452 REDUCED TB0630_BALLOON 0 0 0 95 687 30.54 3YR FALSE 2503178454 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 652 36.57 2YR FALSE 2503178456 NO RATIO SF0630I_FIX-INTONLY 0 0 0 75 706 0 2YR FALSE 2503178457 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65.91 729 37.24 NO-PREPAY MI 2503178475 FULL/ALT PA0605EI_ARM-INTONLY 0 0 43650 100 753 38.7 2YR FALSE 2503178476 FULL/ALT TB0630_BALLOON 0 0 0 100 753 38.7 NO-PREPAY MI 2503178517 REDUCED PL1605E_ARM-BALLOON 0 409000 81800 100 663 40.89 1YR FALSE 2503178518 REDUCED TB1630_BALLOON 0 409000 0 100 663 40.89 1YR FALSE 2503178519 REDUCED PA1605EI_ARM-INTONLY 0 641495 128300 100 648 48.42 NO-PREPAY MI 2503178520 REDUCED TB1630_BALLOON 0 641495 0 100 648 48.42 NO-PREPAY MI 2503178525 REDUCED PA0605EI_ARM-INTONLY 0 689900 137950 100 700 40.06 1YR FALSE 2503178526 REDUCED TB0630_BALLOON 0 689900 0 100 700 40.06 NO-PREPAY MI 2503178545 REDUCED TB0630_BALLOON 0 0 0 89.88 747 31.27 3YR FALSE 2503178566 REDUCED PA0605EI_ARM-INTONLY 0 270000 54000 100 693 40.55 NO-PREPAY MI 2503178567 REDUCED TB0630_BALLOON 0 270000 0 100 693 40.55 NO-PREPAY MI 2503178586 REDUCED TB1630_BALLOON 0 530000 0 100 671 49.44 3YR FALSE 2503178591 REDUCED TB1630_BALLOON 0 0 0 90 651 37.83 3YR FALSE 2503178613 REDUCED PA2605EI_ARM-INTONLY 0 624000 62400 90 636 41.55 NO-PREPAY MI 2503178614 REDUCED TB2630_BALLOON 0 624000 0 90 636 41.54 NO-PREPAY MI 2503178622 REDUCED PA1605EI_ARM-INTONLY 0 0 0 57.63 665 25.43 3YR FALSE 2503178656 NINA SA2605EI_ARM-INTONLY 0 0 0 48.64 634 0 3YR FALSE 2503178661 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.8 666 30.41 3YR FALSE 2503178699 REDUCED PA1605EI_ARM-INTONLY 0 0 223000 90 662 49.22 NO-PREPAY MI 2503178727 REDUCED PA1605EI_ARM-INTONLY 0 490000 98000 100 642 40.11 1YR FALSE 2503178728 REDUCED TB1630_BALLOON 0 490000 0 100 642 40.11 NO-PREPAY MI 2503178744 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65 691 41.63 NO-PREPAY MI 2503178767 REDUCED PA1605E_ARM 0 0 104995 89.09 643 41.39 5YR TRUE 2503178768 REDUCED TB1630_BALLOON 0 0 0 89.09 643 41.39 NO-PREPAY MI 2503178786 REDUCED PA1605EI_ARM-INTONLY 0 0 0 74.55 643 41.05 1YR FALSE 2503178791 REDUCED PA0605EI_ARM-INTONLY 0 0 0 45.3 708 39.65 2YR TRUE 2503178801 REDUCED PA0605EI_ARM-INTONLY 0 715000 178750 100 717 48.92 1YR FALSE 2503178802 REDUCED TB0630_BALLOON 0 715000 0 100 717 49.33 NO-PREPAY MI 2503178816 REDUCED PA1605EI_ARM-INTONLY 0 329000 82250 100 679 41.99 NO-PREPAY MI 2503178817 REDUCED TB1630_BALLOON 0 329000 0 100 679 41.73 NO-PREPAY MI 2503178834 REDUCED PA0605EI_ARM-INTONLY 0 112000 0 80 686 29.34 NO-PREPAY MI 2503178850 REDUCED PL0605E_ARM-BALLOON 0 0 0 59.29 705 43.9 2YR FALSE 2503178876 REDUCED PA1605E_ARM 0 0 0 80 648 50.83 3YR FALSE 2503178877 FULL/ALT PF0630I_FIX-INTONLY 0 0 0 30.18 773 2.6 5YR FALSE 2503178882 REDUCED PF2630I_FIX-INTONLY 0 0 0 80 634 32.35 2YR FALSE 2503178898 REDUCED PA1605EI_ARM-INTONLY 0 460000 92000 100 641 30.67 3YR FALSE 2503178899 REDUCED TB1630_BALLOON 0 460000 0 100 641 30.23 3YR FALSE 2503178901 REDUCED PA0605EI_ARM-INTONLY 0 449000 112250 100 772 44.78 3YR FALSE 2503178902 REDUCED TB0630_BALLOON 0 449000 0 100 772 44.78 3YR FALSE 2503178907 REDUCED PB1640_BALLOON 0 0 0 70 647 40.99 5YR FALSE 2503178908 REDUCED PA0605EI_ARM-INTONLY 0 420000 105000 100 709 38.81 1YR FALSE 2503178909 REDUCED TB0630_BALLOON 0 420000 0 100 709 38.81 NO-PREPAY MI 2503178913 REDUCED PA1605EI_ARM-INTONLY 0 405990 0 79.77 655 36.24 3YR FALSE 2503178916 NINA SA1605E_ARM 0 0 0 79.78 677 0 NO-PREPAY MI 2503178922 REDUCED PA1605EI_ARM-INTONLY 0 398000 99500 100 647 44.75 2YR FALSE 2503178923 REDUCED TB1630_BALLOON 0 398000 0 100 647 44.75 2YR FALSE 2503178950 REDUCED PA1605EI_ARM-INTONLY 0 696000 174000 100 640 38.09 NO-PREPAY MI 2503178951 REDUCED TB1630_BALLOON 0 696000 0 100 640 38.27 NO-PREPAY MI 2503178969 REDUCED PA0605EI_ARM-INTONLY 0 325000 81250 100 695 44.74 2YR FALSE 2503178970 REDUCED TB0630_BALLOON 0 325000 0 100 695 44.74 3YR FALSE 2503178980 REDUCED PA0605EI_ARM-INTONLY 0 265000 53000 100 769 43.25 3YR FALSE 2503178981 REDUCED TB0630_BALLOON 0 265000 0 100 769 43.25 3YR FALSE 2503179002 REDUCED PA0605EI_ARM-INTONLY 0 0 0 69.7 755 37.96 1YR FALSE 2503179016 REDUCED PA0605EI_ARM-INTONLY 0 485000 97000 100 680 37.77 2YR FALSE 2503179017 REDUCED TB0630_BALLOON 0 485000 0 100 680 37.77 NO-PREPAY MI 2503179020 REDUCED PA0605EI_ARM-INTONLY 0 825000 206250 100 752 28.79 1YR FALSE 2503179026 REDUCED PA1605E_ARM 0 0 100000 100 651 49.43 3YR FALSE 2503179029 REDUCED TB1630_BALLOON 0 0 0 100 651 37.48 3YR FALSE 2503179032 REDUCED PL0405E_ARM-BALLOON 30 168000 0 95 698 33.97 1YR FALSE 2503179045 REDUCED PA0605EI_ARM-INTONLY 0 600000 90000 90 710 37.24 5YR FALSE 2503179050 REDUCED TB1630_BALLOON 0 0 0 90 643 38.07 NO-PREPAY MI 2503179060 FULL/ALT PF1630I_FIX-INTONLY 0 0 0 60 655 37.51 3YR FALSE 2503179111 REDUCED PA2605EI_ARM-INTONLY 0 0 56000 100 630 35.53 3YR TRUE 2503179112 REDUCED TB2630_BALLOON 0 0 0 100 630 35.53 1YR FALSE 2503179120 REDUCED PA0605E_ARM 0 117000 23400 95 724 42.89 NO-PREPAY MI 2503179121 REDUCED TB0630_BALLOON 0 117000 0 95 724 42.89 NO-PREPAY MI 2503179123 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.68 644 38.53 1YR FALSE 2503179182 REDUCED PA0605EI_ARM-INTONLY 0 0 117500 100 727 49.86 2YR FALSE 2503179183 REDUCED TB0630_BALLOON 0 0 0 100 727 49.86 2YR FALSE 2503179203 REDUCED PA1605EI_ARM-INTONLY 0 319782 63956 100 646 49.44 NO-PREPAY MI 2503179204 REDUCED TB1630_BALLOON 0 319782 0 100 646 48.45 NO-PREPAY MI 2503179210 REDUCED PA2605EI_ARM-INTONLY 0 0 54000 92 632 44.92 5YR TRUE 2503179223 REDUCED PA0605EI_ARM-INTONLY 0 0 83000 95 709 41.72 3YR FALSE 2503179224 REDUCED TB0630_BALLOON 0 0 0 95 709 41.72 NO-PREPAY MI 2503179239 REDUCED PA0605EI_ARM-INTONLY 0 370000 92500 100 709 38.76 NO-PREPAY MI 2503179257 REDUCED PA1605EI_ARM-INTONLY 0 0 0 75 679 46.33 3YR FALSE 2503179270 REDUCED PA1605EI_ARM-INTONLY 0 365000 73000 100 667 39.61 2YR FALSE 2503179271 REDUCED TB1630_BALLOON 0 365000 0 100 667 39.61 NO-PREPAY MI 2503179275 REDUCED PA0605EI_ARM-INTONLY 