Exhibit 99.14

                       GE CAPITAL MORTGAGE SERVICES, INC.
                           DISTRIBUTION DATE STATEMENT
                                  August, 1999
           Series 1999-06, REMIC Multi-Class Pass-Through Certificates

Pursuant to the Pooling and Servicing  Agreement  dated as of April 1, 1999 (the
"Agreement")  between GE Capital  Mortgage  Services,  Inc. (the  "Company") and
State Street Bank (the "Trustee"), governing the Certificates referred to above,
the Company hereby certifies to the Trustee:

       Weighted average coupon                      %                 7.145201
                                                       ------------------------
       Weighted average maturity                                        351.94
                                                       ------------------------

A.       Amount of distribution allocable to principal and interest: The amounts
         below are for a Single Certificate of $1,000:
      1.
                                 Principal
            Principal Per     Prepayments Per  Interest Per
      Class  Certificate        Certificate     Certificate  Payout Rate
      -----  -----------        -----------     -----------  -----------
       R    $  0.00000000     $   0.00000000  $ 0.00000000   %0.00000000
       PO   $  2.74662706     $   1.84490251  $ 0.00000000   %0.00000000
       1A1  $  0.00000000     $   0.00000000  $ 5.08333333   %6.10000000
       1A2  $  0.00000000     $   0.00000000  $ 5.29166663   %6.34999996
       1A3  $  0.00000000     $   0.00000000  $ 5.50000000   %6.60000000
       1A4  $ 13.63439773     $  11.46415931  $ 5.11566299   %6.34999998
       1A5  $  0.00000000     $   1.39314119  $ 7.74769567   %9.17307930
       1A6  $ 63.97642642     $  54.80322925  $ 1.20140377   %6.75000241
       1A7  $  0.00000000     $   0.00000000  $ 5.83333256   %6.99999907
       1A8  $  0.00000000     $   0.00000000  $ 5.83333376   %7.00000052
       1A9  $  0.00000000     $   0.00000000  $ 5.83333333   %7.00000000
       1A10 $  0.00000000     $   0.00000000  $ 5.83333333   %7.00000000
       1A11 $  0.00000000     $   0.00000000  $ 0.00000000   %0.00000000
       1A12 $  5.20359667     $   4.37532000  $ 5.46868333   %6.75000137
       2A1  $  4.47799104     $   3.32122703  $ 5.47782727   %6.75000001
       2A2  $  0.00000000     $   0.00000000  $ 5.62500000   %6.75000000
       2A3  $  0.00000000     $   0.00000000  $ 5.41666667   %6.50000000
       2A4  $  0.00000000     $   0.00000000  $ 0.18333333   %0.22000000
       2A5  $  0.00000000     $   0.00000000  $ 5.62500000   %6.75000000
       2A6  $  0.00000000     $   0.00000000  $ 0.02500000   %0.03000000
       S    $  0.00000000     $   0.00000000  $ 0.22670007   %0.28033399
       M    $  0.84517048     $   0.00000000  $ 5.61097911   %6.75000041
       B1   $  0.84517045     $   0.00000000  $ 5.61097917   %6.75000046
       B2   $  0.84551282     $   0.00000000  $ 5.61097304   %6.74999923
       B3   $  0.84517192     $   0.00000000  $ 5.61097755   %6.74999855
       B4   $  0.84517045     $   0.00000000  $ 5.61098011   %6.75000157
       B5   $  0.84461314     $   0.00000000  $ 5.61098846   %6.75000173

       2.      Unanticipated Recoveries:                 $                 0.00
                                                                 ---------------

B.    Accrual Amount
       1.
                          Accrual Amount
      Class
       1A5             $              355,750.70
       1A6             $               12,734.88

       2.    The amount of servicing compensation received by the Company during
             the month preceding the month of distribution:
                                                              $      138,775.29
                                                                    ------------

C. The amounts below are for the aggregate of all Certificates:

       1.     The Pool Scheduled Principal Balance:           $  684,345,239.70
                                                                 ---------------

