UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 10-K ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 (THE "ACT") For the fiscal year ended December 31, 1999 Commission File Number: 333-68951-01 GE CAPITAL MORTGAGE FUNDING CORPORATION --------------------------------------- (Exact name of registrant as specified in its charter) Delaware 52-2134173 -------- ---------- (State or other jurisdiction of (I.R.S. Employer incorporation or organization) Identification No.) 3 Executive Campus Cherry Hill, New Jersey 08002 ----------------------- ----- (Address of principal executive offices) (Zip Code) Registrant's telephone number, including area code: (856) 661-5881 Securities registered pursuant to Section 12(b) of the Act: None Securities registered pursuant to Section 12(g) of the Act: None Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Act during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days: Yes X No___ State the aggregate market value of the voting stock held by non-affiliates of the registrant: None Indicate the number of shares outstanding of each of the registrant's classes of common stock, as of the latest practicable date: 1,000 shares of common stock, par value $.01 per share, outstanding as of March 24, 2000. DOCUMENTS INCORPORATED BY REFERENCE: THE CURRENT REPORTS OF GE CAPITAL MORTGAGE SERVICES, INC. ON FORM 8-K REFERRED TO IN RESPONSE TO PART I, ITEM 2 HEREOF. GE CAPITAL MORTGAGE FUNDING CORPORATION TABLE OF CONTENTS Page ---- PART I Item 1. Business 3 Item 2. Properties 3 Item 3. Legal Proceedings 3 Item 4. Submission of Matters to a Vote of Security Holders 3 PART II Item 5. Market for Registrant's Common Equity and Related Stockholder Matters 3 Item 6. Selected Financial Data 4 Item 7. Management's Discussion and Analysis of Financial Condition and Results of Operations 4 Item 7A. Quantitative and Qualitative Disclosures About Market Risk 4 Item 8. Financial Statements and Supplementary Data 4 Item 9. Changes in and Disagreements with Accountants on Accounting and Financial Disclosure 4 PART III Item 10. Directors and Executive Officers of the Registrant 4 Item 11. Executive Compensation 4 Item 12. Security Ownership of Certain Beneficial Owners and Management 4 Item 13. Certain Relationships and Related Transactions 7 PART IV Item 14. Exhibits, Financial Statement Schedules, and Reports on Form 8-K 7 Supplemental Information 8 SIGNATURES 9 INDEX TO EXHIBITS 10 GE Capital Mortgage Funding Corporation (the "Company") is a wholly-owned subsidiary of GE Capital Mortgage Services, Inc. (formerly Travelers Mortgage Services, Inc.) ("GECMSI"). This Form 10-K of the Company includes the information required to be set forth herein in accordance with the Amended Application for Exemptive Order dated December 1, 1986 (the "Exemptive Order"), filed by GECMSI, which Exemptive Order was granted by the Securities and Exchange Commission on January 15, 1987. PART I Item 1. Business - ------- -------- In accordance with the Exemptive Order, the Company is not required to provide any other information under Item 1. Item 2. Properties - ------- ---------- The information set forth in the Current Reports on Form 8-K of GECMSI dated November 25, 1999 and December 27, 1999 for the Company's publicly issued Multi-Class Pass-Through Certificates, Series 1999-HE3 is incorporated herein by reference. See also GECMSI's Annual Statement as to Compliance that is filed as Exhibits 99.1 under Part IV, Item 14(a) hereof. Item 3. Legal Proceedings - ------- ----------------- None. Item 4. Submission of Matters to a Vote of Security Holders - ------- --------------------------------------------------- None. PART II Item 5. Market for Registrant's Common Equity and Related Stockholder Matters - ------- --------------------------------------------------------------------- There is no established public trading market for the Company's publicly issued Multi-Class Pass-Through Certificates (the "Certificates"). As of December 31, 1999, the number of holders of record of Certificates was as follows: Mortgage Pool Number of Holders of Record ------------- --------------------------- Series 1999-HE3 Class A1 6 Series 1999-HE3 Class A2 6 Series 1999-HE3 Class A3 7 Series 1999-HE3 Class A4 19 Series 1999-HE3 Class A5 3 Series 1999-HE3 Class A6 3 Series 1999-HE3 Class B1 1 Series 1999-HE3 Class B2 1 Series 1999-HE3 Class M 1 Series 1999-HE3 Class R1 1 Series 1999-HE3 Class R2 1 In accordance with the Exemptive Order, the Company is