0 0 104000 94.1 704 39.84 1YR FALSE 2503179276 REDUCED TB0630_BALLOON 0 0 0 94.1 704 39.84 1YR FALSE 2503179280 REDUCED PF2630I_FIX-INTONLY 0 0 37000 100 630 40.65 NO-PREPAY MI 2503179281 REDUCED PA2605EI_ARM-INTONLY 0 270000 54000 100 625 44.23 3YR FALSE 2503179282 REDUCED TB2630_BALLOON 0 270000 0 100 625 44.23 3YR FALSE 2503179285 REDUCED PA0603EI_ARM-INTONLY 0 701000 175250 100 713 49.25 3YR FALSE 2503179286 REDUCED TB0630_BALLOON 0 701000 0 100 713 49.25 3YR FALSE 2503179291 REDUCED PF0630I_FIX-INTONLY 0 0 0 63 705 33.91 3YR TRUE 2503179316 NINA EA2605EI_ARM-INTONLY 30 360000 0 95 678 0 1YR FALSE 2503179320 REDUCED PL0605E_ARM-BALLOON 0 0 0 78.42 715 32.37 2YR FALSE 2503179329 REDUCED PF2630_FIXEDRATE 0 0 0 59.29 630 42.47 3YR FALSE 2503179368 REDUCED PA0605EI_ARM-INTONLY 0 0 78750 100 758 33.61 1YR FALSE 2503179369 REDUCED TB0630_BALLOON 0 0 0 100 758 33.61 1YR FALSE 2503179389 REDUCED PA0605EI_ARM-INTONLY 0 287000 71750 100 680 44.21 5YR FALSE 2503179390 REDUCED TB0630_BALLOON 0 287000 0 100 680 44.21 5YR FALSE 2503179396 REDUCED TB0630_BALLOON 0 825000 0 100 752 28.79 NO-PREPAY MI 2503179411 REDUCED PA1605EI_ARM-INTONLY 0 0 0 68.47 656 41.81 NO-PREPAY MI 2503179419 REDUCED PA1605EI_ARM-INTONLY 0 0 0 80 644 38.89 3YR FALSE 2503179421 REDUCED PA0605EI_ARM-INTONLY 0 0 112000 95.19 687 43.63 3YR FALSE 2503179422 REDUCED TB0630_BALLOON 0 0 0 97.84 687 42.69 3YR FALSE 2503179468 REDUCED TB0630_BALLOON 0 390000 0 90 685 39.9 1YR FALSE 2503179478 REDUCED TB1630_BALLOON 0 0 0 90 646 36.38 3YR FALSE 2503179524 NINA SA0605EI_ARM-INTONLY 0 0 0 80 701 0 2YR FALSE 2503179533 REDUCED PA1605E_ARM 0 295000 73750 100 648 44.9 1YR FALSE 2503179534 REDUCED TB1630_BALLOON 0 295000 0 100 648 44.9 NO-PREPAY MI 2503179539 REDUCED PA0605EI_ARM-INTONLY 0 181895 45450 94.98 704 31.32 NO-PREPAY MI 2503179545 REDUCED PA1605EI_ARM-INTONLY 0 259000 51800 100 671 49.12 3YR FALSE 2503179546 REDUCED TB1630_BALLOON 0 259000 0 100 671 50.51 3YR FALSE 2503179586 REDUCED PA0605EI_ARM-INTONLY 0 115000 28750 100 699 48.02 2YR FALSE 2503179590 REDUCED PF1630I_FIX-INTONLY 0 0 150000 91.47 673 39.08 3YR FALSE 2503179591 REDUCED TB1630_BALLOON 0 0 0 91.47 673 39.08 3YR FALSE 2503179593 REDUCED PA0605EI_ARM-INTONLY 0 561800 140450 100 692 42.96 1YR FALSE 2503179594 REDUCED TB0630_BALLOON 0 561800 0 100 692 42.96 NO-PREPAY MI 2503179596 REDUCED TB0630_BALLOON 0 0 0 90 698 37.2 3YR FALSE 2503179601 REDUCED TB1630_BALLOON 0 0 0 90 646 40 NO-PREPAY MI 2503179613 REDUCED TB1630_BALLOON 0 598000 0 90 642 37.96 3YR FALSE 2503179615 REDUCED TB0630_BALLOON 0 600000 0 90 705 35.74 3YR FALSE 2503179621 REDUCED TB0630_BALLOON 0 0 0 84.36 707 38.47 3YR FALSE 2503179625 REDUCED PF1630I_FIX-INTONLY 0 430000 86000 100 661 41.08 NO-PREPAY MI 2503179626 REDUCED TB1630_BALLOON 0 430000 0 100 661 41.08 NO-PREPAY MI 2503179642 REDUCED PA0605EI_ARM-INTONLY 0 865000 173000 95 680 22.27 1YR FALSE 2503179644 REDUCED PA0605EI_ARM-INTONLY 0 0 100000 84.87 743 43.22 3YR TRUE 2503179648 REDUCED PF0630_FIXEDRATE 0 0 0 79.69 715 33.01 NO-PREPAY MI 2503179649 REDUCED PA0605EI_ARM-INTONLY 0 132000 0 79.55 686 45.11 NO-PREPAY MI 2503179678 REDUCED PA2605E_ARM 0 250000 50000 100 632 40.15 1YR FALSE 2503179679 REDUCED TB2630_BALLOON 0 250000 0 100 632 40.15 1YR FALSE 2503179687 REDUCED PA2605EI_ARM-INTONLY 0 0 285000 100 621 42.43 3YR FALSE 2503179757 REDUCED TB0630_BALLOON 0 0 0 90 699 39.07 NO-PREPAY MI 2503179761 REDUCED PA0607EI_ARM-INTONLY 0 0 77000 100 730 40.22 3YR FALSE 2503179769 REDUCED TB0630_BALLOON 0 0 0 100 730 40.22 3YR FALSE 2503179811 REDUCED PF0630_FIXEDRATE 0 0 0 80 681 48.99 2YR FALSE 2503179812 REDUCED PA0605EI_ARM-INTONLY 0 0 0 65 699 38.35 3YR FALSE 2503179849 REDUCED PA0605EI_ARM-INTONLY 0 0 36000 95 727 48.46 NO-PREPAY MI 2503179850 REDUCED TB0630_BALLOON 0 0 0 95 727 48.46 NO-PREPAY MI 2503179858 REDUCED PA2605EI_ARM-INTONLY 0 0 180000 100 625 36.05 3YR TRUE 2503179859 REDUCED TF2630_FIXEDRATE 0 0 0 100 625 36.05 NO-PREPAY MI 2503179860 REDUCED PA1605EI_ARM-INTONLY 0 378000 37800 90 645 42.77 NO-PREPAY MI 2503179861 REDUCED TB1630_BALLOON 0 378000 0 90 645 42.77 NO-PREPAY MI 2503179864 FULL/ALT PA0605EI_ARM-INTONLY 0 265000 53000 100 758 30.02 3YR FALSE 2503179866 REDUCED TB0630_BALLOON 0 265000 0 100 758 31.22 3YR FALSE 2503179892 FULL/ALT PA1605E_ARM 0 324900 0 80 640 45 NO-PREPAY MI 2503179898 REDUCED PA0605EI_ARM-INTONLY 0 0 0 59.38 708 33.14 NO-PREPAY MI 2503179915 REDUCED PA1605EI_ARM-INTONLY 0 369000 92250 100 679 41 NO-PREPAY MI 2503179916 REDUCED TB1630_BALLOON 0 369000 0 100 679 41 NO-PREPAY MI 2503179920 REDUCED PF1630I_FIX-INTONLY 0 0 0 73 653 37.46 1YR FALSE 2503179921 REDUCED PA0605EI_ARM-INTONLY 0 157231 31500 90 729 16.41 2YR TRUE 2503179923 REDUCED PA2605EI_ARM-INTONLY 0 0 84000 100 621 37.23 3YR FALSE 2503179928 REDUCED TB2630_BALLOON 0 0 0 100 621 39.37 3YR FALSE 2503179934 REDUCED PA0605EI_ARM-INTONLY 0 328000 82000 100 701 44.34 NO-PREPAY MI 2503179935 REDUCED TB0630_BALLOON 0 328000 0 100 701 44.34 NO-PREPAY MI 2503179942 REDUCED TB0630_BALLOON 0 157231 0 90 729 16.41 1YR FALSE 2503179945 REDUCED PA0605EI_ARM-INTONLY 0 0 0 53.03 712 44.23 NO-PREPAY MI 2503179946 REDUCED PF2630I_FIX-INTONLY 0 220000 44000 100 637 30.26 3YR FALSE 2503179947 REDUCED TB2630_BALLOON 0 220000 0 100 637 30.26 3YR FALSE 2503179975 REDUCED PA0605EI_ARM-INTONLY 0 182000 36400 95 681 48.08 NO-PREPAY MI 2503179984 REDUCED PA0605EI_ARM-INTONLY 0 0 138000 100 686 46.41 3YR FALSE 2503179985 REDUCED TB0630_BALLOON 0 0 0 100 686 46.41 3YR FALSE 2503179999 REDUCED PF0630_FIXEDRATE 0 158000 31600 95 722 43.35 NO-PREPAY MI 2503180000 REDUCED TB0630_BALLOON 0 158000 0 95 722 43.35 NO-PREPAY MI 2503180006 REDUCED PA0605E_ARM 0 0 92500 100 735 46.79 1YR FALSE 2503180007 REDUCED TB0630_BALLOON 0 0 0 100 735 46.79 NO-PREPAY MI 2503180016 FULL/ALT PA1605E_ARM 0 144000 0 80 679 38.92 NO-PREPAY MI 2503180027 REDUCED TB1630_BALLOON 0 0 0 90 666 39.62 NO-PREPAY MI 2503180031 REDUCED PA0605EI_ARM-INTONLY 0 395000 79000 100 731 44.91 NO-PREPAY MI 2503180037 REDUCED TB0630_BALLOON 0 395000 0 100 731 44.91 