EXHIBIT 99.1 - ----------------------------------------------------------------------------------------------------------------------------------- Bond Trust ARMS II GLOBAL FUND 2 Deed Schedule 8 Reference BONDHOLDERS REPORT RELATED TO THE JULY 12, 2004 DISTRIBUTION - ----------------------------------------------------------------------------------------------------------------------------------- -------------------------------------------------------------------------------------------------------------------- REPORTING DATES Cut-Off Date June 30, 2004 Determination Date July 8, 2004 Payment Date July 12, 2004 Start Interest Period April 13, 2004 End Interest Period July 11, 2004 No of Days in Interest Period 90 Start Calculation Period April 1, 2004 End Calculation Period June 30, 2004 No of Days in Calculation Period 91 -------------------------------------------------------------------------------------------------------------------- SECURITIES ON ISSUE Amount Amount (US$) (A$) CLASS A BONDS Initial Face Value 1,000,000,000 1,428,571,429 Previous Principal Distribution 79,200,000 113,142,857 Principal Distribution for current calculation period 55,900,000 79,857,143 Total Principal Distribution to date 135,100,000 193,000,000 Beginning Principal Amount 920,800,000 1,315,428,571 (a) Ending Principal Amount 864,900,000 1,235,571,429 less Unreimbursed Charge-offs -- -- Beginning Stated Amount 920,800,000 1,315,428,571 (a) Ending Stated Amount 864,900,000 1,235,571,429 CLASS B BONDS Initial Face Value 33,500,000 47,857,143 Previous Principal Distribution - Principal Distribution for current calculation period - Total Principal Distribution to date - Beginning Principal Amount 33,500,000 47,857,143 (a) Ending Principal Amount 33,500,000 47,857,143 less Unreimbursed Charge-offs - Beginning Stated Amount 33,500,000 47,857,143 (a) Ending Stated Amount 33,500,000 47,857,143 -------------------------------------------------------------------------------------------------------------------- INTEREST RATE FOR ACCRUAL PERIOD Libor / Interest Interest Bank Bill Rate Margin Rate USD Class A Bonds 1.14000 0.25000 1.39000 Class B Bonds 1.14000 0.75000 1.89000 AUD Class A Bonds (payable to Currency Swap Provider) 5.54000 0.42290 5.96290 Class B Bonds 5.54000 0.97310 6.51310 -------------------------------------------------------------------------------------------------------------------- DISTRIBUTIONS PAYABLE ON PAYMENT DATE $US $A Interest Entitlement: (b) Class A Bonds 3,199,800.00 19,340,800 (b) Class B Bonds 158,287.50 768,571 Principal Repayment: (c) Class A Bonds 55,900,000.00 79,857,143 (c) Class B Bonds Total: Class A Bonds 59,099,800.00 99,197,943 Class B Bonds 158,287.50 768,571 Total 59,258,087.50 99,966,514 -------------------------------------------------------------------------------------------------------------------- - ----------------------------------------------------------------------------------------------------------------------------------- Bond Trust ARMS II GLOBAL FUND 2 Deed Schedule 8 Reference BONDHOLDERS REPORT RELATED TO JULY 12, 2004 DISTRIBUTION - ----------------------------------------------------------------------------------------------------------------------------------- POOL FACTORS Last Current Distribution Distribution Date Date (h) Class A Bonds 0.9208 0.8649 Class B Bonds 1.0000 1.0000 -------------------------------------------------------------------------------------------------------------------- (d) INCOME COLLECTIONS FOR CALCULATION PERIOD 24,654,065.97 ------------------------------------------------------------------------------------------------------------------- AVAILABLE AMORTISATION AMOUNT $AUD (i) Scheduled Principal Collections 2,258,299 (i) Unscheduled Principal Collections 113,493,322 Gross Principal Collections 115,751,621 less (g) Redraw Advances, Line of Credit Advances and Permitted Further Advances 35,842,248 (e) Net Principal Collections 79,909,373 Application of Cash Reserve and Advances Reserve as Available Amortisation Amount (52,230) (l) Charge-offs and Unreimbursed Charge-offs 0 (f) Available Amortisation Amount 79,857,143 -------------------------------------------------------------------------------------------------------------------- PORTFOLIO INFORMATION (based on Loans forming part of the Assets of the Fund as at the last day of the Calculation Period) (j) Aggregate Face Value of Loans 1,279,154,460 Total number of Loans 5,002 Average Loan Balance 255,728.60 Weighted Average LVR 72.1312 Seasoning NO OF LOANS % TOTAL BALANCE 6 - 12 months 3,080 61.56% 787,420,068 12 - 18 months 1,532 30.69% 392,520,430 18 - 24 months 240 5.00% 63,965,730 24 - 36 months 120 2.32% 29,638,885 36 - 48 months 10 0.24% 3,112,071 48 - 60 months - 0.00% - > than 60 months 20 0.20% 2,497,276 5,002 100.00% 1,279,154,460 -------------------------------------------------------------------------------------------------------------------- (k) AGGREGATE LOSS AMOUNT NIL -------------------------------------------------------------------------------------------------------------------- (m) DELINQUENCY AND LOSSES DELINQUENCY NO OF % OF AUD AMOUNT % OF LOANS POOL OF LOANS POOL 31 - 60 days 31 0.62% 9,792,982.73 0.77% 61 - 90 days 11 0.22% 3,365,208.22 0.26% 90+ days 20 0.40% 6,887,003.16 0.54% LOSSES AUD Mortgage Insurance claims made Nil Mortgage Insurance claims paid Nil Mortgage Insurance claims pending Nil Mortgage Insurance claims denied Nil - -----------------------------------------------------------------------------------------------------------------------------------