not required to provide any other information under Item 5. Item 6. Selected Financial Data - ------- ----------------------- In accordance with the Exemptive Order, the Company is not required to provide this information. Item 7. Management's Discussion and Analysis of Financial Condition and Results of Operations - ------- --------------------------------------------------------------- In accordance with the Exemptive Order, the Company is not required to provide this information. Item 7A. Quantitative and Qualitative Disclosures About Market Risk - ------- --------------------------------------------------------- In accordance with the Exemptive Order, the Company is not required to provide this information. Item 8. Financial Statements and Supplementary Data - ------- ------------------------------------------- See GECMSI's Annual Statement as to Compliance that is filed as Exhibit 99.1 under Part IV, Item 14(a) hereof; see also the report concerning GECMSI's servicing activities, dated January 28, 2000, prepared by GECMSI's independent certified public accountants, filed as Exhibit 99.2 (relating to the home equity loan portion of GECMSI's Servicing Portfolio for which GECMSI is primary servicer), under Part IV, Item 14(a) hereof. "GECMSI's Servicing Portfolio" includes, but is not limited to, mortgage loans in Series with respect to which this Annual Report on Form 10-K is filed. Item 9. Changes in and Disagreements with Accountants on Accounting and Financial Disclosure - ------- --------------------------------------------------------------- None. PART III Item 10. Directors and Executive Officers of the Registrant - ------- -------------------------------------------------- In accordance with the Exemptive Order, the Company is not required to provide this information. Item 11. Executive Compensation - ------- ---------------------- In accordance with the Exemptive Order, the Company is not required to provide this information. Item 12. Security Ownership of Certain Beneficial Owners and Management - ------- -------------------------------------------------------------- (a) Set forth below is certain information with respect to each holder of record of more than five percent (5%) of the fractional undivided interests in a Mortgage Pool evidenced by a Class of a Series of Certificates publicly-offered during1999, as of December 31, 1999. Number of Percent of Name and Address Certificates Certificates Series of Holder Held Held - ------ --------- ---- ---- Series 1999-HE3 Class A1 Boston Safe Deposit and Trust 1 5 Company c/o Mellon Bank N.A. Three Mellon Bank Center Room 153-3015 Pittsburgh, PA 15259 Chase Manhattan Bank 1 59 4 New York Plaza, 13th Floor New York, NY 10004 Northern Trust Company - 1 7 Safekeeping 50 LaSalle Street, Level A Chicago, IL 60675 State Street Bank and Trust Company 1 24 1776 Heritage Drive Global Corporate Action Unit JAB 5NW North Quincy, MA 02171 Series 1999-HE3 Class A2 The Bank of New York 1 11 925 Patterson Plank Road Secaucus, NJ 07094 Bankers Trust Company 1 23 c/o BT Services Tennessee Inc. 648 Grassmere Park Drive Nashville, TN 37211 Chase Manhattan Bank 1 15 4 New York Plaza, 13th Floor New York, NY 10004 Northern Trust Company - 1 16 Safekeeping 50 LaSalle Street, Level A Chicago, IL 60675 State Street Bank and Trust Company 1 34 1776 Heritage Drive Global Corporate Action Unit JAB 5NW North Quincy, MA 02171 Series 1999-HE3 Class A3 American Express Trust Company 1 29 180 East 5th Street - Safekeeping St. Paul, MN 55101 Banc of America Securities LLC 1 6 185 Berry Street, 3rd Floor San Francisco, CA 94107 The Bank of New York 1 18 925 Patterson Plank Road Secaucus, NJ 07094 Chase Manhattan Bank 1 18 4 New York Plaza, 13th Floor New York, NY 10004 Citibank, N.A. 1 19 P.O. Box 30576 Tampa, FL 33630-3576 State Street Bank and Trust Company 1 6 1776 Heritage Drive Global Corporate Action Unit JAB 5NW North Quincy, MA 02171 Series 1999-HE3 Class A4 The Bank of New York 1 20 925 Patterson Plank Road Secaucus, NJ 07094 The Bank of New York/First Union 1 29 Safekeeping 16 Wall Street, 5th Floor New York, NY 10005 Chase Manhattan Bank 1 11 4 New York Plaza, 13th Floor New York, NY 10004 Fleet National Bank 1 5 c/o Fleet Services Corp. 2nd Floor NYROTO2B Rochester, NY 14638 First Union National Bank 1 19 1525 West W.T. Harris Boulevard, 34A Charlotte, NC 28288 Series 1999-HE3 Class A5 Chase Manhattan Bank 1 43 4 New York Plaza, 13th Floor New York, NY 10004 The Northern Trust Company 1 15 801 