NO-PREPAY MI 2503180043 REDUCED PL3605E_ARM-BALLOON 0 392900 0 80 613 43.96 NO-PREPAY MI 2503180058 REDUCED TB0630_BALLOON 0 860000 0 84.63 746 40 NO-PREPAY MI 2503180088 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74.92 754 48 NO-PREPAY MI 2503180112 REDUCED PL0605E_ARM-BALLOON 0 0 29000 89.82 727 42.72 3YR TRUE 2503180113 REDUCED TB0630_BALLOON 0 0 0 89.82 727 42.72 3YR FALSE 2503180130 REDUCED PA2605E_ARM 0 218000 43600 100 636 46.43 3YR FALSE 2503180177 REDUCED PA1605EI_ARM-INTONLY 0 300000 60000 100 643 39.17 1YR FALSE 2503180178 REDUCED PF1630_FIXEDRATE 0 0 0 29.49 655 39.52 1YR FALSE 2503180188 REDUCED PA1605EI_ARM-INTONLY 0 0 0 39.34 656 40.11 NO-PREPAY MI 2503180208 REDUCED PA1602E_ARM 0 219900 43980 100 650 41.73 3YR FALSE 2503180209 REDUCED TB1630_BALLOON 0 219900 0 100 650 41.73 3YR FALSE 2503180229 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 733 43.62 2YR FALSE 2503180259 REDUCED PF2630_FIXEDRATE 0 0 41800 100 628 42.98 3YR FALSE 2503180277 REDUCED PA1605EI_ARM-INTONLY 0 0 50750 100 666 47.66 3YR FALSE 2503180279 REDUCED TB1630_BALLOON 0 0 0 100 666 47.66 3YR FALSE 2503180296 REDUCED PA1605E_ARM 0 0 0 78.19 668 47.69 2YR FALSE 2503180312 REDUCED PA2605E_ARM 0 0 0 80 620 31.35 NO-PREPAY MI 2503180321 REDUCED PA0605EI_ARM-INTONLY 0 550000 137500 100 738 34.37 NO-PREPAY MI 2503180322 REDUCED PA1605EI_ARM-INTONLY 0 0 50600 95 641 44.26 3.5YR TRUE 2503180324 REDUCED TB1630_BALLOON 0 0 0 95 641 44.26 NO-PREPAY MI 2503180329 FULL/ALT PA1605E_ARM 0 0 39600 95 659 40.42 NO-PREPAY MI 2503180330 FULL/ALT TB1630_BALLOON 0 0 0 95 659 40.43 NO-PREPAY MI 2503180334 REDUCED TB0630_BALLOON 0 550000 0 100 738 34.37 NO-PREPAY MI 2503180336 REDUCED PA0605EI_ARM-INTONLY 0 671500 167850 100 767 45.7 1YR FALSE 2503180337 REDUCED TB0630_BALLOON 0 671500 0 100 767 45.7 1YR FALSE 2503180347 REDUCED PA0605EI_ARM-INTONLY 0 0 55750 99.24 702 19.88 NO-PREPAY MI 2503180359 REDUCED PA1605EI_ARM-INTONLY 0 0 100000 79.79 640 36.89 2YR FALSE 2503180367 FULL/ALT PL2605E_ARM-BALLOON 0 0 0 77.42 620 35.22 1YR FALSE 2503180407 REDUCED PA2605EI_ARM-INTONLY 0 0 110100 95 624 45.33 1YR FALSE 2503180408 REDUCED TB2630_BALLOON 0 0 0 95 624 45.33 1YR FALSE 2503180419 REDUCED PL0605E_ARM-BALLOON 0 183000 36600 95 695 29.73 NO-PREPAY MI 2503180445 REDUCED TB0630_BALLOON 0 0 0 90 728 38.65 2YR FALSE 2503180449 REDUCED PA2605EI_ARM-INTONLY 0 0 29250 95 624 31.4 3YR FALSE 2503180461 REDUCED PF0630I_FIX-INTONLY 0 590700 118100 100 739 45 3YR FALSE 2503180463 REDUCED TB2630_BALLOON 0 0 0 95 624 31.4 NO-PREPAY MI 2503180470 REDUCED PA0605EI_ARM-INTONLY 0 585000 87750 95 731 13.35 2YR FALSE 2503180471 REDUCED TB0630_BALLOON 0 585000 0 95 731 13.35 1YR FALSE 2503180496 REDUCED TB0630_BALLOON 0 183000 0 95 695 29.73 NO-PREPAY MI 2503180518 REDUCED PA1605E_ARM 0 164900 24700 94.97 675 44.41 2YR TRUE 2503180535 REDUCED PA0605EI_ARM-INTONLY 0 0 48000 100 684 31.29 NO-PREPAY MI 2503180536 REDUCED TB0630_BALLOON 0 0 0 100 684 31.29 NO-PREPAY MI 2503180542 REDUCED PA0605EI_ARM-INTONLY 0 549000 82350 95 773 26.26 NO-PREPAY MI 2503180543 REDUCED TB0630_BALLOON 0 549000 0 95 773 26.26 NO-PREPAY MI 2503180587 REDUCED PA2605EI_ARM-INTONLY 0 0 68550 95 638 31.73 NO-PREPAY MI 2503180595 REDUCED PA0605EI_ARM-INTONLY 0 670000 134000 95 753 32.52 1YR FALSE 2503180601 REDUCED PA0605EI_ARM-INTONLY 0 0 46750 100 735 38.64 1YR FALSE 2503180630 REDUCED PA1605EI_ARM-INTONLY 0 381800 76400 100 644 28.64 1YR FALSE 2503180631 REDUCED TB1630_BALLOON 0 381800 0 100 644 28.51 1YR FALSE 2503180653 NINA SA0605EI_ARM-INTONLY 25 330000 0 90 793 0 1YR TRUE 2503180688 REDUCED PA2605EI_ARM-INTONLY 0 457900 0 80 638 27.46 NO-PREPAY MI 2503180690 REDUCED TB1630_BALLOON 0 0 0 90 648 39.62 3YR FALSE 2503180692 REDUCED PF1630_FIXEDRATE 0 473000 94600 100 657 43.75 NO-PREPAY MI 2503180693 REDUCED TB1630_BALLOON 0 473000 0 100 657 43.75 NO-PREPAY MI 2503180700 REDUCED TB1630_BALLOON 0 640000 0 90 665 38.45 3YR FALSE 2503180703 REDUCED TB1630_BALLOON 0 0 0 88.19 640 38.49 3YR FALSE 2503180714 REDUCED PA2605EI_ARM-INTONLY 0 0 211250 100 625 49.42 NO-PREPAY MI 2503180718 SISA PA0605EI_ARM-INTONLY 25 500000 50000 100 686 41.28 NO-PREPAY MI 2503180726 SISA PA2605EI_ARM-INTONLY 0 0 0 67 632 51.31 1YR FALSE 2503180729 REDUCED PA1605EI_ARM-INTONLY 0 0 60000 100 646 49.79 NO-PREPAY MI 2503180730 REDUCED TB1630_BALLOON 0 0 0 100 646 49.79 NO-PREPAY MI 2503180742 REDUCED PA0605EI_ARM-INTONLY 0 770000 192500 100 683 46.25 3YR FALSE 2503180762 REDUCED PA0605EI_ARM-INTONLY 0 393000 78600 100 703 49 3YR FALSE 2503180763 REDUCED TB0630_BALLOON 0 393000 0 100 703 49 3YR FALSE 2503180779 REDUCED PA1605EI_ARM-INTONLY 0 200000 40000 100 668 23.45 2YR FALSE 2503180780 REDUCED TB1630_BALLOON 0 200000 0 100 668 23.64 NO-PREPAY MI 2503180781 REDUCED PA1607EI_ARM-INTONLY 0 2275000 227500 80 654 24.37 3YR FALSE 2503180786 REDUCED PA1605EI_ARM-INTONLY 0 305000 61000 100 670 44.39 NO-PREPAY MI 2503180793 REDUCED TB1630_BALLOON 0 305000 0 100 670 44.39 NO-PREPAY MI 2503180811 REDUCED PA1605EI_ARM-INTONLY 0 0 0 74.84 665 42.78 1YR FALSE 2503180812 REDUCED PA0605EI_ARM-INTONLY 0 0 0 74 714 45.17 1YR FALSE 2503180823 REDUCED TB2630_BALLOON 0 0 0 100 628 42.98 NO-PREPAY MI 2503180828 NINA SA2605EI_ARM-INTONLY 0 0 0 64 641 0 3YR FALSE 2503180835 REDUCED PA1605EI_ARM-INTONLY 0 890000 222500 100 647 44.68 3YR FALSE 2503180845 REDUCED PA1605EI_ARM-INTONLY 0 0 0 62.81 644 29.8 2YR FALSE 2503180874 REDUCED PA2605EI_ARM-INTONLY 0 205000 41000 100 638 29.05 2YR FALSE 2503180875 REDUCED TB2630_BALLOON 0 205000 0 100 638 29.05 2YR FALSE 2503180877 REDUCED PA1605EI_ARM-INTONLY 0 0 76250 100 662 35.36 3YR FALSE 2503180878 REDUCED TB1630_BALLOON 0 0 0 100 662 35.36 3YR FALSE 2503180903 REDUCED PA0605EI_ARM-INTONLY 0 299900 74975 95 684 21.25 3YR FALSE 2503180957 REDUCED PA1605EI_ARM-INTONLY 0 462300 0 80 640 35.41 1YR FALSE 2503180966 REDUCED PA0605E_ARM 0 0 62000 100 700 41.5 2YR FALSE 2503180967 REDUCED TB0630_BALLOON 0 0 0 100 700 41.5 NO-PREPAY MI 2503180998 REDUCED PA1605E_ARM 0 281000 56200 100 655 46.29 NO-PREPAY MI 2503180999 REDUCED