       2.     The aggregate number of Mortgage Loans included in the Pool
              Scheduled Principal Balance set forth above:                2,067
                                                                 ---------------
       3.
     Beginning Aggregate Class  Ending Aggregate        Ending
       Certificate Principal   Class Certificate  Single Certificate
Class         Balance          Principal Balance       Balance          Cusip
- -----         -------          -----------------       -------          -----
R    $                   0.00  $            0.00  $             0.00  36157RQ99
PO   $           4,478,412.21  $    4,465,998.09  $           988.10  36157RS55
1A1  $          95,940,000.00  $   95,940,000.00  $         1,000.00  36157RP58
1A2  $          96,506,000.00  $   96,506,000.00  $         1,000.00  36157RP66
1A3  $           8,497,000.00  $    8,497,000.00  $         1,000.00  36157RP74
1A4  $         127,521,636.26  $  125,723,136.49  $           953.11  36157RP82
1A5  $          63,244,569.55  $   63,496,931.46  $         1,017.58  36157RP90
1A6  $           2,263,977.86  $    1,585,827.74  $           149.61  36157RQ24
1A7  $           1,071,571.00  $    1,071,571.00  $         1,000.00  36157RQ32
1A8  $           7,757,000.00  $    7,757,000.00  $         1,000.00  36157RQ40
1A9  $           6,568,500.00  $    6,568,500.00  $         1,000.00  36157RQ57
1A10 $           5,431,500.00  $    5,431,500.00  $         1,000.00  36157RQ65
1A11 $             771,429.00  $      771,429.00  $         1,000.00  36157RQ73
1A12 $           2,916,630.52  $    2,901,019.73  $           967.01  36157RQ81
2A1  $         166,912,561.56  $  166,145,047.33  $           969.36  36157RR80
2A2  $          15,420,000.00  $   15,420,000.00  $         1,000.00  36157RR98
2A3  $          27,000,000.00  $   27,000,000.00  $         1,000.00  36157RS22
2A4  $          27,000,000.00  $   27,000,000.00  $         1,000.00  36157RS30
2A5  $          27,000,000.00  $   27,000,000.00  $         1,000.00  36157RS48
2A6  $          27,000,000.00  $   27,000,000.00  $         1,000.00  36157RS71
S    $         497,018,390.30  $  494,830,618.68  $           966.14  36157RS63
M    $          12,989,540.55  $   12,978,534.73  $           996.66  36157RR23
B1   $           5,266,838.75  $    5,262,376.25  $           996.66  36157RR31
B2   $           3,034,414.57  $    3,031,842.52  $           996.66  36157RR49
B3   $           3,510,228.31  $    3,507,254.15  $           996.66  36157RW27
B4   $           1,404,490.34  $    1,403,300.34  $           996.66  36157RW35
B5   $           1,882,564.85  $    1,880,970.84  $           996.66  36157RW43

D.          The aggregate  number and aggregate  Principal  Balances of Mortgage
            Loans  which,  as of the  close of  business  on the last day of the
            month preceding the related Determination Date, were delinquent:

       1.   30-59 days
            Number             12       Principal Balance     $    3,922,656.27
                               --------                            -------------
       2.   60-89 days
            Number             2        Principal Balance     $      568,906.10
                               --------                            -------------
       3.   90 days or more
            Number             2        Principal Balance     $      575,561.76
                               --------                            -------------
       4.   In Foreclosure
            Number             1        Principal Balance     $      280,250.00
                               --------                            -------------
       5.   Real Estate Owned
            Number             0        Principal Balance     $            0.00
                               --------                            -------------

       6.   The  Scheduled  Principal  Balance  of any  Mortgage  Loan  replaced
            pursuant to the Pooling And Servicing Agreement:
                                                              $            0.00
                                                                    ------------

E.     Other Information:

       1.   Special Hazard Loss Amount:                       $            0.00
                                                                 ---------------

       2.   Bankruptcy Loss Amount:                           $            0.00
                                                                 ---------------

       3.   Fraud Loss Amount:                                $            0.00
                                                                 ---------------

       4.   Certificate Interest Rate of the Class S Certificate: %  0.28033399
                                                                    ------------

G.
                                                Rounding Amount
               Opening        Reimbursement       (Withdrawl)          Closing
Class          Balance            Amount                               Balance
1A8           $     999.99  $            0.00  $              0.00  $     999.99
2A3           $     999.99  $            0.00  $              0.00  $     999.99