S. Canal C-IN Chicago, IL 60607 U.S. Bank National Association 1 43 MPFP 1603 Proxy Unit 601 Second Avenue South Minneapolis, MN 55402 Series 1999-HE3 Class A6 Bankers Trust Company 1 8 c/o BT Services Tennessee Inc. 648 Grassmere Park Drive Nashville, TN 37211 The Bank of New York/First Union 1 66 Safekeeping 16 Wall Street, 5th Floor New York, NY 10005 The Northern Trust Company 1 26 801 S. Canal C-IN Chicago, IL 60607 Series 1999-HE3 Class B1 The Bank of New York/First Union 1 100 Safekeeping 16 Wall Street, 5th Floor New York, NY 10005 Series 1999-HE3 Class B2 The Bank of New York/First Union 1 100 Safekeeping 16 Wall Street, 5th Floor New York, NY 10005 Series 1999-HE3 Class M The Bank of New York/First Union 1 100 Safekeeping 16 Wall Street, 5th Floor New York, NY 10005 Series 1999-HE3 Class R1 Credit Suisse First Boston 1 100 Corporation 5 Wold Trade Center, 7th Floor New York, NY 10048 Series 1999-HE3 Class R2 Credit Suisse First Boston 1 100 Corporation 5 Wold Trade Center, 7th Floor New York, NY 10048 (b) In accordance with the Exemptive Order, the Company is not required to provide this information. (c) In accordance with the Exemptive Order, the Company is not required to provide this information. Item 13. Certain Relationships and Related Transactions - ------- ---------------------------------------------- In accordance with the Exemptive Order, the Company is not required to provide this information. PART IV Item 14. Exhibits, Financial Statement Schedules and Reports on Form 8-K - ------- --------------------------------------------------------------- (a) 99.1 GECMSI's Annual Statement as to Compliance for the Series 1999-HE3 Certificates dated March 24, 2000. 99.2 Report dated January 28, 2000 prepared by GECMSI's independent certified public accountants, concerning GECMSI's activities for the period ended December 31, 1999 (relating to the portion of mortgage loans in GECMSI's Servicing Portfolio, as defined in Item 8, which are home equity mortgage loans, for which GECMSI is primary servicer). (b) In accordance with the Exemptive Order, the Company is not required to provide this information. (c) In accordance with the Exemptive Order, the Company is not required to provide this information. (d) In accordance with the Exemptive Order, the Company is not required to provide this information. Supplemental Information to be Furnished with Reports Filed Pursuant to Section - -------------------------------------------------------------------------------- 15(d) of the Act by Registrants Which Have Not Registered Securities Pursuant to - -------------------------------------------------------------------------------- Section 12 of the Act - --------------------- No annual report to security holders covering the Registrant's last fiscal year or proxy statement, form of proxy or other proxy solicitation material has been sent to holders of Certificates. SIGNATURES Pursuant to the requirements of Section 13 or 15(d) of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized, on the 29th day of March, 2000. GE CAPITAL MORTGAGE FUNDING CORPORATION By: /s/ Mark Danahy ------------------------------------ Mark Danahy Vice President Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been executed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated. Signature Title Date /s/ Thomas H. Mann Director (Principal March 29, 2000 - ----------------------------- Executive Officer) Thomas H. Mann /s/ Glen A. Messina Director March 29, 2000 - ----------------------------- Glen A. Messina /s/ Gerhard A. Miller Director March 29, 2000 - ----------------------------- Gerhard A. Miller /s/ JoAnn B. Rabitz Director March 29, 2000 - ----------------------------- JoAnn B. Rabitz /s/ Theodore F. Weiland Director March 29, 2000 - ----------------------------- Theodore F. Weiland /s/ Larry Spangler (Acting) Principal Financial March 29, 2000 - ----------------------------- and Accounting Officer Larry Spangler EXHIBIT INDEX Exhibit No. Description Page No. - ----------- ----------- -------- 99.1 GECMSI's Annual Statement as to Compliance for the Series 11 1999-HE3 Certificates dated March 24, 2000. 99.2 Report dated January 28, 2000 prepared by GECMSI's 13 independent certified public accountants, concerning GECMSI's activities for the period ended December 31, 1999 (relating to theportion of mortgage loans in GECMSI's Servicing Portfolio, as defined in Item 8, which are home equity mortgage loans, for which GECMSI is primary servicer).