TB1630_BALLOON 0 281000 0 100 655 46.29 NO-PREPAY MI 2503181009 REDUCED TB1630_BALLOON 0 0 0 85 649 38.43 NO-PREPAY MI 2503181012 REDUCED PA1605EI_ARM-INTONLY 0 0 99000 95 645 40.61 1YR FALSE 2503181013 REDUCED TB1630_BALLOON 0 0 0 95 645 40.61 NO-PREPAY MI 2503181020 REDUCED PA1605E_ARM 0 0 78750 100 667 47.36 NO-PREPAY MI 2503181021 REDUCED TB1630_BALLOON 0 0 0 100 667 47.36 NO-PREPAY MI 2503181029 REDUCED TB1630_BALLOON 0 0 0 90 670 38.35 1YR FALSE 2503181045 REDUCED PA0605EI_ARM-INTONLY 0 590000 87900 89.9 686 35.65 1YR TRUE 2503181055 REDUCED PA2605E_ARM 0 199900 39950 99.98 620 43.23 NO-PREPAY MI 2503181067 REDUCED PA1605EI_ARM-INTONLY 0 399000 99750 100 649 44.46 NO-PREPAY MI 2503181068 REDUCED TB1630_BALLOON 0 399000 0 100 649 44.46 NO-PREPAY MI 2503181086 REDUCED PA0605EI_ARM-INTONLY 0 0 49500 90 704 29.22 NO-PREPAY MI 2503181103 REDUCED PA0605EI_ARM-INTONLY 0 500000 100000 100 736 45.54 3YR FALSE 2503181104 REDUCED TB0630_BALLOON 0 500000 0 100 736 45.54 3YR FALSE 2503181117 REDUCED PA0605EI_ARM-INTONLY 0 615000 153750 100 688 41.99 3YR FALSE 2503181152 REDUCED PA0605EI_ARM-INTONLY 0 535000 107000 100 739 49.89 3YR TRUE 2503181153 REDUCED TB0630_BALLOON 0 535000 0 100 739 49.89 NO-PREPAY MI 2503181170 REDUCED PA1605EI_ARM-INTONLY 0 0 147000 100 645 45.39 1YR FALSE 2503181171 REDUCED TB1630_BALLOON 0 0 0 100 645 45.4 NO-PREPAY MI 2503181183 REDUCED PA0605EI_ARM-INTONLY 0 0 132500 100 723 35.54 3YR TRUE 2503181184 REDUCED TB0630_BALLOON 0 0 0 100 723 35.49 NO-PREPAY MI 2503181185 REDUCED PA0605EI_ARM-INTONLY 0 165000 24750 90 759 33.42 3YR FALSE 2503181186 REDUCED TB0630_BALLOON 0 165000 0 90 759 33.42 3YR FALSE 2503181200 REDUCED PA2605EI_ARM-INTONLY 0 248900 62250 100 625 43.89 3YR FALSE 2503181202 REDUCED PA1605EI_ARM-INTONLY 0 850000 170000 100 674 44.51 3YR FALSE 2503181203 REDUCED TB1630_BALLOON 0 850000 0 100 674 44.51 NO-PREPAY MI 2503181215 REDUCED PA1605EI_ARM-INTONLY 0 390000 117000 100 676 45.3 3YR FALSE 2503181218 REDUCED PA2605EI_ARM-INTONLY 0 0 0 75 631 25.24 NO-PREPAY MI 2503181228 REDUCED PA0603EI_ARM-INTONLY 0 0 0 51.62 802 30.85 NO-PREPAY MI 2503181245 REDUCED PA0605EI_ARM-INTONLY 0 0 54200 95 713 22.15 3YR TRUE 2503181246 REDUCED TB0630_BALLOON 0 0 0 95 713 22.15 3YR FALSE 2503181257 REDUCED PA1605EI_ARM-INTONLY 0 295000 59000 90 652 47.42 NO-PREPAY MI 2503181268 REDUCED PA2605E_ARM 0 0 0 80 636 40.71 2YR FALSE 2503181274 REDUCED TB0630_BALLOON 0 0 0 90 734 40.11 3YR FALSE 2503181314 REDUCED PA0605EI_ARM-INTONLY 0 0 144000 100 718 49.92 3YR FALSE 2503181315 REDUCED TB0630_BALLOON 0 0 0 100 718 49.85 3YR FALSE 2503181324 REDUCED PA0605EI_ARM-INTONLY 0 0 100000 95 688 37.51 5YR FALSE 2503181351 NINA SA0605EI_ARM-INTONLY 0 0 0 66.19 725 0 3YR TRUE 2503181370 NINA SA0605EI_ARM-INTONLY 30 264803 0 95 698 0 1YR FALSE 2503181387 REDUCED PA1605E_ARM 0 336500 84100 99.99 659 45.88 1YR FALSE 2503181391 REDUCED PA1605EI_ARM-INTONLY 0 800000 200000 100 653 45.37 NO-PREPAY MI 2503181392 REDUCED TB1630_BALLOON 0 800000 0 100 653 45.66 NO-PREPAY MI 2503181398 REDUCED PA0605EI_ARM-INTONLY 0 0 0 75 715 49.2 3YR FALSE 2503181407 REDUCED PA2605EI_ARM-INTONLY 0 568715 0 80 625 43.84 1YR FALSE 2503181418 REDUCED PA0605EI_ARM-INTONLY 0 245301 61325 95 712 44.95 3YR TRUE 2503181419 REDUCED TB0630_BALLOON 0 245301 0 95 712 44.95 NO-PREPAY MI 2503181434 REDUCED PL3605E_ARM-BALLOON 0 0 0 62.99 609 35.68 2YR FALSE 2503181481 REDUCED PA2605EI_ARM-INTONLY 0 0 36000 90 629 49.85 2YR TRUE 2503181493 FULL/ALT PA0605EI_ARM-INTONLY 0 0 22500 89.67 727 39.46 NO-PREPAY MI 2503181495 REDUCED PF0630I_FIX-INTONLY 0 371990 74440 100 707 43.51 3YR FALSE 2503181526 REDUCED PA1605EI_ARM-INTONLY 0 0 45000 90 667 42.3 3YR TRUE 2503181528 REDUCED TB0630_BALLOON 0 0 0 90 690 35.21 3YR FALSE 2503181603 REDUCED TB1630_BALLOON 0 0 0 90 661 34.16 3YR FALSE 2503181607 REDUCED PA0605E_ARM 0 0 50000 95 693 41.15 1YR FALSE 2503181612 REDUCED PA0605EI_ARM-INTONLY 0 299900 59950 99.99 704 49.47 3YR TRUE 2503181618 REDUCED TB0630_BALLOON 0 299900 0 99.99 704 49.47 NO-PREPAY MI 2503181638 REDUCED PA1605EI_ARM-INTONLY 0 320000 64000 100 654 33.6 2YR FALSE 2503181639 REDUCED TB1630_BALLOON 0 320000 0 100 654 33.6 NO-PREPAY MI 2503181647 FULL/ALT PA1605EI_ARM-INTONLY 0 0 108000 100 660 43.87 NO-PREPAY MI 2503181648 REDUCED PA0605EI_ARM-INTONLY 0 220000 55000 100 683 43.77 1YR FALSE 2503181649 REDUCED TB0630_BALLOON 0 220000 0 100 683 43.77 1YR FALSE 2503181681 REDUCED PA0605EI_ARM-INTONLY 0 0 0 67.93 798 38.98 NO-PREPAY MI 2503181686 REDUCED PA1605EI_ARM-INTONLY 0 245000 49000 100 660 30.41 NO-PREPAY MI 2503181687 REDUCED TB1630_BALLOON 0 245000 0 100 660 30.41 NO-PREPAY MI 2503181691 REDUCED PA0605EI_ARM-INTONLY 0 399000 99750 100 719 45.68 3YR FALSE 2503181707 REDUCED PA0605EI_ARM-INTONLY 0 0 0 61.95 798 30.64 NO-PREPAY MI 2503181728 REDUCED PA0605EI_ARM-INTONLY 0 565000 141250 100 781 44.85 3YR FALSE 2503181765 REDUCED PA1605EI_ARM-INTONLY 0 0 212500 100 668 49.08 2YR FALSE 2503181814 REDUCED PA0605EI_ARM-INTONLY 0 925000 277500 100 710 38.25 2YR FALSE 2503181824 REDUCED PA0605EI_ARM-INTONLY 0 390000 97500 100 705 49.19 NO-PREPAY MI 2503181825 REDUCED TB0630_BALLOON 0 390000 0 100 705 49.19 NO-PREPAY MI 2503181831 REDUCED PF3630_FIXEDRATE 0 0 0 73 616 37.99 5YR FALSE 2503181846 REDUCED PA1605EI_ARM-INTONLY 0 231500 57900 100 646 43.24 3YR FALSE 2503181847 REDUCED TB1630_BALLOON 0 231500 0 100 646 43.24 NO-PREPAY MI 2503181860 REDUCED PA0630E_ARM 0 287500 74750 100 737 49.7 NO-PREPAY MI 2503181865 REDUCED PL1605E_ARM-BALLOON 0 235000 58750 100 671 42.91 2YR FALSE 2503181882 REDUCED PA1605EI_ARM-INTONLY 0 950000 237500 100 664 45.3 2YR FALSE 2503181888 REDUCED TB1630_BALLOON 0 235000 0 100 671 42.91 2YR FALSE 2503181889 REDUCED PL1605E_ARM-BALLOON 0 265000 39750 90 657 39.75 NO-PREPAY MI 2503181890 REDUCED TB1630_BALLOON 0 265000 0 90 657 39.75 NO-PREPAY MI 2503181894 REDUCED TB1630_BALLOON 0 0 0 89.5 654 33.91 NO-PREPAY MI 2503181898 NINA SA0605EI_ARM-INTONLY 0 0 0 27.73 700 0 2YR FALSE 2503181899 REDUCED PA0605EI_ARM-INTONLY 0 235000 47000 100 743 48.92 2YR TRUE 2503181900 REDUCED TB0630_BALLOON 0 235000 0 100 743 48.92 NO-PREPAY MI 2503181963 REDUCED TB0630_BALLOON 0 317950 0 89.99 725 38.42 1YR FALSE 2503181970 NO RATIO SA0605EI_ARM-INTONLY 0 0 0 74.53 715 0 1YR FALSE 2503181971 REDUCED PA0605EI_ARM-INTONLY 0 570000 114000 100 756 47.81 1YR FALSE 2503181974 REDUCED PA0605EI_ARM-INTONLY 0 0 41100 95 682 41.99 2YR FALSE 2503181975 REDUCED TB0630_BALLOON 0 0 0 95 682 41.99 2YR FALSE 2503181981 REDUCED PA1603EI_ARM-INTONLY 0 0 0 78.19 654 33.86 3YR FALSE 2503181987 NINA SA0605EI_ARM-INTONLY 0 375500 0 80 742 0 2YR FALSE 2503182025 NINA SF2630_FIXEDRATE 0 0 0 64.37 679 0 2YR FALSE 2503182043 REDUCED PA1605EI_ARM-INTONLY 0 0 0 79.42 645 41.94 NO-PREPAY MI 2503182046 REDUCED PA1605E_ARM 0 263400 0 65 652 47.16 3YR FALSE 2503182048 REDUCED PA2605E_ARM 0 0 69000 90 621 46.73 1YR FALSE 2503182062 REDUCED PA0605EI_ARM-INTONLY 0 435000 87000 100 750 35.55 3YR FALSE 2503182063 REDUCED TB0630_BALLOON 0 435000 0 100 750 35.55 3YR FALSE 2503182064 REDUCED PL1605E_ARM-BALLOON 0 268000 40200 95 658 28.31 2YR FALSE 2503182204 REDUCED PA1605E_ARM 0 0 40000 95 660 40.34 NO-PREPAY MI 2503182207 REDUCED PA2605EI_ARM-INTONLY 0 460000 92000 100 638 42.79 NO-PREPAY MI 2503182215 REDUCED PA0605E_ARM 0 108100 21600 94.96 772 44.08 3YR FALSE 2503182216 REDUCED TB0630_BALLOON 0 108100 0 94.96 772 44.08 NO-PREPAY MI 2503182225 REDUCED PA1605EI_ARM-INTONLY 0 450500 90000 100 677 46.9 1YR FALSE 2503182226 REDUCED TB1630_BALLOON 0 450500 0 100 677 46.9 NO-PREPAY MI 2503182256 REDUCED PF0630I_FIX-INTONLY 0 0 0 64.34 791 42.81 3YR FALSE 2503182262 REDUCED PA1605EI_ARM-INTONLY 0 270000 54000 100 677 44.03 2YR FALSE 2503182270 FULL/ALT PA2605E_ARM 0 0 0 51.29 624 48.41 1YR FALSE 2503182293 REDUCED PA1605EI_ARM-INTONLY 0 195000 39000 90 673 29.47 NO-PREPAY MI 2503182294 REDUCED TB1630_BALLOON 0 195000 0 90 673 29.47 NO-PREPAY MI 2503182295 REDUCED PA1605EI_ARM-INTONLY 0 0 0 66.18 664 48.99 NO-PREPAY MI 2503182302 REDUCED PL3605E_ARM-BALLOON 0 0 0 61.65 619 41.7 2YR FALSE 2503182323 REDUCED PA0605EI_ARM-INTONLY 0 0 85000 100 742 40.75 NO-PREPAY MI 2503182324 REDUCED TB0630_BALLOON 0 0 0 100 742 40.75 NO-PREPAY MI 2503182327 REDUCED PA1605EI_ARM-INTONLY 0 259000 64750 100 653 44.75 1YR FALSE 2503182338 REDUCED PA2605E_ARM 0 179400 44850 100 634 0 NO-PREPAY MI 2503182339 REDUCED TB2630_BALLOON 0 179400 0 100 634 28.9 NO-PREPAY MI 2503182341 REDUCED PA1605EI_ARM-INTONLY 0 0 135500 95 663 49.33 1YR FALSE 2503182342 REDUCED TB1630_BALLOON 0 0 0 95 663 49.33 NO-PREPAY MI 2503182357 REDUCED PA2605EI_ARM-INTONLY 0 0 36500 83.41 627 44.21 NO-PREPAY MI 2503182358 REDUCED TB2630_BALLOON 0 0 0 83.41 627 44.21 NO-PREPAY MI 2503182361 REDUCED PA0605E_ARM 0 0 0 79.15 758 34.68 NO-PREPAY MI 3900014067 NINA SF1630_FIXEDRATE 30 160000 0 90 755 1 5YR TRUE 3900014068 NINA SF1630_FIXEDRATE 30 111000 0 95 780 0 NO-PREPAY MI 3900014069 NINA SF1630_FIXEDRATE 30 78400 0 95 736 1 NO-PREPAY MI 2503182372 REDUCED PA0605EI_ARM-INTONLY 0 149900 29950 94.97 761 44.57 NO-PREPAY MI 2503182373 REDUCED TB0630_BALLOON 0 0 0 90 695 31.09 NO-PREPAY MI 2503182375 REDUCED PA1605EI_ARM-INTONLY 0 465000 93000 100 663 41.92 1YR FALSE 2503182376 REDUCED TB1630_BALLOON 0 465000 0 100 663 41.92 NO-PREPAY MI 2503182378 REDUCED PA1607EI_ARM-INTONLY 0 0 67500 100 640 34.12 3YR FALSE 2503182392 REDUCED PA1605EI_ARM-INTONLY 0 197000 39400 100 640 38.73 1YR FALSE 2503182393 REDUCED PA1605EI_ARM-INTONLY 0 407788 101950 100 662 46.2 NO-PREPAY MI 2503182396 REDUCED TB1630_BALLOON 0 407788 0 100 662 46.2 NO-PREPAY MI 2503182415 REDUCED PA1605EI_ARM-INTONLY 0 0 0 77.68 675 36.2 NO-PREPAY MI 2503182423 REDUCED PA0605EI_ARM-INTONLY 0 605000 121000 95 740 46.46 NO-PREPAY MI 2503182441 NINA SA0605EI_ARM-INTONLY 0 360000 0 70 680 0 NO-PREPAY MI 2503182476 REDUCED PA0607EI_ARM-INTONLY 0 400714 80100 99.99 779 41.6 1YR FALSE 2503182510 REDUCED PA0605EI_ARM-INTONLY 0 0 60000 95 703 40.97 3YR FALSE 2503182515 REDUCED PA2605EI_ARM-INTONLY 0 220000 44000 100 631 38.17 3YR FALSE 2503182518 REDUCED TB2630_BALLOON 0 220000 0 100 631 38.17 3YR FALSE 2503182529 REDUCED PA2605EI_ARM-INTONLY 0 299900 75000 100 628 40.99 3YR FALSE 3900014072 NINA SB1630_BALLOON 30 104150 0 94.99 691 1 2YR FALSE 3900014073 REDUCED PF0615_FIXEDRATE 30 0 0 90 722 40.28 NO-PREPAY MI 3900014074 NINA EF2630_FIXEDRATE 0 150000 0 80 637 1 NO-PREPAY MI 2503182530 REDUCED TB2630_BALLOON 0 299900 0 100 628 40.99 1YR FALSE 2503182566 FULL/ALT PL0605E_ARM-BALLOON 0 363000 90750 100 699 43.09 NO-PREPAY MI 2503182567 FULL/ALT TB0630_BALLOON 0 363000 0 100 699 43.09 NO-PREPAY MI 2503182595 REDUCED PA0605E_ARM 0 0 99000 100 692 37.66 1YR FALSE 2503182601 REDUCED TB1630_BALLOON 0 385000 0 90 660 37.86 3YR FALSE 2503182608 REDUCED PA0605E_ARM 0 218900 54800 100 757 48.96 2YR FALSE 2503182609 REDUCED TB0630_BALLOON 0 218900 0 100 757 49.96 3YR FALSE 2503182634 REDUCED PA1605EI_ARM-INTONLY 0 510000 127500 100 674 42.11 3YR FALSE 2503182636 REDUCED PF0630I_FIX-INTONLY 0 1150000 0 80 749 42.93 2YR FALSE 2503182640 REDUCED TB1630_BALLOON 0 510000 0 100 674 42.11 NO-PREPAY MI 2503182678 REDUCED PA2605EI_ARM-INTONLY 0 470000 47000 90 624 43.64 1YR FALSE 2503182679 REDUCED TB2630_BALLOON 0 470000 0 90 624 43.64 1YR FALSE 2503182697 REDUCED PA0605EI_ARM-INTONLY 0 309300 46395 94.02 680 29.08 NO-PREPAY MI 2503182715 REDUCED PA0605EI_ARM-INTONLY 0 0 0 70 703 38.14 1YR FALSE 2503182718 REDUCED PA1605E_ARM 0 230000 46000 100 658 37.57 NO-PREPAY MI 2503182719 REDUCED TB1630_BALLOON 0 230000 0 100 658 37.57 NO-PREPAY MI 3900014098 NO RATIO SF2630_FIXEDRATE 30 0 0 95 655 0 3YR FALSE 3900014100 NO RATIO SF2630_FIXEDRATE 0 0 0 54.32 665 0 NO-PREPAY MI 3900014101 NO RATIO SF3615_FIXEDRATE 22 0 0 84.74 604 0 NO-PREPAY MI 3900014102 NO RATIO SF2630_FIXEDRATE 30 113905 0 95 647 0 NO-PREPAY MI 2503182721 REDUCED PA2605EI_ARM-INTONLY 0 185400 37100 100 629 39.26 1YR FALSE 2503182722 REDUCED TB2630_BALLOON 0 185400 0 100 629 39.26 3YR FALSE 2503182726 REDUCED PA1605E_ARM 0 0 39750 95 660 31.52 3YR FALSE 2503182733 FULL/ALT PA2607E_ARM 0 0 0 75.31 632 43.37 2YR FALSE 2503182753 REDUCED PA1605EI_ARM-INTONLY 0 370000 74000 100 649 35.51 2YR FALSE 2503182772 REDUCED PA1605EI_ARM-INTONLY 0 0 118750 95 651 38.65 3YR TRUE 2503182773 REDUCED TB1630_BALLOON 0 0 0 95 651 38.65 NO-PREPAY MI 2503182775 REDUCED PA1605EI_ARM-INTONLY 0 265000 53000 95 647 26.24 3YR FALSE 2503182793 REDUCED PA2605EI_ARM-INTONLY 0 0 175000 99.72 630 43.86 NO-PREPAY MI 2503182818 FULL/ALT PL0605E_ARM-BALLOON 0 0 0 75 733 34.61 2YR TRUE 2503182822 REDUCED PA0605EI_ARM-INTONLY 0 1195500 59750 80 681 34.64 3YR TRUE 2503182828 REDUCED PA0605EI_ARM-INTONLY 0 217900 32650 89.98 764 34.96 NO-PREPAY MI 2503182838 REDUCED PA0605EI_ARM-INTONLY 0 0 31200 87 731 37.49 NO-PREPAY MI 2503182847 REDUCED PA1603EI_ARM-INTONLY 0 238000 59500 100 673 45.68 3YR TRUE 2503182852 REDUCED PA1605EI_ARM-INTONLY 0 0 0 73.56 641 47.66 3YR FALSE 2503182868 SISA PF2630_FIXEDRATE 0 0 0 79.46 627 43.78 5YR FALSE 2503182886 REDUCED PA0605EI_ARM-INTONLY 0 0 0 54.12 808 19.13 1YR FALSE 2503182894 REDUCED PA0605EI_ARM-INTONLY 0 375000 75000 100 702 39.02 NO-PREPAY MI 2503182910 REDUCED PA0605EI_ARM-INTONLY 0 0 88000 95 737 41.26 2YR FALSE 2503182930 REDUCED PA0605EI_ARM-INTONLY 0 375000 75000 100 748 24.28 3YR FALSE 2503182936 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 58.34 721 40.43 3YR TRUE 2503182937 REDUCED PA1605EI_ARM-INTONLY 0 465000 116250 100 656 44.88 NO-PREPAY MI 2503182940 REDUCED PA2605EI_ARM-INTONLY 0 0 0 58.25 638 47.7 2YR TRUE 2503182955 REDUCED PA2605EI_ARM-INTONLY 0 0 105000 100 628 38.89 3YR TRUE 2503183024 REDUCED PA0605EI_ARM-INTONLY 0 475000 118750 100 696 42.14 NO-PREPAY MI 2503183037 REDUCED PA1605EI_ARM-INTONLY 0 0 0 73.96 672 41.8 NO-PREPAY MI 2503183047 REDUCED PA0605EI_ARM-INTONLY 0 325000 81250 100 706 41.2 NO-PREPAY MI 2503183055 REDUCED PL1603E_ARM-BALLOON 0 195000 39000 100 644 34.97 3YR TRUE 2503183058 REDUCED PA0605EI_ARM-INTONLY 0 0 76000 100 715 39.45 2YR FALSE 2503183061 REDUCED PL1605E_ARM-BALLOON 0 525000 105000 100 661 49.79 3YR FALSE 3900014104 NO RATIO EF1615_FIXEDRATE 0 0 0 58.6 699 1 1YR FALSE 3900014105 REDUCED PF0430_FIXEDRATE 0 0 0 70 701 45.93 5YR TRUE 3900014106 REDUCED PF0630_FIXEDRATE 0 0 0 70 726 37.18 NO-PREPAY MI 2503183074 REDUCED PA0605EI_ARM-INTONLY 0 320000 80000 100 703 38.83 NO-PREPAY MI 2503183078 REDUCED PA0605EI_ARM-INTONLY 0 395000 98750 100 716 44.95 NO-PREPAY MI 2503183158 REDUCED PF1630I_FIX-INTONLY 0 0 61000 95 651 23.39 2YR FALSE 2503183164 REDUCED PA1605EI_ARM-INTONLY 0 549000 109800 100 655 42.29 3YR FALSE 2503183195 REDUCED PA0605E_ARM 0 640000 160000 100 689 41.31 3YR FALSE 2503183201 REDUCED PA0605EI_ARM-INTONLY 0 260000 65000 100 722 37.38 2YR FALSE 2503183210 REDUCED PA2605EI_ARM-INTONLY 0 795000 159000 100 635 39.49 5YR TRUE 2503183211 NO RATIO SA0605EI_ARM-INTONLY 0 760000 187000 98.62 713 0 2YR FALSE 2503183215 NO RATIO SA2605EI_ARM-INTONLY 0 0 0 74.27 635 0 3YR FALSE 2503183216 REDUCED PL0605E_ARM-BALLOON 0 0 0 75 734 48.19 NO-PREPAY MI 2503183238 SISA PA1605EI_ARM-INTONLY 0 0 0 79.83 679 40.32 NO-PREPAY MI 2503183248 REDUCED PA1605EI_ARM-INTONLY 0 0 46250 97.37 646 39.94 NO-PREPAY MI 2503183261 REDUCED PA2605EI_ARM-INTONLY 0 240990 48200 94.99 631 43.75 1YR FALSE 2503183269 REDUCED PA1605EI_ARM-INTONLY 0 715000 142000 100 676 45.04 5YR FALSE 2503183272 REDUCED PA0607E_ARM 0 320000 0 80 705 41 3YR FALSE 2503183274 REDUCED TB1630_BALLOON 0 0 0 85.48 654 39.74 2YR FALSE 2503183308 REDUCED PL0605E_ARM-BALLOON 0 239500 47900 94.99 769 24.11 3YR TRUE 2503183309 REDUCED TB0630_BALLOON 0 239500 0 94.99 769 24.1 NO-PREPAY MI 2503183336 REDUCED PA0605EI_ARM-INTONLY 0 559888 111950 95 702 23 NO-PREPAY MI 2503183337 REDUCED TB0630_BALLOON 0 559888 0 95 702 23 NO-PREPAY MI 2503183349 REDUCED PA1605EI_ARM-INTONLY 0 435000 87000 100 670 40.26 5YR FALSE 2503183389 REDUCED PL2405E_ARM-BALLOON 22 339900 0 90 633 45.59 2YR FALSE 2503183391 REDUCED PA0605EI_ARM-INTONLY 0 0 120000 99.2 688 41.77 3YR FALSE 2503183392 REDUCED TB0630_BALLOON 0 0 0 99.2 688 41.77 3YR FALSE 2503183408 REDUCED PA0605E_ARM 0 425000 42500 90 744 32.79 NO-PREPAY MI 2503183412 REDUCED PA0605EI_ARM-INTONLY 0 270900 54150 99.99 719 43.36 3YR FALSE 2503183425 REDUCED PA1605EI_ARM-INTONLY 0 0 38100 95 651 41.68 5YR TRUE 2503183428 REDUCED PA1605EI_ARM-INTONLY 0 0 137500 100 640 41.2 3YR FALSE 2503183484 REDUCED PA1605EI_ARM-INTONLY 0 575000 143750 100 640 42.62 NO-PREPAY MI 2503183485 REDUCED TB1630_BALLOON 0 575000 0 100 640 42.62 NO-PREPAY MI 2503183511 REDUCED PA1605EI_ARM-INTONLY 0 668500 100275 90 648 41.36 2YR FALSE 2503183512 REDUCED PA1605EI_ARM-INTONLY 0 380000 76000 100 649 48.03 1YR FALSE 2503183520 REDUCED TB1630_BALLOON 0 668500 0 90 648 41.35 NO-PREPAY MI 2503183546 REDUCED PA1605EI_ARM-INTONLY 0 670000 134000 100 656 43.47 2YR FALSE 2503183566 NO RATIO SA0605EI_ARM-INTONLY 0 350000 0 75 688 0 1YR FALSE 2503183567 REDUCED PA0603EI_ARM-INTONLY 0 559000 111800 100 767 41.93 NO-PREPAY MI 2503183568 REDUCED TB0630_BALLOON 0 559000 0 100 767 42.54 NO-PREPAY MI 2503183569 REDUCED PF0630_FIXEDRATE 0 0 0 55.3 700 37.1 2YR FALSE 2503183571 REDUCED PB0640_BALLOON 0 1000000 0 72.5 785 36.43 1YR FALSE 2503183656 REDUCED PA0605EI_ARM-INTONLY 0 186000 27900 90 729 38.29 2YR FALSE 2503183664 REDUCED PA0605EI_ARM-INTONLY 0 294000 73500 100 683 47.21 3YR TRUE 2503183669 FULL/ALT PA1605EI_ARM-INTONLY 0 2020000 500000 75 0 53.41 1YR FALSE 2503183684 REDUCED PA0405E_ARM 0 215000 43000 100 716 41.41 3YR FALSE 2503183714 REDUCED PB0640_BALLOON 0 160000 32000 95 758 37.5 1YR FALSE 2503183716 REDUCED PF0430_FIXEDRATE 22 0 0 85 723 47.83 1YR FALSE 2503183727 REDUCED PA1605EI_ARM-INTONLY 0 615000 123000 100 659 40.91 1YR FALSE 2503183740 REDUCED PA1605EI_ARM-INTONLY 0 305000 61000 100 650 42.27 3YR FALSE 2503183748 SISA PA0605EI_ARM-INTONLY 0 551200 137800 100 752 36.49 1YR FALSE 2503183770 SISA PA1605EI_ARM-INTONLY 0 0 0 77.73 642 21.31 1YR FALSE 2503183784 REDUCED PA0603EI_ARM-INTONLY 0 0 0 69.36 730 30.12 NO-PREPAY MI 2503183795 FULL/ALT PA0605EI_ARM-INTONLY 0 200000 40000 100 781 30.15 NO-PREPAY MI 2503183865 REDUCED PA2605EI_ARM-INTONLY 0 500000 125000 100 628 43.35 NO-PREPAY MI 2503183893 REDUCED PA0405EI_ARM-INTONLY 25 0 0 90 694 49.84 2YR FALSE 2503183922 REDUCED PA1605E_ARM 0 110000 26000 90 655 19.17 NO-PREPAY MI 2503183939 REDUCED PA1605EI_ARM-INTONLY 0 175000 35000 100 648 38.5 3YR FALSE 2503183960 REDUCED PA1605E_ARM 25 95000 0 87.16 669 29.07 NO-PREPAY MI 2503183962 REDUCED PA2605EI_ARM-INTONLY 0 635000 158750 100 632 17.82 NO-PREPAY MI 2503183966 REDUCED PA2605EI_ARM-INTONLY 0 290000 58000 100 624 47.02 2YR FALSE 2503183982 REDUCED PA0605EI_ARM-INTONLY 0 270000 54000 100 706 33.21 1YR FALSE 2503183994 REDUCED PF0630I_FIX-INTONLY 0 0 0 67.97 789 29.13 3YR FALSE 2503184003 SISA PA1605E_ARM 0 410000 0 75 647 46.31 NO-PREPAY MI 2503184024 REDUCED PA1605EI_ARM-INTONLY 0 490000 98000 100 651 46.54 2YR FALSE 2503184045 REDUCED PF0630I_FIX-INTONLY 0 0 0 58.83 756 30.85 3YR FALSE 2503184048 NINA SA0605EI_ARM-INTONLY 0 0 0 75 708 0 3YR TRUE 2503184074 REDUCED PA0605EI_ARM-INTONLY 0 0 0 47.7 732 31.3 NO-PREPAY MI 2503184097 REDUCED PA1605EI_ARM-INTONLY 0 0 26000 100 656 46.33 NO-PREPAY MI 2503184117 REDUCED PA0605E_ARM 0 236900 59200 99.98 752 47.16 1YR FALSE 2503184231 REDUCED PA1605EI_ARM-INTONLY 0 284900 56980 95 677 49.93 2YR FALSE 2503184255 REDUCED PA2605EI_ARM-INTONLY 0 629000 157250 100 624 44.77 1YR FALSE 2503184266 REDUCED PA1605EI_ARM-INTONLY 0 273000 54600 100 642 38.43 3YR FALSE 2503184282 REDUCED PA2605EI_ARM-INTONLY 0 0 71250 95 635 44.64 1YR FALSE 2503184287 FULL/ALT PF0630_FIXEDRATE 0 0 0 75 728 26.14 NO-PREPAY MI 2503184307 REDUCED PA1605E_ARM 0 685000 171250 100 665 45.69 3YR FALSE 2503184325 SISA PA0605E_ARM 0 0 88500 89.75 703 37.22 2YR TRUE 2503184415 REDUCED PA0605EI_ARM-INTONLY 0 584000 146000 100 702 42.77 NO-PREPAY MI 2503184430 REDUCED PA0605EI_ARM-INTONLY 0 269900 53980 95 691 28.99 NO-PREPAY MI 2503184486 FULL/ALT PA2605E_ARM 0 0 92500 100 625 49.84 NO-PREPAY MI 2503184489 REDUCED PA0605EI_ARM-INTONLY 0 119900 29950 94.96 695 48.56 NO-PREPAY MI 2503184499 SISA PA0605EI_ARM-INTONLY 0 0 0 64.48 733 29.19 3YR FALSE 2503184501 REDUCED PA1605EI_ARM-INTONLY 0 0 46250 100 665 33.46 3YR FALSE 2503184537 REDUCED PA2605EI_ARM-INTONLY 0 0 0 25 640 47.3 2YR FALSE 2503184543 REDUCED PA0605EI_ARM-INTONLY 0 0 0 52.2 687 35.59 3YR FALSE 2503184557 REDUCED PA0605EI_ARM-INTONLY 0 0 0 72.98 750 44.04 3YR FALSE 2503184568 REDUCED PL2605E_ARM-BALLOON 0 326000 65200 100 622 48.99 3YR FALSE 2503184632 REDUCED PA1605EI_ARM-INTONLY 0 370000 92500 100 668 34.9 NO-PREPAY MI 2503184674 REDUCED PA0605EI_ARM-INTONLY 0 290000 72500 100 713 43.4 1YR FALSE 2503184679 SISA PA0605E_ARM 0 200000 0 75 711 35.92 1YR FALSE 2503184696 REDUCED PA0605EI_ARM-INTONLY 0 700000 175000 100 753 38.76 NO-PREPAY MI 2503184716 REDUCED PA0405EI_ARM-INTONLY 22 0 0 85 773 36.59 1YR FALSE 2503184736 FULL/ALT PA2605EI_ARM-INTONLY 0 0 0 66.32 624 39.68 2YR FALSE 2503184740 REDUCED PA0605EI_ARM-INTONLY 0 398000 79600 100 799 44.95 5YR FALSE 2503184752 REDUCED PA1605EI_ARM-INTONLY 0 0 100000 95 654 44.24 3YR FALSE 2503184754 REDUCED PL3605E_ARM-BALLOON 0 0 0 62.37 605 41.24 NO-PREPAY MI 2503184764 REDUCED PA0605EI_ARM-INTONLY 0 340000 85000 100 757 41.6 1YR FALSE 2503184837 REDUCED PA1605EI_ARM-INTONLY 0 0 0 63.97 675 41.35 NO-PREPAY MI 2503184855 REDUCED PL0605E_ARM-BALLOON 0 220000 33000 90 767 28.39 3YR TRUE 2503184875 REDUCED TB0630_BALLOON 0 220000 0 90 767 28.38 NO-PREPAY MI 2503184926 REDUCED PA0605EI_ARM-INTONLY 0 550000 82500 95 692 44.85 1YR FALSE 2503184960 FULL/ALT PA1605EI_ARM-INTONLY 0 531000 106200 100 673 41.22 NO-PREPAY MI 2503185076 REDUCED PA1605EI_ARM-INTONLY 0 725000 108750 90 649 44.05 NO-PREPAY MI 2503185081 REDUCED PA1605EI_ARM-INTONLY 0 490000 122500 100 650 44.1 1YR FALSE 2503185132 REDUCED PA1605EI_ARM-INTONLY 0 259900 64950 94.98 667 43.05 3YR FALSE 2503185191 REDUCED PA1605EI_ARM-INTONLY 0 212500 53100 99.99 652 43.01 NO-PREPAY MI 2503185194 FULL/ALT PA0605EI_ARM-INTONLY 0 0 0 67.31 689 44.54 1YR TRUE 2503185208 REDUCED PA0605EI_ARM-INTONLY 0 437000 109250 100 751 42.55 1YR FALSE 2503185241 REDUCED PA0605EI_ARM-INTONLY 0 274950 55000 100 711 32.3 3YR FALSE 2503185272 REDUCED PA0605EI_ARM-INTONLY 0 750000 187500 100 773 42.32 1YR FALSE 2503185348 REDUCED PL1605E_ARM-BALLOON 0 0 0 75 654 39.26 2YR TRUE 2503185429 REDUCED PA0605EI_ARM-INTONLY 0 399000 59850 95 686 44.15 NO-PREPAY MI 2503185458 REDUCED PA1605EI_ARM-INTONLY 0 890000 222500 100 679 44.19 2YR FALSE 2503185476 REDUCED PA1605EI_ARM-INTONLY 0 262400 52480 100 655 41.87 3YR TRUE 2503185590 NINA SA0605E_ARM 0 530000 0 80 750 0 NO-PREPAY MI 2503185600 REDUCED PA0605E_ARM 0 0 143750 100 689 49.25 2YR FALSE 2503185606 REDUCED PA0602EI_ARM-INTONLY 0 445000 89000 100 754 44.39 1YR FALSE 2503185640 REDUCED PA0605E_ARM 0 0 26000 95 734 31.36 NO-PREPAY MI 2503185736 NINA SA2605EI_ARM-INTONLY 0 0 0 74.95 650 0 3YR FALSE 2503185742 NINA SA2605EI_ARM-INTONLY 0 0 0 77.75 667 0 1YR FALSE 2503185822 REDUCED PA0605EI_ARM-INTONLY 0 662500 165625 100 759 38.8 1YR FALSE 2503185890 REDUCED PF0630I_FIX-INTONLY 0 0 0 50.61 712 34.76 NO-PREPAY MI 2503185918 REDUCED PA1605EI_ARM-INTONLY 0 165000 33000 95 660 32.36 2YR FALSE 2503185952 REDUCED PA0605EI_ARM-INTONLY 0 499500 149850 100 736 49.04 2YR FALSE 2503186102 REDUCED PA0605E_ARM 0 449888 67483 95 754 47.18 NO-PREPAY MI 2503186173 FULL/ALT PA2605E_ARM 0 132000 26400 100 633 42.72 NO-PREPAY MI 2503186179 REDUCED PA2605E_ARM 0 0 0 80 629 44.43 NO-PREPAY MI 2503186301 REDUCED PA1605EI_ARM-INTONLY 0 0 39000 90 644 22.63 NO-PREPAY MI 2503186313 REDUCED PA1605EI_ARM-INTONLY 0 547500 136875 100 645 47.63 1YR FALSE 2503186421 REDUCED PF0630_FIXEDRATE 0 0 0 68.81 726 34.26 NO-PREPAY MI 2503186461 REDUCED PA0605E_ARM 0 119000 23800 100 681 21.11 2YR FALSE 2503186482 REDUCED PA1605EI_ARM-INTONLY 0 215000 53750 100 672 29.59 1YR FALSE 2503186597 REDUCED PA0605EI_ARM-INTONLY 0 183000 45750 100 710 31.29 1YR FALSE 2503186668 SISA PA1605E_ARM 0 0 0 80 650 32.19 1YR FALSE 2503187441 REDUCED PA1605E_ARM 0 0 187500 100 653 44.78 NO-PREPAY MI 3900014032 NO RATIO SF1630_FIXEDRATE 0 111000 0 80 737 1 5YR TRUE 3900014033 REDUCED PF0615_FIXEDRATE 22 135000 0 89.97 686 30.13 3YR TRUE 3900014034 NINA EF3630_FIXEDRATE 0 0 0 80 605 1 5YR TRUE 3900014035 REDUCED PF0630_FIXEDRATE 0 225000 0 75 764 1 5YR FALSE 3900014036 REDUCED PF1415_FIXEDRATE 0 0 0 65.24 678 49.14 5YR TRUE 3900014037 NINA SF2630_FIXEDRATE 30 76150 0 94.95 653 1 3YR TRUE 3900014038 NO RATIO SF1630_FIXEDRATE 30 95500 0 92 763 1 3YR FALSE 3900014039 NINA SF2630_FIXEDRATE 30 105000 0 95 653 1 2YR TRUE 3900014041 NO RATIO EF1630_FIXEDRATE 30 0 0 95 691 1 3YR FALSE 3900014042 NINA SF2630_FIXEDRATE 30 99000 0 95 652 1 5YR FALSE 3900014043 NINA SF2630_FIXEDRATE 0 0 0 50.85 642 1 3YR FALSE 3900014044 NINA SF1630_FIXEDRATE 30 147500 0 94.95 722 1 3YR TRUE 3900014046 REDUCED PF0630_FIXEDRATE 0 0 0 34.7 716 19.11 5YR TRUE 3900014047 NO RATIO SF2630_FIXEDRATE 30 252000 0 90 631 1 NO-PREPAY MI 3900014048 NINA SF1630_FIXEDRATE 0 0 0 74.66 722 1 5YR FALSE 3900014049 REDUCED PF1615_FIXEDRATE 0 0 0 28.58 640 13.79 NO-PREPAY MI 3900014050 FULL/ALT PF0630_FIXEDRATE 0 415000 83000 99.76 740 40.9 3YR FALSE 3900014051 NINA EF3630_FIXEDRATE 0 0 0 66.04 618 1 NO-PREPAY MI 3900014052 NO RATIO SF2630_FIXEDRATE 22 145100 0 89.98 646 1 NO-PREPAY MI 3900014053 REDUCED PF0630_FIXEDRATE 0 0 0 62.5 759 25.51 5YR TRUE 3900014054 REDUCED PF1630_FIXEDRATE 0 0 0 80 662 39.5 5YR TRUE 3900014055 REDUCED PF0630_FIXEDRATE 0 0 0 74.47 763 36.06 5YR TRUE 3900014056 REDUCED PF1630_FIXEDRATE 0 239900 0 58.54 661 41.8 2YR FALSE 3900014057 NINA SF2630_FIXEDRATE 30 86000 0 95 628 1 5YR TRUE 3900014058 NINA SF2630_FIXEDRATE 0 128990 0 68.92 662 1 5YR TRUE 3900014059 FULL/ALT PF0630_FIXEDRATE 0 0 0 78.75 739 36.96 5YR TRUE 3900014060 REDUCED PF1430_FIXEDRATE 0 0 0 77.84 648 35.12 NO-PREPAY MI 3900014061 NINA EF1630_FIXEDRATE 22 0 0 87.33 700 1 3YR TRUE 3900014062 NINA EF1630_FIXEDRATE 30 122000 0 90 729 1 5YR TRUE 3900014063 NINA SF2630_FIXEDRATE 0 0 0 42.86 664 1 5YR TRUE 3900014064 REDUCED PF0615_FIXEDRATE 0 0 0 72.5 723 48.16 5YR TRUE 3900014065 NINA SF1630_FIXEDRATE 30 125000 0 90 705 1 5YR TRUE 3900014075 REDUCED PF0430_FIXEDRATE 0 0 0 74.29 698 38.65 5YR TRUE 3900014076 NINA SF2630_FIXEDRATE 30 124900 0 94.96 674 1 5YR FALSE 3900014077 REDUCED PF0630_FIXEDRATE 0 0 0 62.91 768 34.2 3YR FALSE 3900014078 NINA SF1630_FIXEDRATE 30 95900 0 95 735 1 1YR FALSE 3900014079 NINA SF2630_FIXEDRATE 30 138660 0 90 631 1 NO-PREPAY MI 3900014080 REDUCED PF0630_FIXEDRATE 0 0 0 37.04 751 33.94 5YR TRUE 3900014081 FULL/ALT PF0430_FIXEDRATE 0 0 0 68.39 738 40.06 NO-PREPAY MI 3900014082 NINA SF2630_FIXEDRATE 30 129900 0 90 662 1 3YR FALSE 3900014083 NINA SF2630_FIXEDRATE 30 0 0 90 647 1 3YR FALSE 3900014084 FULL/ALT PF0630_FIXEDRATE 0 0 62250 95 694 47.87 5YR TRUE 3900014085 NINA EF1615_FIXEDRATE 0 0 0 77.96 752 1 5YR FALSE 3900014086 NO RATIO SF2630_FIXEDRATE 22 168365 0 90 677 1 5YR FALSE 3900014087 NINA SF2630_FIXEDRATE 0 0 0 72.23 658 1 5YR TRUE 3900014088 NINA SF1630_FIXEDRATE 30 0 0 95 731 1 5YR TRUE 3900014089 REDUCED PF1630_FIXEDRATE 0 0 0 69 670 31.6 5YR TRUE 3900014090 REDUCED PF0630_FIXEDRATE 0 0 100000 57.53 741 33.66 5YR TRUE 3900014091 FULL/ALT PF0430_FIXEDRATE 0 128000 25600 100 703 44.74 3YR TRUE 3900014092 NINA SF2630_FIXEDRATE 0 0 0 80 624 1 NO-PREPAY MI 3900014093 REDUCED PF0630_FIXEDRATE 0 0 0 80 747 48.11 5YR TRUE 3900014095 NO RATIO SF2630_FIXEDRATE 0 139000 0 74.83 675 0 3YR FALSE 3900014107 NO RATIO EF1630_FIXEDRATE 22 0 0 89.88 682 1 5YR TRUE 3900014108 REDUCED PF0430_FIXEDRATE 0 0 0 44.48 687 53.56 5YR TRUE 3900014109 REDUCED PF1615_FIXEDRATE 0 0 0 58.02 648 13.27 5YR TRUE 3900014110 FULL/ALT PF0630_FIXEDRATE 0 389900 77980 100 742 41.52 3YR FALSE 3900014111 REDUCED PF1430_FIXEDRATE 0 0 0 50 647 15.06 5YR FALSE 3900014112 NO RATIO SF1630_FIXEDRATE 30 375000 0 95 804 1 5YR TRUE 3900014113 REDUCED PF0630_FIXEDRATE 0 121000 0 75 711 33.49 5YR TRUE 3900014114 NO RATIO SF1630_FIXEDRATE 0 190000 0 73.69 766 1 3YR TRUE 3900014116 NINA SF1630_FIXEDRATE 0 0 0 51.16 698 1 5YR FALSE 3900014117 REDUCED PF1415_FIXEDRATE 0 0 0 36.89 675 34.25 3YR TRUE 3900014119 NINA SF1630_FIXEDRATE 22 220000 0 89.98 698 1 3YR FALSE 3900014120 NO RATIO SF2630_FIXEDRATE 30 97500 0 94.52 660 1 5YR TRUE 3900014122 REDUCED PF0630_FIXEDRATE 0 377655 0 79.63 711 42.01 3YR FALSE 3900014123 NO RATIO SF2630_FIXEDRATE 0 120000 20000 90 631 1 5YR TRUE 3900014124 REDUCED PF0430_FIXEDRATE 0 0 0 75 694 40.42 5YR FALSE 3900014125 NO RATIO SF1630_FIXEDRATE 0 0 0 71.43 728 1 5YR TRUE 3900014126 REDUCED PF1630_FIXEDRATE 0 0 0 69.89 644 33.83 3YR TRUE 3900014127 FULL/ALT PF0630_FIXEDRATE 0 260000 52000 100 699 44.58 3YR FALSE 3900014128 REDUCED PF0630_FIXEDRATE 0 765000 0 67.98 689 28.95 5YR TRUE 3900014129 NINA SF1630_FIXEDRATE 30 175000 0 95 752 1 5YR FALSE 3900014130 REDUCED PF0430_FIXEDRATE 0 0 0 65 756 29.09 5YR TRUE 3900014131 FULL/ALT PF2630_FIXEDRATE 0 250000 50000 100 624 36.75 5YR TRUE 3900014132 REDUCED PF0615_FIXEDRATE 22 0 0 82 717 16.56 5YR FALSE 3900014133 NINA SF1630_FIXEDRATE 30 222500 0 95 695 1 5YR TRUE 3900014134 REDUCED PF0630_FIXEDRATE 0 432000 0 80 696 32.74 5YR FALSE 3900014135 NINA EF1630_FIXEDRATE 35 134000 0 100 738 1 5YR TRUE 3900014136 NO RATIO SF2630_FIXEDRATE 0 0 0 61.91 653 1 3YR FALSE 3900014137 NO RATIO SF2630_FIXEDRATE 30 0 0 93.98 644 1 5YR FALSE 3900014139 NO RATIO EF2630_FIXEDRATE 0 0 0 80 638 0 NO-PREPAY MI 3900014140 NO RATIO SF2615_FIXEDRATE 0 115000 0 80 622 1 5YR TRUE 3900014141 REDUCED PF2630_FIXEDRATE 0 0 0 65.68 628 36.26 5YR TRUE 3900014142 FULL/ALT PF0630_FIXEDRATE 0 158269 31650 99.99 692 47.09 3YR TRUE 3900014143 REDUCED PF0630_FIXEDRATE 0 0 0 80 731 45.84 3YR FALSE 3900014145 REDUCED PF0630_FIXEDRATE 0 330000 0 80 694 41.13 5YR FALSE 3900014146 NINA SF1630_FIXEDRATE 30 116990 0 94.97 686 1 3YR FALSE 3900014147 REDUCED PF1430_FIXEDRATE 22 0 0 88.61 659 1 3YR FALSE 3900014148 FULL/ALT PF0630_FIXEDRATE 0 0 27600 99.64 690 46.04 5YR TRUE 3900014149 NINA SF4630_FIXEDRATE 30 85000 0 90 598 1 5YR FALSE 3900014150 NINA EB1630_BALLOON 30 116500 0 95 770 1 3YR FALSE 3900014151 NINA SF2630_FIXEDRATE 0 133000 0 80